Issuer: | The Home Depot, Inc. | |||||||||||||||||||||||||
Expected Ratings (Moody’s/S&P/Fitch)*: | A2/A/A | |||||||||||||||||||||||||
Trade Date: | June 17, 2024 | |||||||||||||||||||||||||
Settlement Date (T+5): | June 25, 2024. Under Rule 15c6-1 of the Securities Exchange Act of 1934, as amended, trades in the secondary market generally are required to settle in one business day, unless the parties to any such trade expressly agree otherwise. Accordingly, investors who wish to trade the Notes prior to one business day before delivery of the Notes will be required, by virtue of the fact that the Notes initially will settle in T+5, to specify alternative settlement arrangements to prevent a failed settlement. | |||||||||||||||||||||||||
$900,000,000 5.100% Notes due December 24, 2025 $1,500,000,000 5.150% Notes due June 25, 2026 $1,000,000,000 4.875% Notes due June 25, 2027 $1,250,000,000 4.750% Notes due June 25, 2029 $1,000,000,000 4.850% Notes due June 25, 2031 $1,750,000,000 4.950% Notes due June 25, 2034 $1,500,000,000 5.300% Notes due June 25, 2054 $500,000,000 5.400% Notes due June 25, 2064 | ||||||||||||||||||||||||||
Title of Securities: | 5.100% Notes due December 24, 2025 | 5.150% Notes due June 25, 2026 | 4.875% Notes due June 25, 2027 | 4.750% Notes due June 25, 2029 | 4.850% Notes due June 25, 2031 | 4.950% Notes due June 25, 2034 | 5.300% Notes due June 25, 2054 | 5.400% Notes due June 25, 2064 | ||||||||||||||||||
Principal Amount: | $900,000,000 | $1,500,000,000 | $1,000,000,000 | $1,250,000,000 | $1,000,000,000 | $1,750,000,000 | $1,500,000,000 | $500,000,000 | ||||||||||||||||||
Maturity Date: | December 24, 2025 | June 25, 2026 | June 25, 2027 | June 25, 2029 | June 25, 2031 | June 25, 2034 | June 25, 2054 | June 25, 2064 | ||||||||||||||||||
Treasury Benchmark: | 4.875% due May 31, 2026 | 4.875% due May 31, 2026 | 4.625% due June 15, 2027 | 4.500% due May 31, 2029 | 4.625% due May 31, 2031 | 4.375% due May 15, 2034 | 4.250% due February 15, 2054 | 4.250% due February 15, 2054 | ||||||||||||||||||
Benchmark Yield: | 4.759% | 4.759% | 4.495% | 4.297% | 4.271% | 4.273% | 4.406% | 4.406% | ||||||||||||||||||
Spread to Benchmark: | 40 bps | 45 bps | 50 bps | 60 bps | 70 bps | 80 bps | 100 bps | 110 bps | ||||||||||||||||||
Reoffer Yield: | 5.159% | 5.209% | 4.995% | 4.897% | 4.971% | 5.073% | 5.406% | 5.506% | ||||||||||||||||||
Price to Public: | 99.916% | 99.889% | 99.669% | 99.355% | 99.292% | 99.045% | 98.435% | 98.294% | ||||||||||||||||||
Coupon: | 5.100% per annum | 5.150% per annum | 4.875% per annum | 4.750% per annum | 4.850% per annum | 4.950% per annum | 5.300% per annum | 5.400% per annum | ||||||||||||||||||
Interest Payment Dates: | Semi-annually on each June 24 and December 24, commencing on December 24, 2024. | Semi-annually on each June 25 and December 25, commencing on December 25, 2024. | Semi-annually on each June 25 and December 25, commencing on December 25, 2024. | Semi-annually on each June 25 and December 25, commencing on December 25, 2024. | Semi-annually on each June 25 and December 25, commencing on December 25, 2024. | Semi-annually on each June 25 and December 25, commencing on December 25, 2024. | Semi-annually on each June 25 and December 25, commencing on December 25, 2024. | Semi-annually on each June 25 and December 25, commencing on December 25, 2024. | ||||||||||||||||||
Optional Redemption: | Make-whole call at T+10 bps. | Make-whole call at T+10 bps. | Prior to May 25, 2027, make-whole call at T+10 bps; par call on and after May 25, 2027. | Prior to May 25, 2029, make-whole call at T+10 bps; par call on and after May 25, 2029. | Prior to April 25, 2031, make-whole call at T+15 bps; par call on and after April 25, 2031. | Prior to March 25, 2034, make-whole call at T+15 bps; par call on and after March 25, 2034. | Prior to December 25, 2053, make-whole call at T+15 bps; par call on and after December 25, 2053. | Prior to December 25, 2063, make-whole call at T+20 bps; par call on and after December 25, 2063. | ||||||||||||||||||
Day Count Convention: | 30/360 | 30/360 | 30/360 | 30/360 | 30/360 | 30/360 | 30/360 | 30/360 | ||||||||||||||||||
CUSIP/ISIN: | 437076CX8 / US437076CX85 | 437076CZ3 / US437076CZ34 | 437076DB5 / US437076DB56 | 437076DC3 / US437076DC30 | 437076DD1 / US437076DD13 | 437076DE9 / US437076DE95 | 437076DF6 / US437076DF60 | 437076DG4 / US437076DG44 |
Title of Securities: | Floating Rate Notes due December 24, 2025 (the “Floating Rate Notes”) | ||||
Principal Amount: | $600,000,000 | ||||
Maturity Date: | December 24, 2025 | ||||
Interest Rate Basis: | Compounded SOFR (as defined in the Preliminary Prospectus Supplement dated June 17, 2024) | ||||
Spread: | 33 bps | ||||
Interest Payment Dates: | Quarterly on March 24, June 24, September 24 and December 24, commencing September 24, 2024 | ||||
Interest Reset Dates | Each Interest Payment Date, commencing September 24, 2024 | ||||
Initial Interest Determination Date: | September 20, 2024 | ||||
Interest Determination Date: | Second U.S. Government Securities Business Day prior to each Interest Reset Date | ||||
U.S. Government Securities Business Day: | A “U.S. Government Securities Business Day” is any day except for a Saturday, a Sunday or a day on which the Securities Industry and Financial Markets Association recommends that the fixed income departments of its members be closed for the entire day for purposes of trading in U.S. government securities | ||||
Initial Rate Determination: | Compounded SOFR determined on September 20, 2024 plus the Spread, accruing from and including June 25, 2024 to but excluding the first Interest Payment Date, calculated as described in the Preliminary Prospectus Supplement dated June 17, 2024 | ||||
Price to Public: | 100.000% | ||||
Redemption: | The Floating Rate Notes shall not be redeemable prior to their maturity. | ||||
Day Count Convention: | Actual/360 | ||||
CUSIP/ISIN: | 437076CY6 / US437076CY68 | ||||
Joint Book-Running Managers: | J.P. Morgan Securities LLC BofA Securities, Inc. Goldman Sachs & Co. LLC Morgan Stanley & Co. LLC Barclays Capital Inc. Deutsche Bank Securities Inc. U.S. Bancorp Investments, Inc. Wells Fargo Securities, LLC |
Co-Managers: | Mizuho Securities USA LLC RBC Capital Markets, LLC TD Securities (USA) LLC Truist Securities, Inc. BNY Mellon Capital Markets, LLC Citigroup Global Markets Inc. HSBC Securities (USA) Inc. Siebert Williams Shank & Co., LLC |