EX-1
from 8-K
25 pages
Ibm Credit LLC $2,000,000,000 Debt Securities $750,000,000 Floating Rate Notes Due 2020 $750,000,000 3.450% Notes Due 2020 $500,000,000 3.600% Notes Due 2021 Underwriting Agreement
12/34/56
EX-1
from 8-K
25 pages
Ibm Credit LLC $2,000,000,000 Debt Securities $450,000,000 Floating Rate Notes Due 2021 $800,000,000 2.650% Notes Due 2021 $750,000,000 3.000% Notes Due 2023 Underwriting Agreement
12/34/56
EX-1
from 8-K
27 pages
Ibm Credit LLC $3,000,000,000 Debt Securities $600,000,000 Floating Rate Notes Due 2019 $600,000,000 Floating Rate Notes Due 2021 $800,000,000 1.625% Notes Due 2019 $500,000,000 1.800% Notes Due 2021 $500,000,000 2.200% Notes Due 2022 Underwriting Agreement
12/34/56