Ppl Electric Utilities Corp

Underwriting Agreements Filter

EX-1.(A)
from 8-K 34 pages Exhibit 1(a) Ppl Electric Utilities Corporation $650,000,000 First Mortgage Bonds, 4.85% Series Due 2034 Underwriting Agreement January 2, 2024 Bmo Capital Markets Corp. 151 West 42nd Street New York, New York 10036 Bofa Securities, Inc. One Bryant Park New York, New York 10036 Cibc World Markets Corp. 300 Madison Avenue, 8th Floor New York, New York 10017 Wells Fargo Securities, LLC 550 South Tryon Street, 5th Floor Charlotte, North Carolina 28202 as Representatives of the Several Underwriters Ladies and Gentlemen: 1. Introductory. Ppl Electric Utilities Corporation, a Pennsylvania Corporation (“Company”), Proposes to Issue and Sell, and the Several Underwriters Named in Section 3 Hereof (The “Underwriters”), for Whom You Are Acting as Representatives (The “Representatives”), Propose, Severally and Not Jointly, to Purchase, Upon the Terms and Conditions Set Forth Herein, $650,000,000 Aggregate Principal Amount of the Company’s First Mortgage Bonds, 4.85% Series Due 2034 (The “Bonds”) to Be Issued Under an Indenture, Dated as of August 1, 2001, Between the Company and the Bank of New York Mellon, as Trustee Thereunder (The “Trustee”), as Previously Amended and Supplemented and as to Be Further Amended and Supplemented by Supplemental Indenture No. 25 Thereto Relating to the Bonds (The “Supplemental Indenture”), Dated as of January 1, 2024 (Such Indenture, as So Supplemented, the “Indenture”). the Company Has Filed With the Securities and Exchange Commission (The “Commission”) an Automatic Shelf Registration Statement (No. 333-253290-03) on Form S-3, Including the Related Preliminary Prospectus or Prospectus, Which Registration Statement Became Effective Upon Filing Under Rule 462(e) (“Rule 462(e)”) of the Rules and Regulations of the Commission (The “Securities Act Regulations”) Under the Securities Act of 1933, as Amended (The
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EX-1.(A)
from 8-K 36 pages Ppl Electric Utilities Corporation $1,350,000,000 $600,000,000 First Mortgage Bonds, 5.00% Series Due 2033 $750,000,000 First Mortgage Bonds, 5.25% Series Due 2053 Underwriting Agreement February 27, 2023 Barclays Capital Inc. 745 Seventh Avenue New York, New York 10019 PNC Capital Markets LLC 300 Fifth Avenue, 10th Floor Pittsburgh, Pennsylvania 15222 Scotia Capital (USA) Inc. 250 Vesey Street New York, New York 10281 U.S. Bancorp Investments, Inc. 214 North Tryon Street, 26th Floor Charlotte, North Carolina 28202 as Representatives of the Several Underwriters Ladies and Gentlemen: 1. Introductory. Ppl Electric Utilities Corporation, a Pennsylvania Corporation (“Company”), Proposes to Issue and Sell, and the Several Underwriters Named in Section 3 Hereof (The “Underwriters”), for Whom You Are Acting as Representatives (The “Representatives”), Propose, Severally and Not Jointly, to Purchase, Upon the Terms and Conditions Set Forth Herein, (I) $600,000,000 Aggregate Principal Amount of the Company’s First Mortgage Bonds, 5.00% Series Due 2033 (The “2033 Bonds”) and (II) $750,000,000 Aggregate Principal Amount of the Company’s First Mortgage Bonds, 5.25% Series Due 2053 (The “2053 Bonds” and Together With the 2033 Bonds, the “Bonds”) to Be Issued Under an Indenture, Dated as of August 1, 2001, Between the Company and the Bank of New York Mellon, as Trustee Thereunder (The “Trustee”), as Previously Amended and Supplemented and as to Be Further Amended and Supplemented by Supplemental Indenture No. 24 Thereto Relating to the Bonds (The “Supplemental Indenture”), Dated as of March 1, 2023 (Such Indenture, as So Supplemented, the “Indenture”). the Company Has Filed With the Securities and Exchange Commission (The “Commission”) an Automatic Shelf Registration Statement (No. 333-253290-03) on Form S-3, Exhibit 1
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EX-1.A
