PROSPECTUS SUPPLEMENT
(To Prospectus dated June 1, 2020)
Amazon.com, Inc.
$1,000,000,000 0.250% NOTES DUE 2023
$2,500,000,000 0.450% NOTES DUE 2024
$2,750,000,000 1.000% NOTES DUE 2026
$2,250,000,000 1.650% NOTES DUE 2028
$3,000,000,000 2.100% NOTES DUE 2031
$2,000,000,000 2.875% NOTES DUE 2041
$3,250,000,000 3.100% NOTES DUE 2051
$1,750,000,000 3.250% NOTES DUE 2061
Amazon.com, Inc. is offering $1,000,000,000 of our 0.250% notes due 2023 (the “2023 notes” or the “Sustainability Notes”), $2,500,000,000 of our 0.450% notes due 2024 (the “2024 notes”), $2,750,000,000 of our 1.000% notes due 2026 (the “2026 notes”), $2,250,000,000 of our 1.650% notes due 2028 (the “2028 notes”), $3,000,000,000 of our 2.100% notes due 2031 (the “2031 notes”), $2,000,000,000 of our 2.875% notes due 2041 (the “2041 notes”), $3,250,000,000 of our 3.100% notes due 2051 (the “2051 notes”), and $1,750,000,000 of our 3.250% notes due 2061 (the “2061 notes,” and, together with the 2023 notes, the 2024 notes, the 2026 notes, the 2028 notes, the 2031 notes, the 2041 note, and the 2051 notes, the “notes”). The 2023 notes will bear interest at a rate of 0.250% per annum. The 2024 notes will bear interest at a rate of 0.450% per annum. The 2026 notes will bear interest at a rate of 1.000% per annum. The 2028 notes will bear interest at a rate of 1.650% per annum. The 2031 notes will bear interest at a rate of 2.100% per annum. The 2041 notes will bear interest at a rate of 2.875% per annum. The 2051 notes will bear interest at a rate of 3.100% per annum. The 2061 notes will bear interest at a rate of 3.250% per annum. We will pay interest semi-annually on the notes beginning November 12, 2021. The 2023 notes will mature on May 12, 2023. The 2024 notes will mature on May 12, 2024. The 2026 notes will mature on May 12, 2026. The 2028 notes will mature on May 12, 2028. The 2031 notes will mature on May 12, 2031. The 2041 notes will mature on May 12, 2041. The 2051 notes will mature on May 12, 2051. The 2061 notes will mature on May 12, 2061.
We may redeem some or all of any series of notes at any time at the applicable redemption prices described beginning on page S-17. The notes are senior unsecured obligations and will rank equally with all of our other senior unsecured indebtedness from time to time outstanding. There is no sinking fund for the notes. The notes are not, and are not expected to be, listed on any securities exchange.
Investing in the notes involves risks. See “Risk Factors” beginning on page S-7 of this prospectus supplement.
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| | Price to Public(1) | | | Underwriting Discounts and Commissions | | | Proceeds to Amazon (before expenses) | |
Per 2023 note | | | 99.986 | % | | | 0.080 | % | | | 99.906 | % |
2023 notes total | | | $999,860,000 | | | | $800,000 | | | | $999,060,000 | |
Per 2024 note | | | 99.854 | % | | | 0.100 | % | | | 99.754 | % |
2024 notes total | | | $2,496,350,000 | | | | $2,500,000 | | | | $2,493,850,000 | |
Per 2026 note | | | 99.568 | % | | | 0.120 | % | | | 99.448 | % |
2026 notes total | | | $2,738,120,000 | | | | $3,300,000 | | | | $2,734,820,000 | |
Per 2028 note | | | 99.941 | % | | | 0.150 | % | | | 99.791 | % |
2028 notes total | | | $2,248,672,500 | | | | $3,375,000 | | | | $2,245,297,500 | |
Per 2031 note | | | 99.982 | % | | | 0.200 | % | | | 99.782 | % |
2031 notes total | | | $2,999,460,000 | | | | $6,000,000 | | | | $2,993,460,000 | |
Per 2041 note | | | 99.623 | % | | | 0.300 | % | | | 99.323 | % |
2041 notes total | | | $1,992,460,000 | | | | $6,000,000 | | | | $1,986,460,000 | |
Per 2051 note | | | 99.284 | % | | | 0.400 | % | | | 98.884 | % |
2051 notes total | | | $3,226,730,000 | | | | $13,000,000 | | | | $3,213,730,000 | |
Per 2061 note | | | 99.180 | % | | | 0.400 | % | | | 98.780 | % |
206 notes total | | | $1,735,650,000 | | | | $7,000,000 | | | | $1,728,650,000 | |
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Total | | | $18,437,302,500 | | | | $41,975,000 | | | | $18,395,327,500 | |
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(1) Plus accrued interest, if any, from May 12, 2021, if settlement occurs after that date.
Neither the Securities and Exchange Commission (the “SEC”) nor any state securities commission has approved or disapproved of these securities or determined if this prospectus supplement or the prospectus to which it relates is truthful or complete. Any representation to the contrary is a criminal offense.
The underwriters expect to deliver the notes on or about May 12, 2021 only in book-entry form through the facilities of The Depository Trust Company for the accounts of its participants, including Euroclear Bank S.A./N.V., as operator of the Euroclear System, and Clearstream Banking S.A.
Joint Book-Running Managers
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J.P. MORGAN | | CITIGROUP | | MORGAN STANLEY | | WELLS FARGO SECURITIES |
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BofA Securities | | Deutsche Bank Securities | | Goldman Sachs & Co. LLC | | HSBC | | SOCIETE GENERALE | | TD Securities |
Co-Managers
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Academy Securities | | Drexel Hamilton | | Loop Capital Markets | | R. Seelaus & Co., LLC | | Ramirez & Co., Inc. | | Siebert Williams Shank |
May 10, 2021.