PRICING SUPPLEMENT
Dated September 18, 2023 |
Issuer Free Writing Prospectus
Filed Pursuant to Rule 433 Registration Statement No. 333-260359 Supplementing the Preliminary Prospectus
Supplement, dated September 18, 2023 and
the Base Prospectus, dated October 19, 2021
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Issuers:
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AerCap Ireland Capital Designated Activity Company and AerCap Global Aviation Trust
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Notes Offered:
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6.100% Senior Notes due 2027 (the “2027 Notes”)
6.150% Senior Notes due 2030 (the “2030 Notes” and, together with the 2027 Notes, the “Notes”) |
Ratings1:
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Baa2 / BBB / BBB (Moody’s / S&P / Fitch)
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Distribution:
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SEC Registered
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Trade Date:
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September 18, 2023
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Settlement Date:
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September 25, 2023 (T+5)
We expect that delivery of the Notes will be made to investors on or about September 25, 2023, which will be the fifth business day following the date hereof (such settlement cycle being referred to as “T+5”). Under
Rule 15c6-1 under the Securities Exchange Act of 1934, as amended, trades in the secondary market generally are required to settle in two business days, unless the parties to any such trade expressly agree otherwise. Accordingly, purchasers
who wish to trade the Notes prior to the second business day before delivery of the Notes hereunder will be required, by virtue of the fact that the Notes will initially settle in T+5, to specify an alternate settlement cycle at the time of
any such trade to prevent a failed settlement. Purchasers of the Notes who wish to trade the Notes prior to the second business day before the date of delivery should consult their advisors.
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Principal Amount:
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2027 Notes: $900,000,000
2030 Notes: $850,000,000 |
Maturity Date:
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2027 Notes: January 15, 2027
2030 Notes: September 30, 2030 |
Coupon:
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2027 Notes: 6.100%
2030 Notes: 6.150% |
Issue Price to Public:
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2027 Notes: 99.540% of the principal amount
2030 Notes: 99.371% of the principal amount In each case, plus accrued interest, if any, from September 25, 2023
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Gross Proceeds:
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2027 Notes: $895,860,000
2030 Notes: $844,653,500 |
Benchmark Treasury:
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2027 Notes: UST 4.625% due September 2026
2030 Notes: UST 4.125% due August 2030 |
Benchmark Treasury Price:
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2027 Notes: 99-21¾
2030 Notes: 98-09+ |
Yield:
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2027 Notes: 4.741%
2030 Notes: 4.412% |
Spread to Benchmark Treasury:
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2027 Notes: +150 basis points
2030 Notes: +185 basis points |
Yield to Maturity:
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2027 Notes: 6.241%
2030 Notes: 6.262% |
Interest Payment Dates:
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2027 Notes: January 15 and July 15, beginning on July 15, 2024
2030 Notes: March 30 and September 30, beginning on March 30, 2024 |
Optional Redemption:
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2027 Notes: Following issuance and prior to December 15, 2026, make-whole call at T+25 basis points. At any time on or after December 15, 2026, par call.
2030 Notes: Following issuance and prior to July 30, 2030, make-whole call at T+30 basis points. At any time on or after July 30, 2030, par call.
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Optional Tax Redemption:
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If the Issuers become obligated to pay any additional amounts as a result of any change in the law of Ireland or certain other relevant taxing jurisdictions that is announced or becomes
effective on or after the date on which the Notes are issued (or the date the relevant taxing jurisdiction became applicable, if later), the Issuers may redeem the Notes at their option in whole, but not in part, at any time at a price equal
to 100% of the principal amount of the Notes, plus accrued and unpaid interest, if any, to, but not including, the redemption date and additional amounts, if any.
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CUSIP / ISIN:
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2027 Notes: 00774MBD6 / US00774MBD65
2030 Notes: 00774MBE4 / US00774MBE49 |
Other Information
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Denominations:
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$150,000 and integral multiples of $1,000 in excess thereof
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Underwriters:
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Joint Active Book-Running Managers:
BNP Paribas Securities Corp.
BofA Securities, Inc.
J.P. Morgan Securities LLC
Mizuho Securities USA LLC Santander US Capital Markets LLC Joint Passive Book-Running Managers:
Citizens JMP Securities, LLC
KeyBanc Capital Markets Inc. Regions Securities LLC Scotia Capital (USA) Inc. TD Securities (USA) LLC |