Common Contracts

42 similar Underwriting Agreement contracts by Consumers Energy Co, CMS Energy Corp

CONSUMERS ENERGY COMPANY 4.70% First Mortgage Bonds due 2030 Underwriting Agreement
Underwriting Agreement • August 5th, 2024 • Consumers Energy Co • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to November 15, 2029 at the Treasury rate plus 15 basis points and, thereafter, at par

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CONSUMERS ENERGY COMPANY 4.60% First Mortgage Bonds due 2029 Underwriting Agreement
Underwriting Agreement • January 9th, 2024 • Consumers Energy Co • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to March 30, 2029 at the Treasury rate plus 15 basis points and, thereafter, at par

CONSUMERS ENERGY COMPANY 4.90% First Mortgage Bonds due 2029 Underwriting Agreement
Underwriting Agreement • August 4th, 2023 • Consumers Energy Co • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to December 15, 2028 at the Treasury rate plus 15 basis points and, thereafter, at par

CONSUMERS ENERGY COMPANY 4.625% First Mortgage Bonds due 2033 Underwriting Agreement
Underwriting Agreement • February 23rd, 2023 • Consumers Energy Co • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to November 15, 2032 at the Treasury rate plus 15 basis points and, thereafter, at par

CONSUMERS ENERGY COMPANY 4.65% First Mortgage Bonds due 2028 Underwriting Agreement
Underwriting Agreement • January 10th, 2023 • Consumers Energy Co • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to January 1, 2028 at the Treasury rate plus 15 basis points and, thereafter, at par

CONSUMERS ENERGY COMPANY 2.65% First Mortgage Bonds due 2052 Underwriting Agreement
Underwriting Agreement • August 12th, 2021 • Consumers Energy Co • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to February 15, 2052 at the Treasury rate plus 15 basis points and, thereafter, at par

CMS ENERGY CORPORATION 9,200,000 Depositary Shares, Each representing a 1/1,000th interest in a share of 4.200% Cumulative Redeemable Perpetual Preferred Stock, Series C (Liquidation Preference Equivalent to $25.00 per Depositary Share) Underwriting...
Underwriting Agreement • July 1st, 2021 • CMS Energy Corp • Electric & other services combined • New York

Security: Depositary Shares (“Depositary Shares”), each representing a 1/1,000th interest in a share of Issuer’s 4.200% Cumulative Redeemable Perpetual Preferred Stock, Series C (“Preferred Stock”)

CONSUMERS ENERGY COMPANY 0.35% First Mortgage Bonds due 2023 Underwriting Agreement
Underwriting Agreement • December 14th, 2020 • Consumers Energy Co • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to May 1, 2023 at the Treasury rate plus 5 basis points and, thereafter, at par

CMS ENERGY CORPORATION Underwriting Agreement
Underwriting Agreement • November 25th, 2020 • CMS Energy Corp • Electric & other services combined • New York

CMS Energy Corporation, a Michigan corporation (the “Company”), proposes to issue and sell to the several Underwriters (as defined in Section 12 hereof) an aggregate of $400,000,000 in principal amount of its 3.75% Fixed-to-Fixed Reset Rate Junior Subordinated Notes due 2050 (the “Securities”), subject to the terms and conditions set forth herein. The Underwriters have designated the Representatives (as defined in Section 12 hereof) to execute this Agreement on their behalf and to act for them in the manner provided in this Agreement. The Securities are to be issued pursuant to the provisions of the Indenture dated as of June 1, 1997 between the Company and The Bank of New York Mellon (formerly known as The Bank of New York), as trustee (the “Trustee”), as supplemented and amended by various supplemental indentures and as to be supplemented by the Tenth Supplemental Indenture, to be dated as of November 25, 2020 (the “Supplemental Indenture”), establishing the terms of the Securities (

