0001104659-20-066753 Sample Contracts

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

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NINTH SUPPLEMENTAL INDENTURE dated as of May 28, 2020
Supplemental Indenture • May 28th, 2020 • CMS Energy Corp • Electric & other services combined

This Ninth Supplemental Indenture, dated as of the 28th day of May, 2020 (this “Ninth Supplemental Indenture”), between CMS Energy Corporation, a corporation duly organized and existing under the laws of the State of Michigan (hereinafter called the “Issuer”) and having its principal office at One Energy Plaza, Jackson, Michigan 49201, and The Bank of New York Mellon, a New York banking corporation (hereinafter called the “Trustee”) and having its Corporate Trust Office at 240 Greenwich Street, New York, New York 10286.

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