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FWP Filing
F&G Annuities & Life (FG) FWPFree writing prospectus
Filed: 1 Oct 24, 4:37pm
Issuer: | F&G Annuities & Life, Inc. | ||||
Guarantors: | CF Bermuda Holdings Limited, FGL US Holdings Inc., Fidelity & Guaranty Life Business Services, Inc. and Fidelity & Guaranty Life Holdings, Inc. (“FGLH”) | ||||
Security: | 6.250% Senior Notes due 2034 (the “Notes”) | ||||
Ranking: | Senior unsecured | ||||
Format: | SEC Registered | ||||
Expected Ratings*: | (S&P / Moody’s / Fitch): BBB- (stable) / Baa3 (stable) / BBB- (stable) | ||||
Trade Date: | October 1, 2024 | ||||
Settlement Date**: | October 4, 2024 (T+3) | ||||
Aggregate Principal Amount: | $500,000,000 | ||||
Maturity Date: | October 4, 2034 | ||||
Coupon: | 6.250% |
Benchmark Treasury: | 3.875% due August 15, 2034 | ||||
Benchmark Treasury Price and Yield: | 101-04; 3.737% | ||||
Re-offer Spread to Benchmark Treasury: | +260 bps | ||||
Re-offer Yield to Maturity: | 6.337% | ||||
Offering Price: | 99.363% | ||||
Interest Payment Dates: | Semi-annually in arrears on April 4 and October 4 of each year, beginning April 4, 2025. | ||||
Optional Redemption: | Prior to July 4, 2034 (three months prior to maturity) (the “Par Call Date”), in whole or in part, at any time and from time to time, at a redemption price (expressed as a percentage of principal amount and rounded to three decimal places) equal to the greater of (i) 100% of the principal amount of the Notes to be redeemed and (ii) (a) the sum of the present values of the remaining scheduled payments of principal of and interest on the Notes to be redeemed discounted to the redemption date (assuming the Notes to be redeemed matured on the Par Call Date) on a semi-annual basis (assuming a 360-day year consisting of twelve 30-day months) at the Treasury Rate, plus 40 basis points, less (b) interest accrued to the redemption date, plus, in either case, accrued and unpaid interest thereon to, but excluding, the redemption date. On or after the Par Call Date, in whole or in part, at any time and from time to time, at a redemption price equal to 100% of the principal amount of the Notes being redeemed plus accrued and unpaid interest thereon to, but excluding, the redemption date. | ||||
Tax Event Redemption: | In certain circumstances where additional amounts are due by a foreign guarantor, in whole but not in part, at a redemption price equal to 100% of the principal amount of the Notes plus accrued and unpaid interest thereon to, but excluding, the redemption date. |
Interest Rate Adjustment: | Interest rates payable on the Notes will be subject to adjustment from time to time if any two of S&P, Moody’s or Fitch (or a substitute rating agency therefor) downgrade (or downgrade and subsequently upgrade) the respective credit ratings assigned to the Notes. | ||||
Change of Control Offer: | If a Change of Control Triggering Event with respect to the Notes occurs, each holder of such Notes will have the right to require the Issuer to repurchase all or, at the holder’s option, any part of such holder’s Notes at a repurchase price equal to 101% of the principal amount of the Notes to be repurchased, plus accrued and unpaid interest thereon to, but excluding, the repurchase date. | ||||
Denominations: | $2,000 and integral multiples of $1,000 in excess thereof | ||||
Gross Proceeds (before expenses and deduction of the underwriting discount) to the Issuer: | $496,815,000 | ||||
Underwriting Discount: | 0.650% | ||||
Net Proceeds (before expenses) to the Issuer: | $493,565,000 | ||||
Joint Book-Running Managers: | Wells Fargo Securities, LLC BofA Securities, Inc. J.P. Morgan Securities LLC RBC Capital Markets, LLC | ||||
Senior Co-Managers: | Citigroup Global Markets Inc. Citizens JMP Securities, LLC KeyBanc Capital Markets Inc. U.S. Bancorp Investments, Inc. | ||||
Co-Managers: | Barclays Capital Inc. Deutsche Bank Securities Inc. Goldman Sachs & Co. LLC Morgan Stanley & Co. LLC | ||||
CUSIP / ISIN: | 30190A AG9 / US30190AAG94 |