Issuer:
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Otis Worldwide Corporation
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Offering Format:
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SEC Registered
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Title of Securities:
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5.125% Notes due 2031 (the “Notes”)
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Trade Date:
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November 12, 2024
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Settlement Date*:
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November 19, 2024 (T+5)
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Expected Ratings (Moody’s / S&P)**:
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Baa1 / BBB
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Principal Amount:
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$600,000,000
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Maturity Date:
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November 19, 2031
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Interest Payment Dates:
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May 19 and November 19 of each year,
beginning on May 19, 2025
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Benchmark Treasury:
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4.125% UST due October 31, 2031
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Benchmark Treasury Price/Yield:
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98-161/8 / 4.376%
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Spread to Benchmark Treasury:
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+75 basis points
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Yield to Maturity:
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5.126%
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Price to Public:
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99.994% of the principal amount
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Coupon:
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5.125%
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Day Count Convention:
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30/360
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Underwriting Discount:
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0.625%
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Make-Whole Call:
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At any time and from time to time, prior to September 19, 2031, Treasury Rate plus 15 basis points
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Par Call:
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On or after September 19, 2031 (two months prior to the maturity date of the Notes)
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Change of Control Offer:
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101%
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Minimum Denominations:
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$2,000 x $1,000
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Net Proceeds (before expenses):
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$596,214,000
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Joint Book-Running Managers:
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HSBC Securities (USA) Inc.
J.P. Morgan Securities LLC
Morgan Stanley & Co. LLC
SMBC Nikko Securities America, Inc.
BofA Securities, Inc.
Citigroup Global Markets Inc.
Goldman Sachs & Co. LLC
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Senior Co-Managers:
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Barclays Capital Inc.
BNP Paribas Securities Corp.
Commerz Markets LLC
Deutsche Bank Securities Inc.
Intesa Sanpaolo IMI Securities Corp.
Loop Capital Markets LLC
Santander US Capital Markets LLC
SG Americas Securities, LLC
UniCredit Capital Markets LLC
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Co-Managers:
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Academy Securities, Inc.
ICBC Standard Bank Plc
Westpac Capital Markets LLC
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CUSIP / ISIN:
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68902VAR8 / US68902VAR87
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