{"component": "definition", "props": {"groups": [{"samples": [{"hash": "1a5WhDxIVmP", "uri": "/contracts/1a5WhDxIVmP#legal-format", "label": "Underwriting Agreement (Ally Financial Inc.)", "score": 23.1170425415, "published": true}], "size": 8, "snippet_links": [{"key": "trade-date", "type": "definition", "offset": [15, 25]}, {"key": "settlement-date", "type": "clause", "offset": [45, 60]}, {"key": "final-maturity-date", "type": "definition", "offset": [86, 105]}, {"key": "gross-proceeds", "type": "clause", "offset": [166, 180]}, {"key": "underwriting-discount", "type": "definition", "offset": [195, 216]}, {"key": "net-proceeds", "type": "clause", "offset": [225, 237]}, {"key": "estimated-expenses", "type": "definition", "offset": [253, 271]}, {"key": "issue-price", "type": "definition", "offset": [301, 312]}, {"key": "benchmark-treasury", "type": "clause", "offset": [322, 340]}, {"key": "treasury-yield", "type": "definition", "offset": [380, 394]}, {"key": "yield-to-maturity", "type": "definition", "offset": [443, 460]}, {"key": "interest-payment-dates", "type": "definition", "offset": [469, 491]}, {"key": "in-arrears", "type": "definition", "offset": [508, 518]}, {"key": "on-february", "type": "clause", "offset": [519, 530]}, {"key": "each-year", "type": "definition", "offset": [551, 560]}, {"key": "optional-redemption", "type": "definition", "offset": [605, 624]}, {"key": "day-count-convention", "type": "clause", "offset": [631, 651]}, {"key": "following-business-day-convention", "type": "clause", "offset": [673, 706]}, {"key": "business-days", "type": "definition", "offset": [707, 720]}, {"key": "new-york", "type": "definition", "offset": [722, 730]}, {"key": "isin-numbers", "type": "clause", "offset": [737, 749]}, {"key": "running-managers", "type": "clause", "offset": [799, 815]}, {"key": "citigroup-global-markets-inc", "type": "clause", "offset": [817, 845]}, {"key": "credit-agricole", "type": "definition", "offset": [957, 972]}, {"key": "pnc-capital-markets", "type": "definition", "offset": [1018, 1037]}, {"key": "scotia-capital", "type": "definition", "offset": [1042, 1056]}, {"key": "advisory-group", "type": "definition", "offset": [1190, 1204]}, {"key": "the-\u2587", "type": "clause", "offset": [1209, 1214]}, {"key": "capital-group", "type": "definition", "offset": [1222, 1235]}, {"key": "a-recommendation", "type": "definition", "offset": [1306, 1322]}, {"key": "hold-securities", "type": "clause", "offset": [1339, 1354]}, {"key": "subject-to-revision", "type": "clause", "offset": [1366, 1385]}, {"key": "at-any-time", "type": "clause", "offset": [1400, 1411]}, {"key": "preliminary-prospectus-supplement", "type": "clause", "offset": [1471, 1504]}, {"key": "the-information", "type": "clause", "offset": [1538, 1553]}, {"key": "to-the-extent", "type": "clause", "offset": [1676, 1689]}, {"key": "term-sheet", "type": "clause", "offset": [1808, 1818]}, {"key": "schedule-i", "type": "clause", "offset": [1831, 1841]}, {"key": "relating-to", "type": "definition", "offset": [1849, 1860]}, {"key": "senior-notes-due-2018", "type": "definition", "offset": [1872, 1893]}, {"key": "the-foregoing", "type": "definition", "offset": [2012, 2025]}, {"key": "further-limitations-and-qualifications", "type": "clause", "offset": [2037, 2075]}], "snippet": "SEC Registered Trade Date: February 10, 2015 Settlement Date: February 13, 2015 (T+3) Final Maturity Date: February 13, \u2587\u2587\u2587\u2587 \u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587 \u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587 \u2587\u2587\u2587\u2587\u2587\u2587: $650,000,000 Gross Proceeds: $640,289,000 Underwriting Discount: 0.900% Net Proceeds to Ally before Estimated Expenses: $634,439,000 Coupon: 4.125% Issue Price: 98.506% Benchmark Treasury: 1.500% due January 31, 2022 Benchmark Treasury Yield: 1.819% Spread to Benchmark Treasury: 255.6 bps Yield to