ProspectCapital Corp. filed a pricing supplement for an offering of$859,000 of its 5.500% senior notes due May 15, 2021.
The trade date for the notes is May 2, and the settlementdate is May 5. Interest on the notes will start to accrue May 5 and will bepaid May 15 and Nov. 15 of each year, starting Nov. 15.
The company also filed a preliminary pricing supplement foran undetermined amount of 5.500% senior notes due May 15, 2021. The trade datefor the notes is May 9, and the settlement date is May 12. Interest on thenotes will begin to accrue May 12 and will be paid May 15 and Nov. 15 of eachyear, beginning Nov. 15.
The company expects to use the net proceeds from the sale ofthe notes initially to maintain balance sheet liquidity, involving repayment ofdebt under its credit facility, if any, and redemption of outstanding notes andother debt; to invest in high-quality, short-term debt instruments or acombination thereof; and thereafter to make long-term investments.
Incapital LLC, Bank of America Merrill Lynch, Citigroup andRBC Capital Markets are the underwriters for the offerings.