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FWP Filing
Otis Worldwide (OTIS) FWPFree writing prospectus
Filed: 5 Mar 21, 12:00am
Issuer: | Otis Worldwide Corporation |
Offering Format: | SEC Registered |
Trade Date: | March 5, 2021 |
Settlement Date: | March 11, 2021 (T+4) |
Title of Securities: | 0.370% Notes due 2026 (the “Notes”) |
Expected Ratings (Moody’s / S&P):* | Baa2 / BBB |
Principal Amount: | ¥21,500,000,000 |
Maturity Date: | March 18, 2026 |
Interest Payment Dates: | March 11 and September 11 of each year, beginning September 11, 2021. If the date on which a payment of interest or principal on the Notes is scheduled to be paid is not a Business Day, then the interest or principal payable on that date will be paid on the next succeeding Business Day, and no further interest will accrue as a result of such delay. Long last coupon for the last interest period. |
Yield to Maturity: | 0.370% |
Coupon: | 0.370% |
Day Count Convention: | 30/360 |
Business Day Centers: | Tokyo, London, City of New York or the relevant Place of Payment |
Issue Price to Public: | 100% of the principal amount |
Change of Control Repurchase: | Upon the occurrence of a change of control triggering event (which involves the occurrence of both a change of control and a below investment grade rating of the notes by Moody’s and S&P), unless the Issuer has exercised its right to redeem the Notes, each holder of the Notes will have the right to require the Issuer to purchase all or a portion of such holder’s Notes at a purchase price equal to 101% of the principal amount thereof plus accrued and unpaid interest, if any, thereon to, but excluding, the change of control payment date. |
Minimum Denominations: | ¥100,000,000 and any integral multiple of ¥10,000,000 in excess thereof |
Net Proceeds (before expenses): | ¥21,371,000,000 |
Use of Proceeds: | Repayment of Euro-denominated commercial paper |
Joint Book-Running Managers: | J.P. Morgan Securities plc Morgan Stanley & Co. International plc SMBC Nikko Securities America, Inc. |
Co-Managers: | Mizuho Securities USA LLC Standard Chartered Bank |
Paying Agent: | The Bank of New York Mellon, London Branch |
Listing: | None |
COMMON CODE / CUSIP / ISIN: | 231115021 / 68902V AN7 / XS2311150218 |