MMM Prices €1.5 Billion Notes Offering Across 3.500% 2028, 3.900% 2031, 4.100% 2034 Tranches

· The NYC Memo

3M Company entered into an Underwriting Agreement on September 3, 2026, for the sale of €1.5 billion aggregate principal amount of notes. The offering consisted of €500 million of 3.500% Notes due 2028, €500 million of 3.900% Notes due 2031, and €500 million of 4.100% Notes due 2034, which closed on September 10, 2026.

Net proceeds are designated for general corporate purposes, including indebtedness repayment or refinancing.

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