Maturity: 4.375% Interest Payment Dates: Semi-annually, in arrears on February 13 and August 13 of each year, until maturity, commencing August 13, 2015 Optional Redemption: None Day Count Convention: 30/360; Unadjusted, Following Business Day convention Business Days: New York CUSIP/ISIN Numbers: CUSIP: 02005N AY6 ISIN: US02005NAY67 Joint Book-Running Managers: Citigroup Global Markets Inc. \u2587\u2587\u2587\u2587\u2587\u2587\u2587, \u2587\u2587\u2587\u2587\u2587 & Co. \u2587\u2587\u2587\u2587\u2587\u2587\u2587 Lynch, Pierce, \u2587\u2587\u2587\u2587\u2587\u2587 & \u2587\u2587\u2587\u2587\u2587 Incorporated \u2587\u2587\u2587\u2587\u2587\u2587 \u2587\u2587\u2587\u2587\u2587\u2587\u2587 & Co. LLC Co-Managers: Credit Agricole Securities (USA) Inc. Lloyds Securities Inc. PNC Capital Markets LLC Scotia Capital (USA) Inc. U.S. Bancorp Investments, Inc. CAVU Securities, LLC Great Pacific Securities \u2587\u2587\u2587\u2587\u2587\u2587\u2587 \u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587 Shank & Co., L.L.C. Telsey Advisory Group LLC The \u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587 Capital Group, L.P. Denominations: $2,000 x $1,000 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. This communication should be read in conjunction with the preliminary prospectus supplement and the accompanying prospectus. The information in this communication supersedes the information in the preliminary prospectus supplement and the accompanying prospectus to the extent it is inconsistent with the information in such preliminary prospectus supplement or the accompanying prospectus. The Term Sheet Included In Schedule I Hereto Relating to the 3.250% Senior Notes due 2018. The Term Sheet Included In Schedule I Hereto Relating to the 4.125% Senior Notes due 2022. Based upon and subject to the foregoing and to the further limitations and qualifications set forth below, I am of the opinion that:", "hash": "e4a5023b31855584cfa898afb0e627fc", "id": 1}, {"samples": [{"hash": "j9uYwsXYIrI", "uri": "/contracts/j9uYwsXYIrI#legal-format", "label": "Underwriting Agreement (Hubbell Inc)", "score": 36.8412055969, "published": true}, {"hash": "abGoEGCcJI2", "uri": "/contracts/abGoEGCcJI2#legal-format", "label": "Underwriting Agreement (Hubbell Inc)", "score": 32.1704330444, "published": true}, {"hash": "5XfYbTrVNn1", "uri": "/contracts/5XfYbTrVNn1#legal-format", "label": "Underwriting Agreement (Hubbell Inc)", "score": 29.0848731995, "published": true}], "size": 5, "snippet_links": [], "snippet": "SEC-registered", "hash": "ca030a0acfc216617adb370ed016142b", "id": 2}, {"samples": [{"hash": "2xe1M8uf4I2", "uri": "/contracts/2xe1M8uf4I2#legal-format", "label": "Underwriting Agreement (Ally Financial Inc.)", "score": 31.9493503571, "published": true}], "size": 4, "snippet_links": [{"key": "trade-date", "type": "definition", "offset": [15, 25]}, {"key": "settlement-date", "type": "clause", "offset": [45, 60]}, {"key": "final-maturity-date", "type": "definition", "offset": [88, 107]}, {"key": "aggregate-principal-amount", "type": "definition", "offset": [125, 151]}, {"key": "gross-proceeds", "type": "clause", "offset": [166, 180]}, {"key": "underwriting-discount", "type": "definition", "offset": [195, 216]}, {"key": "net-proceeds", "type": "clause", "offset": [225, 237]}, {"key": "estimated-expenses", "type": "definition", "offset": [253, 271]}, {"key": "fixed-rate-period", "type": "definition", "offset": [286, 303]}, {"key": "but-excluding", "type": "clause", "offset": [349, 362]}, {"key": "floating-rate-period", "type": "definition", "offset": [381, 401]}, {"key": "per-annum", "type": "clause", "offset": [513, 522]}, {"key": "compounded-sofr", "type": "definition", "offset": [546, 561]}, {"key": "description-of-notes", "type": "clause", "offset": [594, 614]}, {"key": "maturity-and-interest", "type": "clause", "offset": [633, 