|
Issuer / Guarantor
|
OSI Systems Inc
|
|
Size
|
USD 500mn
|
|
Type
|
Convertible
|
|
Leads
|
BoA, JP Morgan, Goldman Sachs, Morgan Stanley, Wells Fargo, HSBC, Citigroup, Oppenheimer
|
|
|
|
|
Maturity
|
01 Feb 2031 (5.2 years)
|
|
Coupon
|
0.5% (0.5 - 1%)
|
|
Premium
|
32.5% (27.5 - 32.5%)
|
|
Calls
|
NC3; PC @ 130% w table MW
|
|
Puts
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t/o @ 100%
|
|
Div protection
|
Ratio adjustment (Full)
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|
T/o protection
|
Make-whole table
|
|
CoCo
|
130% to Oct 2030 (4.9 yrs)
|
|
Announced
|
17 Nov 2025
|
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