EX-1.2
from 8-K
41 pages
The Hershey Company Debt Securities $500,000,000 4.550% Notes Due February 24, 2028 $500,000,000 4.750% Notes Due February 24, 2030 $500,000,000 4.950% Notes Due February 24, 2032 $500,000,000 5.100% Notes Due February 24, 2035 Underwriting Agreement
12/34/56
EX-1.2
from 8-K
28 pages
The Hershey Company Debt Securities $300,000,000 0.900% Notes Due June 1, 2025 $350,000,000 1.700% Notes Due June 1, 2030 $350,000,000 2.650% Notes Due June 1, 2050 Underwriting Agreement
12/34/56
EX-1.2
from 8-K
31 pages
The Hershey Company Debt Securities $300,000,000 2.050% Notes Due November 15, 2024 $300,000,000 2.450% Notes Due November 15, 2029 $400,000,000 3.125% Notes Due November 15, 2049 Underwriting Agreement
12/34/56
EX-1.2
from 8-K
30 pages
The Hershey Company Debt Securities $350,000,000 2.900% Notes Due May 15, 2020 $350,000,000 3.100% Notes Due May 15, 2021 $500,000,000 3.375% Notes Due May 15, 2023 Underwriting Agreement
12/34/56