CONSUMERS ENERGY COMPANY Floating Rate First Mortgage Bonds due 2070 Underwriting Agreement
Underwriting Agreement • October 7th, 2020 • Consumers Energy Co • Electric & other services combined • New York

Coupon: Floating rate based on three-month LIBOR minus 0.30%; reset quarterly on each January 7, April 7, July 7 and October 7 of each year, commencing on January 7, 2021; the interest rate shall not be less than 0.00%; the interest rate for the initial interest period for the Bonds will be determined on October 5, 2020

CMS ENERGY CORPORATION 4.75% Fixed-to-Fixed Reset Rate Junior Subordinated Notes due 2050 Underwriting Agreement
Underwriting Agreement • May 28th, 2020 • CMS Energy Corp • Electric & other services combined • New York

Coupon: (i) 4.750% per annum, accruing from and including May 28, 2020 to, but not including, the First Reset Date; and (ii) at a rate per annum equal to the Five-Year Treasury Rate as of the most recent Reset Interest Determination Date, plus 4.116%, to be reset on each Reset Date, from and including the First Reset Date to, but not including, the Maturity Date

CONSUMERS ENERGY COMPANY Floating Rate First Mortgage Bonds due 2070 Underwriting Agreement
Underwriting Agreement • May 20th, 2020 • Consumers Energy Co • Electric & other services combined • New York

Consumers Energy Company, a Michigan corporation (the “Company”), proposes to issue and sell to the several Underwriters (as defined in Section 12 hereof) an aggregate of $134,349,000 in principal amount of its Floating Rate First Mortgage Bonds due 2070 (the “Securities”), subject to the terms and conditions set forth herein. The Underwriters have designated the Representatives (as defined in Section 12 hereof) to execute this Agreement on their behalf and to act for them in the manner provided in this Agreement. The Securities are to be issued pursuant to the provisions of the Indenture dated as of September 1, 1945 between the Company and The Bank of New York Mellon (ultimate successor to City Bank Farmers Trust Company), as trustee (the “Trustee”), as supplemented and amended by various supplemental indentures and as to be supplemented by the 141st Supplemental Indenture, to be dated as of May 20, 2020 (the “Supplemental Indenture”), establishing the terms of the Securities (as so

CONSUMERS ENERGY COMPANY 2.50% First Mortgage Bonds due 2060 Underwriting Agreement
Underwriting Agreement • May 13th, 2020 • Consumers Energy Co • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to November 1, 2059 at the Treasury rate plus 20 basis points and, thereafter, at par

CONSUMERS ENERGY COMPANY 3.50% First Mortgage Bonds due 2051 Underwriting Agreement
Underwriting Agreement • March 26th, 2020 • Consumers Energy Co • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to February 1, 2051 at the Treasury rate plus 30 basis points and, thereafter, at par

CONSUMERS ENERGY COMPANY Floating Rate First Mortgage Bonds due 2069 Underwriting Agreement
Underwriting Agreement • September 19th, 2019 • Consumers Energy Co • Electric & other services combined • New York

Coupon: Floating rate based on three-month LIBOR minus 0.30%; reset quarterly on each March 15, June 15, September 15 and December 15 of each year, commencing on December 15, 2019; the interest rate shall not be less than 0.00%; the interest rate for the initial interest period for the Bonds will be determined on September 17, 2019

CONSUMERS ENERGY COMPANY Underwriting Agreement
Underwriting Agreement • September 3rd, 2019 • Consumers Energy Co • Electric & other services combined • New York

Consumers Energy Company, a Michigan corporation (the “Company”), proposes to issue and sell to the several Underwriters (as defined in Section 12 hereof) an aggregate of $550,000,000 in principal amount of its 3.10% First Mortgage Bonds due 2050 (the “Securities”), subject to the terms and conditions set forth herein. The Underwriters have designated the Representatives (as defined in Section 12 hereof) to execute this Agreement on their behalf and to act for them in the manner provided in this Agreement. The Securities are to be issued pursuant to the provisions of the Indenture dated as of September 1, 1945 between the Company and The Bank of New York Mellon (ultimate successor to City Bank Farmers Trust Company), as trustee (the “Trustee”), as supplemented and amended by various supplemental indentures and as to be supplemented by the 136th Supplemental Indenture, to be dated as of September 3, 2019 (the “Supplemental Indenture”), establishing the terms of the Securities (as so sup