654]}, {"key": "preliminary-prospectus-supplement", "type": "clause", "offset": [684, 717]}, {"key": "basis-points", "type": "definition", "offset": [728, 740]}, {"key": "issue-price", "type": "definition", "offset": [742, 753]}, {"key": "benchmark-treasury", "type": "clause", "offset": [764, 782]}, {"key": "treasury-yield", "type": "definition", "offset": [823, 837]}, {"key": "yield-to-maturity", "type": "definition", "offset": [884, 901]}, {"key": "interest-payment-dates", "type": "definition", "offset": [910, 932]}, {"key": "in-arrears", "type": "definition", "offset": [968, 978]}, {"key": "each-year", "type": "definition", "offset": [1007, 1016]}, {"key": "beginning-on", "type": "clause", "offset": [1018, 1030]}, {"key": "first-interest-period", "type": "definition", "offset": [1054, 1075]}, {"key": "on-april", "type": "clause", "offset": [1154, 1162]}], "snippet": "SEC Registered Trade Date: December 11, 2023 Settlement Date**: December 14, 2023 (T+3) Final Maturity Date: January 3, 2030 Aggregate Principal Amount: $750,000,000 Gross Proceeds: $750,000,000 Underwriting Discount: 0.450% Net Proceeds to Ally before Estimated Expenses: $746,625,000 Fixed Rate Period: From, and including, December 14, 2023, to, but excluding, January 3, 2029. Floating Rate Period: From, and including, January 3, 2029, to, but excluding, the maturity date. Coupon: Fixed Rate Period: 6.848% per annum. Floating Rate Period: Compounded SOFR, determined as set forth under \u201cDescription of Notes\u2014Principal Amount; Maturity and Interest\u2014Floating Rate Period\u201d in the preliminary prospectus supplement, plus 282 basis points. Issue Price: 100.000% Benchmark Treasury: 4.375% due November 30, 2028 Benchmark Treasury Yield: 4.248% Spread to Benchmark Treasury: 260 bps Yield to Maturity: 6.848% Interest Payment Dates: Fixed Rate Period: Semi-annually, in arrears, on January 3 and July 3 of each year, beginning on January 3, 2024 (short first interest period), and ending on January 3, 2029. Floating Rate Period: Quarterly, in arrears, on April 3, 2029, July 3, 2029, October 3, 2029, and at the maturity date.", "hash": "e0177ff8b4d5edf384a320c8d4e97466", "id": 3}, {"samples": [{"hash": "77T71E2cnHQ", "uri": "/contracts/77T71E2cnHQ#legal-format", "label": "Underwriting Agreement (Ally Financial Inc.)", "score": 30.4353179932, "published": true}], "size": 3, "snippet_links": [{"key": "trade-date", "type": "definition", "offset": [15, 25]}, {"key": "settlement-date", "type": "clause", "offset": [40, 55]}, {"key": "final-maturity-date", "type": "definition", "offset": [78, 97]}, {"key": "gross-proceeds", "type": "clause", "offset": [153, 167]}, {"key": "underwriting-discount", "type": "definition", "offset": [182, 203]}, {"key": "net-proceeds", "type": "clause", "offset": [212, 224]}, {"key": "estimated-expenses", "type": "definition", "offset": [240, 258]}, {"key": "issue-price", "type": "definition", "offset": [288, 299]}, {"key": "benchmark-treasury", "type": "clause", 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Benchmark Treasury: 195 bps Yield to Maturity: 4.985% Interest Payment Dates: Semi-annually, in arrears, on June 9 and December 9 of each year, until maturity, commencing on December 9, 2022.", "hash": "a578100371d4ca60c854bef3a48ea971", "id": 4}, {"samples": [{"hash": "1xVXTH1HuKY", "uri": "/contracts/1xVXTH1HuKY#legal-format", "label": "Underwriting Agreement (Athene Holding Ltd.)", "score": 30.2203960419, "published": true}], "size": 2, "snippet_links": [{"key": "aggregate-principal-amount", "type": "definition", "offset": [15, 41]}, {"key": "senior-unsecured", "type": "clause", "offset": [81, 97]}, {"key": "maturity-date", "type": "definition", "offset": [98, 111]}, {"key": "april-1", "type": "definition", "offset": [113, 120]}, {"key": "price-to-the-public", "type": "definition", "offset": [127, 146]}, {"key": "accrued-interest", "type": "definition", "offset": [181, 