from 8-K 34 pages Exhibit 1(a) Ppl Electric Utilities Corporation $650,000,000 First Mortgage Bonds, Floating Rate Series Due 2024 Underwriting Agreement June 21, 2021 Bofa Securities, Inc. One Bryant Park New York, New York 10036 Citigroup Global Markets Inc. 388 Greenwich Street New York, New York 10013 Mizuho Securities USA LLC 1271 Avenue of the Americas New York, New York 10020 PNC Capital Markets LLC 300 Fifth Avenue, 10th Floor Pittsburgh, Pennsylvania 15222 as Representatives of the Several Underwriters Ladies and Gentlemen: 1. Introductory. Ppl Electric Utilities Corporation, a Pennsylvania Corporation (“Company”), Proposes to Issue and Sell, and the Several Underwriters Named in Section 3 Hereof (The “Underwriters”), for Whom You Are Acting as Representatives (The “Representatives”), Propose, Severally and Not Jointly, to Purchase, Upon the Terms and Conditions Set Forth Herein, $650,000,000 Aggregate Principal Amount of the Company’s First Mortgage Bonds, Floating Rate Series Due 2024 (The “Bonds”) to Be Issued Under an Indenture, Dated as of August 1, 2001, Between the Company and the Bank of New York Mellon, as Trustee Thereunder (The “Trustee”), as Previously Amended and Supplemented and as to Be Further Amended and Supplemented by Supplemental Indenture No. 23 Thereto Relating to the Bonds (The “Supplemental Indenture”), Dated as of June 15, 2021 (Such Indenture, as So Supplemented, the “Indenture”). the Company Has Filed With the Securities and Exchange Commission (The “Commission”) an Automatic Shelf Registration Statement (No. 333-253290-03) on Form S-3, Including the Related Preliminary Prospectus or Prospectus, Which Registration Statement Became Effective Upon Filing Under Rule 462(e) (“Rule 462(e)”) of the Rules and Regulations of the Commission (The “Securities Act Regulations”) Under the Securities Act of 1933, as Amended (The “Securities Act”). Such Registration Statement Covers the Registration of the Bonds Under The
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EX-1.(A)
from 8-K 32 pages Ppl Electric Utilities Corporation $250,000,000 First Mortgage Bonds, Floating Rate Series Due 2023 Underwriting Agreement
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EX-1.A
from 10-Q 7 pages Final Terms
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EX-1.A
from 8-K 33 pages Ppl Electric Utilities Corporation $400,000,000 First Mortgage Bonds, 3.00% Series Due 2049 Underwriting Agreement
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EX-1.A
from 10-Q 6 pages Western Power Distribution (West Midlands) PLC Issue of Gbp 30,000,000 Rpi Index Linked Senior Unsecured Notes Due May 2028 Under the £3,000,000,000 Euro Medium Term Note Programme Part a Contractual Terms
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EX-1.A
from 8-K 35 pages Ppl Electric Utilities Corporation $400,000,000 First Mortgage Bonds, 4.15% Series Due 2048 Underwriting Agreement
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EX-1.B
from 10-Q 7 pages Western Power Distribution (South Wales) PLC Issue of Gbp 30,000,000 Rpi Index Linked Senior Unsecured Notes Due March 2036 Under the £3,000,000,000 Euro Medium Term Note Programme Part a Contractual Terms
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EX-1.(A)
from 8-K 35 pages Ppl Electric Utilities Corporation $475,000,000 First Mortgage Bonds, 3.950% Series Due 2047 Underwriting Agreement
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EX-1.(A)
from 8-K 36 pages Ppl Electric Utilities Corporation $350,000,000 First Mortgage Bonds, 4.150% Series Due 2045 Underwriting Agreement
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EX-1.C
from 10-Q 6 pages Final Terms
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EX-1.A
from 8-K 6 pages Ppl Electric Utilities Corporation $300,000,000 First Mortgage Bonds, 4.125% Series Due 2044 Underwriting Agreement
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EX-1.A
from 8-K 7 pages Ppl Electric Utilities Corporation $350,000,000 First Mortgage Bonds, 4.75% Series Due 2043 Underwriting Agreement
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EX-1.A
from 8-K 6 pages Ppl Electric Utilities Corporation $250,000,000 First Mortgage Bonds, 2.50% Series Due 2022 Underwriting Agreement
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EX-1.A
from 8-K 33 pages Ppl Electric Utilities Corporation $400,000,000 First Mortgage Bonds, 3.00% Series Due 2021 Underwriting Agreement
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EX-1.A
from 8-K 5 pages Ppl Electric Utilities Corporation $250,000,000 First Mortgage Bonds, 5.20% Series Due 2041 Underwriting Agreement
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EX-1.A
from 8-K 5 pages Ppl Electric Utilities Corporation $300,000,000 First Mortgage Bonds, 6.25% Series Due 2039 Underwriting Agreement
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EX-1.B
from 8-K 5 pages Ppl Electric Utilities Corporation $25,000,000 Senior Secured Bonds, 7.125% Series Due 2013 Underwriting Agreement
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EX-1.A
from 8-K 4 pages Ppl Electric Utilities Corporation $375,000,000 Senior Secured Bonds, 7.125% Series Due 2013 Underwriting Agreement
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