CONSUMERS ENERGY COMPANY 3.75% First Mortgage Bonds due 2050 Underwriting Agreement
Underwriting Agreement • May 28th, 2019 • Consumers Energy Co • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to August 15, 2049 at the Treasury rate plus 15 basis points and, thereafter, at par

CMS ENERGY CORPORATION 5.875% Junior Subordinated Notes due 2079
Underwriting Agreement • February 20th, 2019 • CMS Energy Corp • Electric & other services combined • New York

Par Call: At any time, in whole or in part, on or after March 1, 2024, at 100% plus accrued and unpaid interest to, but not including, the redemption date

CMS ENERGY CORPORATION 5.875% Junior Subordinated Notes due 2078
Underwriting Agreement • September 26th, 2018 • CMS Energy Corp • Electric & other services combined • New York

Aggregate Principal Amount Offered: $250,000,000 (excluding the underwriters’ option to purchase up to $37,500,000 of additional aggregate principal amount of Notes to cover over-allotments, if any)

CONSUMERS ENERGY COMPANY 4.05% First Mortgage Bonds due 2048
Underwriting Agreement • May 14th, 2018 • Consumers Energy Co • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to November 15, 2047 at the Treasury rate plus 15 basis points and, thereafter, at par

CMS ENERGY CORPORATION 5.625% Junior Subordinated Notes due 2078
Underwriting Agreement • March 8th, 2018 • CMS Energy Corp • Electric & other services combined • New York

Par Call: At any time, in whole or in part, on or after March 15, 2023, at 100% plus accrued and unpaid interest to, but not including, the redemption date

CONSUMERS ENERGY COMPANY 3.95% First Mortgage Bonds due 2047
Underwriting Agreement • February 22nd, 2017 • Consumers Energy Co • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to January 15, 2047 at Treasury rate plus 15 basis points and, thereafter, at par

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CMS ENERGY CORPORATION 3.45% Senior Notes due 2027
Underwriting Agreement • February 13th, 2017 • CMS Energy Corp • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to May 15, 2027 at the Treasury rate plus 20 basis points and, thereafter, at par

CMS ENERGY CORPORATION 2.95% Senior Notes due 2027
Underwriting Agreement • November 3rd, 2016 • CMS Energy Corp • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to November 15, 2026 at the Treasury rate plus 20 basis points and, thereafter, at par

CONSUMERS ENERGY COMPANY 3.25% First Mortgage Bonds due 2046
Underwriting Agreement • August 10th, 2016 • Consumers Energy Co • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to February 15, 2046 at Treasury rate plus 20 basis points and, thereafter, at par

CMS ENERGY CORPORATION 3.00% Senior Notes due 2026
Underwriting Agreement • May 5th, 2016 • CMS Energy Corp • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to February 15, 2026 at the Treasury rate plus 20 basis points and, thereafter, at par

CMS ENERGY CORPORATION 3.60% Senior Notes due 2025
Underwriting Agreement • November 9th, 2015 • CMS Energy Corp • Electric & other services combined • New York

Optional Redemption: Make-whole call at any time prior to August 15, 2025 at the Treasury rate plus 25 basis points and, thereafter, at par

CONSUMERS ENERGY COMPANY 4.10% First Mortgage Bonds due 2045
Underwriting Agreement • November 6th, 2015 • Consumers Energy Co • Electric & other services combined • New York

Note: A securities rating is not a recommendation to buy, sell or hold securities and may be subject to revision or withdrawal at any time

CMS ENERGY CORPORATION $250,000,000 3.875% Senior Notes due 2024 $300,000,000 4.875% Senior Notes due 2044 Underwriting Agreement
Underwriting Agreement • February 27th, 2014 • CMS Energy Corp • Electric & other services combined • New York

Any disclaimers or other notices that may appear below are not applicable to this communication and should be disregarded. Such disclaimers were automatically generated as a result of this communication being sent via email or another communication system.