197]}, {"key": "proceeds-to-issuer", "type": "clause", "offset": [231, 249]}, {"key": "interest-payment-dates", 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[776, 794]}], "snippet": "SEC Registered Aggregate Principal Amount: $1,000,000,000 Coupon: 6.25% Ranking: Senior Unsecured Maturity Date: April 1, 2054 Price to the Public: 99.381% of principal amount plus accrued interest, if any, from March 22, 2024 Net Proceeds to Issuer Before Expenses: $985,060,000 Interest Payment Dates: Semi-annually on April 1 and October 1 of each year, commencing on October 1, 2024 Interest Payment Record Dates: March 15 and September 15 of each year (whether or not a Business Day) Day Count Convention: 30/360 Benchmark Treasury: UST 4.75% due November 15, 2053 Spread to Benchmark Treasury: T + 185 bps Benchmark Treasury Price/Yield: 104-31+ / 4.446% Re-Offer Yield: 6.296% Trade Date: March 19, 2024 Settlement Date*: March 22, 2024 (T+3) Denominations: $2,000 and integral multiples of $1,000 in excess thereof", "hash": "4b409d0ede38583c820605f33c1da270", "id": 5}, {"samples": [{"hash": "13r53qQ1EIF", "uri": "/contracts/13r53qQ1EIF#legal-format", "label": "Underwriting Agreement (CVS Caremark Corp)", "score": 21.0, "published": true}], "size": 2, "snippet_links": [{"key": "registration-no", "type": "clause", "offset": [16, 31]}, {"key": "settlement-date", "type": "clause", "offset": [45, 60]}, {"key": "maturity-date", "type": "definition", "offset": [87, 100]}, {"key": "issue-price", "type": "definition", "offset": [121, 132]}, {"key": "principal-amount", "type": "clause", "offset": [145, 161]}, {"key": "benchmark-treasury", "type": "clause", "offset": [177, 195]}, {"key": "basis-points", "type": "definition", "offset": [302, 314]}, {"key": "yield-to-maturity", "type": "definition", "offset": [324, 341]}, {"key": "interest-payment-dates", "type": "definition", "offset": [349, 371]}, {"key": "march-15", "type": "clause", "offset": [390, 398]}, {"key": "commencing-on", "type": "clause", "offset": [417, 430]}, {"key": "change-of-control-of", "type": "definition", "offset": [499, 519]}, {"key": "investment-grade-rating", "type": 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+187.5 basis points (1.875%) Yield to Maturity 6.149% Interest Payment Dates: Semi-annually on March 15 and September 15, commencing on March 15, 2010 Change of Control: Upon the occurrence of both (i) a change of control of CVS Caremark and (ii) a downgrade of the notes below an investment grade rating by each of Fitch Ratings, M\u2587\u2587\u2587\u2587\u2019\u2587 Investors Service, Inc. and Standard & Poor\u2019s Ratings Services within a specified period, CVS Caremark will be required to make an offer to purchase the notes at a price equal to 101% of their principal amount, plus accrued and unpaid interest to the date of repurchase. See \u201cDescription of the Notes \u2013 Change of Control\u201d on page S-14 of the Preliminary Prospectus Supplement dated September 8, 2009.", "hash": "9b39e6d3ae1c9971f68d72f05ba6cc62", "id": 6}, {"samples": [{"hash": "2cvGrbbLX13", "uri": "/contracts/2cvGrbbLX13#legal-format", "label": "Underwriting Agreement (Athene Holding LTD)", "score": 31.9438743591, "published": true}], "size": 2, "snippet_links": [{"key": "aggregate-principal-amount", "type": "definition", "offset": [15, 41]}, {"key": "senior-unsecured", "type": "clause", "offset": [80, 96]}, {"key": "maturity-date", "type": "definition", "offset": [97, 110]}, {"key": "price-to-the-public", "type": "definition", "offset": [129, 148]}, {"key": "accrued-interest", "type": "definition", "offset": [183, 199]}, {"key": "from-december", "type": "clause", "offset": [209, 222]}, {"key": "proceeds-to-issuer", "type": "clause", "offset": [236, 254]}, {"key": "interest-payment-dates", "type": "definition", "offset": [285, 307]}, {"key": "each-year", "type": "definition", "offset": [352, 