SAN FRANCISCO-Prologis, Inc. has announced the determination of the total consideration for three series of notes listed in the table below in connection with the previously announced Any and All Tender Offer by its operating subsidiary, Prologis, L.P. to purchase any and all of three series of senior notes of the company and subsidiary.
The terms and conditions of the tender offer are described in Prologis' Offer to Purchase dated August 8. The applicable Reference Yield, Fixed Spread, Tender Offer Yield and Total Consideration for the three series of the Any and All Notes are set forth in the following table:
CUSIP Title of U.S. Treasury Reference Fixed Spread Tender Offer Total
Number Security Reference Yield (basis points) Yield Consideration(1)
Security
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00163M AB0 Prologis, L.P. 1.375% due July 31, 2018 1.470% 115 2.620% $1,221.93
7.50% Notes due
June 30, 2018
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74340X AN1 Prologis, L.P. 1.375% due July 31, 2018 1.470% 175 3.220% $1,232.05
7.375% Notes due
October 30, 2019
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743410 AV4 Trust 1.375% due July 31, 2018 1.470% 175 3.220% $1,232.05
7.375% Notes due
October 30, 2019
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