CONSUMERS ENERGY COMPANY 3.375% First Mortgage Bonds due 2023 Underwriting Agreement
Underwriting Agreement • August 9th, 2013 • Consumers Energy Co • Electric & other services combined • New York

Any disclaimers or other notices that may appear below are not applicable to this communication and should be disregarded. Such disclaimers were automatically generated as a result of this communication being sent via email or another communication system.

CONSUMERS ENERGY COMPANY 3.95% First Mortgage Bonds due 2043 Underwriting Agreement
Underwriting Agreement • May 17th, 2013 • Consumers Energy Co • Electric & other services combined • New York

Any disclaimers or other notices that may appear below are not applicable to this communication and should be disregarded. Such disclaimers were automatically generated as a result of this communication being sent via email or another communication system.

CMS ENERGY CORPORATION 4.70% Senior Notes due 2043 Underwriting Agreement
Underwriting Agreement • March 22nd, 2013 • CMS Energy Corp • Electric & other services combined • New York

CMS Energy Corporation has filed a registration statement (including a prospectus, as supplemented) with the Securities and Exchange Commission (“SEC”) for the offering to which this communication relates. Before you invest, you should read the prospectus (as supplemented) in that registration statement and other documents CMS Energy Corporation has filed with the SEC for more complete information about CMS Energy Corporation and this offering. You may get these documents for free by visiting EDGAR on the SEC website at www.sec.gov. Alternatively, CMS Energy Corporation, any underwriter or any dealer participating in the offering will arrange to send you the

CONSUMERS ENERGY COMPANY 2.85% First Mortgage Bonds due 2022 Underwriting Agreement
Underwriting Agreement • May 8th, 2012 • CMS Energy Corp • Electric & other services combined • New York

Consumers Energy Company has filed a registration statement (including a preliminary prospectus supplement and prospectus) with the Securities and Exchange Commission (“SEC”) for the offering to which this communication relates. Before you invest, you

CMS ENERGY CORPORATION 5.05% Senior Notes due 2022 Underwriting Agreement
Underwriting Agreement • March 12th, 2012 • CMS Energy Corp • Electric & other services combined • New York

CMS Energy Corporation has filed a registration statement (including a prospectus) with the Securities and Exchange Commission (“SEC”) for the offering to which this communication relates. Before you invest, you should read the prospectus in that

250,000,000 CMS ENERGY CORPORATION 2.75% Senior Notes due 2014
Underwriting Agreement • May 12th, 2011 • CMS Energy Corp • Electric & other services combined • New York

CMS Energy Corporation, a Michigan corporation (the “Company”), proposes to issue and sell to the several Underwriters (as defined in Section 12 hereof) an aggregate of $250,000,000 in principal amount of its 2.75% Senior Notes due 2014 (the “Securities”), subject to the terms and conditions set forth herein. The Underwriters have designated the Representatives (as defined in Section 12 hereof) to execute this Agreement on their behalf and to act for them in the manner provided in this Agreement. The Securities are to be issued pursuant to the provisions of the Indenture dated as of September 15, 1992 between the Company and The Bank of New York Mellon (ultimate successor to NBD Bank, National Association), as trustee (the “Trustee”), as supplemented and amended by various supplemental indentures and as to be supplemented by the Twenty-Seventh Supplemental Indenture, to be dated as of May 12, 2011 (the “Supplemental Indenture”), establishing the terms of the Securities (as so supplemen

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