361]}, {"key": "commencing-on", "type": "clause", "offset": [363, 376]}], "snippet": "SEC Registered Aggregate Principal Amount: $600,000,000 Coupon: 5.875% Ranking: Senior Unsecured Maturity Date: January 15, 2034 Price to the Public: 98.174% of principal amount plus accrued interest, if any, from December 12, 2023 Net Proceeds to Issuer Before Expenses: $585,144,000 Interest Payment Dates: Semi-annually on January 15 and July 15 of each year, commencing on July 15, 2024", "hash": "40e68f112a5cb2afda48843d8af8a4f7", "id": 7}, {"samples": [{"hash": "e32rbXgKQpz", "uri": "/contracts/e32rbXgKQpz#legal-format", "label": "Purchase Agreement (Puget Energy Inc /Wa)", "score": 34.1950721741, "published": true}], "size": 2, "snippet_links": [{"key": "rule-144a", "type": "definition", "offset": [0, 9]}, {"key": "regulation-s", "type": "definition", "offset": [14, 26]}, {"key": "registration-rights", "type": "definition", "offset": [32, 51]}, {"key": "the-preliminary-offering-memorandum", "type": "clause", "offset": [68, 103]}, {"key": "title-of-securities", "type": "definition", "offset": [104, 123]}, {"key": "senior-secured-notes", "type": "definition", "offset": [132, 152]}, {"key": "march-15", "type": "clause", "offset": [157, 165]}, {"key": "intentionally-omitted", "type": "definition", "offset": [231, 252]}, {"key": "trade-date", "type": "definition", "offset": [254, 264]}, {"key": "settlement-date", "type": "clause", "offset": [281, 296]}, {"key": "maturity-date", "type": "definition", "offset": [352, 365]}, {"key": "issue-price", "type": "definition", "offset": [382, 393]}, {"key": "the-principal-amount", "type": "definition", "offset": [407, 427]}, {"key": "benchmark-treasury", "type": "clause", "offset": [428, 446]}, {"key": "treasury-price", "type": "definition", "offset": [487, 501]}, {"key": "yield-to-maturity", "type": "definition", "offset": [564, 581]}, {"key": "interest-payment-dates", "type": "definition", "offset": [605, 627]}, {"key": "on-march", "type": "clause", "offset": [643, 651]}, {"key": "beginning-on", "type": "clause", "offset": [673, 685]}], "snippet": "Rule 144A and Regulation S with registration rights as set forth in the Preliminary Offering Memorandum Title of Securities: 5.725% Senior Secured Notes due March 15, 2035 (the \u201cNotes\u201d) Anticipated Ratings (\u2587\u2587\u2587\u2587\u2587\u2019\u2587; 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Floating Rate Period: From, and including, July 26, 2034, to, but excluding, the maturity date. Coupon: Fixed Rate Period: 6.184% per annum. Floating Rate Period: Compounded SOFR, determined as set forth under \u201cDescription of Notes\u2014Principal Amount; Maturity and Interest\u2014Floating Rate Period\u201d in the preliminary prospectus supplement, plus 229 basis points. Issue Price: 100.000% Benchmark Treasury: 4.375% due May 15, 2034 Benchmark Treasury Yield: 4.264% Spread to Benchmark Treasury: 192 bps Yield to Maturity: 6.184% Interest Payment Dates: Fixed Rate Period: Semi-annually, in arrears, on January 26 and July 26 of each year, beginning on January 26, 2025, and ending on July 26, 2034. Floating Rate Period: Quarterly, in arrears, on October 26, 2034, January 26, 2035, April 26, 2035, and at the maturity date.", "hash": "e0928842b8d13bef0a79b2d78d74c10e", "id": 9}, {"samples": [{"hash": "2PSURM2Ns0A", "uri": "/contracts/2PSURM2Ns0A#legal-format", "label": "Underwriting Agreement (Prologis, Inc.)", "score": 35.3463363647, "published": true}], "size": 1, "snippet_links": [{"key": "senior-unsecured", "type": "clause", "offset": [0, 16]}, {"key": "registered-notes", "type": "clause", "offset": [21, 37]}, {"key": "maturity-date", "type": "definition", "offset": [86, 99]}, {"key": "per-annum", "type": "clause", "offset": [128, 137]}, {"key": "price-to-public", "type": "clause", "offset": [156, 171]}, {"key": "underwriting-discount", "type": "definition", "offset": [181, 202]}, {"key": "net-proceeds", "type": "clause", "offset": [211, 223]}, {"key": "annual-yield", "type": "definition", "offset": [271, 283]}, {"key": "benchmark-security", "type": "definition", "offset": [292, 310]}, {"key": "basis-points", "type": "definition", "offset": [428, 440]}, {"key": "interest-payment-dates", "type": "definition", "offset": [462, 484]}, {"key": "each-year", "type": "definition", "offset": [495, 504]}, {"key": "day-count-convention", "type": "clause", "offset": [529, 549]}], "snippet": "Senior Unsecured SEC Registered Notes Securities: 5.625% Notes due 2040 (the \u201cNotes\u201d) Maturity Date: May 4, 2040 Coupon: 5.625% per annum, payable annually Price to Public: 99.534% Underwriting Discount: 0.500% Net Proceeds, Before Expenses, to Issuer: \u00a3346,619,000 Semi-Annual Yield: 5.592% Benchmark Security: 4.250% UKT due December 7, 2040 Benchmark Security Yield/Price: 4.542% / 96.615% Spread to Benchmark Security: +105 basis points Annual Yield: 5.670% Interest Payment Dates: May 4 of each year, commencing May 4, 2025 Day Count Convention: Actual/Actual (ICMA)", "hash": "cb508a890190fe339df742ddcb6c240b", "id": 10}], "next_curs": "ClkSU2oVc35sYXdpbnNpZGVyY29udHJhY3RzcjULEhpEZWZpbml0aW9uU25pcHBldEdyb3VwX3Y1NiIVbGVnYWwtZm9ybWF0IzAwMDAwMDBhDKIBAmVuGAAgAA==", "definition": {"size": 48, "title": "Legal Format", "snippet": "SEC Registered Trade Date: February 10, 2015 Settlement Date: February 13, 2015 (T+3) Final Maturity Date: February 13, \u2587\u2587\u2587\u2587 \u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587 \u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587 \u2587\u2587\u2587\u2587\u2587\u2587: $650,000,000 Gross Proceeds: $640,289,000 Underwriting Discount: 0.900% Net Proceeds to Ally before Estimated Expenses: $634,439,000 Coupon: 4.125% Issue Price: 98.506% Benchmark Treasury: 1.500% due January 31, 2022 Benchmark Treasury Yield: 1.819% Spread to Benchmark Treasury: 255.6 bps Yield to Maturity: 4.375% Interest Payment Dates: Semi-annually, in arrears on February 13 and August 13 of each year, until maturity, commencing August 13, 2015 Optional Redemption: None Day Count Convention: 30/360; Unadjusted, Following Business Day convention Business Days: New York CUSIP/ISIN Numbers: CUSIP: 02005N AY6 ISIN: US02005NAY67 Joint Book-Running Managers: Citigroup Global Markets Inc. \u2587\u2587\u2587\u2587\u2587\u2587\u2587, \u2587\u2587\u2587\u2587\u2587 & Co. \u2587\u2587\u2587\u2587\u2587\u2587\u2587 Lynch, Pierce, \u2587\u2587\u2587\u2587\u2587\u2587 & \u2587\u2587\u2587\u2587\u2587 Incorporated \u2587\u2587\u2587\u2587\u2587\u2587 \u2587\u2587\u2587\u2587\u2587\u2587\u2587 & Co. LLC Co-Managers: Credit Agricole Securities (USA) Inc. Lloyds Securities Inc. PNC Capital Markets LLC Scotia Capital (USA) Inc. U.S. Bancorp Investments, Inc. CAVU Securities, LLC Great Pacific Securities \u2587\u2587\u2587\u2587\u2587\u2587\u2587 \u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587 Shank & Co., L.L.C. Telsey Advisory Group LLC The \u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587 Capital Group, L.P. Denominations: $2,000 x $1,000 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. This communication should be read in conjunction with the preliminary prospectus supplement and the accompanying prospectus. The information in this communication supersedes the information in the preliminary prospectus supplement and the accompanying prospectus to the extent it is inconsistent with the information in such preliminary prospectus supplement or the accompanying prospectus. The Term Sheet Included In Schedule I Hereto Relating to the 3.250% Senior Notes due 2018. The Term Sheet Included In Schedule I Hereto Relating to the 4.125% Senior Notes due 2022. Based upon and subject to the foregoing and to the further limitations and qualifications set forth below, I am of the opinion that:", "id": "legal-format", "examples": ["Designation: ______% Junior Subordinated Debentures <strong>Legal Format</strong>: SEC Registered Principal Amount: $_____________ Over-allotment Option: .", "Waiver of set-off Applicable <strong>Legal Format</strong>: SEC Registered Trade Date: September 7, 2021 Expected Settlement Date: September 14, 2021 (T+5) Maturity Date: Perpetual, with no fixed maturity or fixed redemption date.", "<strong>Legal Format</strong>: SEC Registered Trade Date: November 16, 2009 Settlement Date: November 19, 2009 Designation: 4.875% Senior Notes due 2019 Ratings: Baa2 (\u2587\u2587\u2587\u2587\u2587\u2019\u2587); BBB (S&amp;P); BBB (Fitch) Principal Amount: $350,000,000 Date of Maturity: December 1, 2019 Interest Rate: 4.875% Interest Payment Dates: Payable semiannually on June 1 and December 1 of each year, commencing June 1, 2010.", "Issuer: \u2587\u2587\u2587\u2587\u2587 \u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587 Corporation Ratings*: Baa2 (Moody\u2019s) / BBB (S&amp;P) (Stable/Stable) <strong>Legal Format</strong>: SEC-Registered Trade Date: \u2587\u2587\u2587\u2587\u2587 \u2587, \u2587\u2587\u2587\u2587 \u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587 Date**: March 15, 2023 (T+7) Joint Book-Running Managers: BofA Securities, Inc.", "Security Type: Senior Notes <strong>Legal Format</strong>: SEC Registered Settlement Date: November 7, 2012 Maturity Date: June 1, 2017 Issue Price: 106.00%, plus accrued and unpaid interest from June 1, 2012 Coupon: 5.75%.", "<strong>Legal Format</strong>: SEC Registered Denominations: $2,000 x $1,000 Joint Book-Running Managers: Deutsche Bank Securities Inc.", "Issuer: \u2587\u2587\u2587\u2587\u2587 \u2587\u2587\u2587\u2587\u2587\u2587\u2587\u2587 Corporation Ratings*: Baa2 (Moody\u2019s) / BBB (S&amp;P) <strong>Legal Format</strong>: SEC-Registered Trade Date: August 10, 2021 Settlement Date**: August 18, 2021 (T+6) Joint Book-Running Managers: \u2587\u2587\u2587\u2587\u2587\u2587\u2587 \u2587\u2587\u2587\u2587\u2587 &amp; Co. LLC BofA Securities, Inc.", "Issuer: Barclays PLC (the \u201cIssuer\u201d) Notes: $1,000,000,000 2.645% Fixed Rate Resetting Senior Callable Notes due 2031 (the \u201cNotes\u201d) Status: Senior Debt / Unsecured <strong>Legal Format</strong>: SEC registered Principal Amount: $1,000,000,000 Trade Date: June 17, 2020 Settlement Date: June 24, 2020 (T+5) (the \u201cIssue Date\u201d) Maturity Date: June 24, 2031 (the \u201cMaturity Date\u201d) Coupon: From (and including) the Issue Date to (but excluding) the Reset Date, the Notes will bear interest at a rate of 2.645% per annum.", "Designation: 8.75% Junior Subordinated Debentures <strong>Legal Format</strong>: SEC Registered Principal Amount: $275,000,000 Over-allotment Option: The underwriters have an option to purchase up to an additional $41,250,000 aggregate principal amount of the Junior Subordinated Debentures at the initial public offering price, exercisable for 30 days from the date hereof.", "Issuer: BNC Bancorp (\u201cBNCN\u201d / NASDAQ) Security Type: 5.5% Fixed-to-Floating Rate Subordinated Notes due October 1, 2024 <strong>Legal Format</strong>: SEC Registered Aggregate Principal Amount: $60,000,000 Rating: Unrated Maturity: October 1, 2024 Trade Date: September 25, 2014 Settlement Date (T+3): September 30, 2014 Interest Rate: 5.5% per annum, from and including September 30, 2014 to but excluding October 1, 2019, payable semi-annually in arrears."], "related": [["format", "Format", "Format"], ["facsimile-fax-prescription", "Facsimile (FAX) prescription", "Facsimile (FAX) prescription"], ["pdf", "pdf", "pdf"], ["portable", "Portable", "Portable"], ["machine-readable-format", "machine-readable format", "machine-readable format"]], "related_snippets": [], "updated": "2026-03-29T04:25:46+00:00"}, "json": true, "cursor": ""}}