Filed pursuant to Rule 433
January 6, 2020
Relating to
Preliminary Prospectus Supplement dated January 6, 2020 to
Prospectus dated September 23, 2019
Registration Statement No. 333-233896-06
Duke Energy Carolinas, LLC
First and Refunding Mortgage Bonds,
$500,000,000 2.45% Series due 2030
$400,000,000 3.20% Series due 2049
Pricing Term Sheet
Issuer: |
| Duke Energy Carolinas, LLC (the “Issuer”) | ||
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Trade Date: |
| January 6, 2020 | ||
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Settlement Date: |
| January 8, 2020; T+2 | ||
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Ratings (Moody’s/S&P)*: |
| Aa2/A (Stable/Stable) | ||
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Security Description: |
| First and Refunding Mortgage Bonds, 2.45% Series due 2030 (the “2030 Bonds”) |
| First and Refunding Mortgage Bonds, 3.20% Series due 2049 (the “2049 Bonds”)
The 2049 Bonds will be part of the same series of first and refunding mortgage bonds as the $350,000,000 aggregate principal amount of the Issuer’s First and Refunding Mortgage Bonds, 3.20% Series due 2049 offered and sold pursuant to the prospectus supplement dated August 12, 2019 and the related accompanying prospectus. |
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Principal Amount: |
| $500,000,000 |
| $400,000,000 |
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Maturity Date: |
| February 1, 2030 |
| August 15, 2049 |
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Benchmark Treasury: |
| 1.75% due November 15, 2029 |
| 2.25% due August 15, 2049 |
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Benchmark Treasury Price: |
| 99 – 16 |
| 99 – 13 |
Benchmark Treasury Yield: |
| 1.806% |
| 2.278% |
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Spread to Benchmark Treasury: |
| +68 bps |
| +88 bps |
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Reoffer Yield: |
| 2.486% |
| 3.158% |
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Price to Public: |
| 99.680% per 2030 Bond, plus accrued interest, if any, from January 8, 2020 |
| 100.794% per 2049 Bond, plus accrued interest of $5,120,000 for the period from and including August 14, 2019 to, but excluding, the date of delivery |
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Coupon: |
| 2.45% |
| 3.20% (Interest on the 2049 Bonds will accrue from and including August 14, 2019 to, but excluding, the date of delivery) |
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Interest Payment Dates: |
| February 1 and August 1, beginning on August 1, 2020 |
| February 15 and August 15, beginning on February 15, 2020 |
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Redemption Provisions/ |
| At any time before November 1, 2029 (which is the date that is three months prior to maturity of the 2030 Bonds (the “2030 Par Call Date”)), redeemable at the Treasury Rate + 12.5 bps. At any time on or after the 2030 Par Call Date, redeemable at par. |
| At any time before February 15, 2049 (which is the date that is six months prior to maturity of the 2049 Bonds (the “2049 Par Call Date”)), redeemable at the Treasury Rate + 20 bps. At any time on or after the 2049 Par Call Date, redeemable at par. |
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CUSIP / ISIN: |
| 26442CBA1 / US26442CBA18 |
| 26442CAZ7 / US26442CAZ77 |
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Joint Book-Running Managers: |
| BofA Securities, Inc. Citigroup Global Markets Inc. MUFG Securities Americas Inc. Scotia Capital (USA) Inc. SMBC Nikko Securities Americas, Inc. Wells Fargo Securities, LLC | ||
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Co-Managers: |
| Regions Securities LLC Santander Investment Securities Inc. | ||
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Junior Co-Managers: |
| Academy Securities, Inc. Great Pacific Securities Samuel A. Ramirez & Company, Inc. |
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* A securities rating is not a recommendation to buy, sell or hold securities and may be subject to revision or withdrawal at any time.
The issuer has filed a registration statement (including a prospectus) with the SEC for the offering to which this communication relates. Before you invest, you should read the prospectus in that registration statement and other documents the issuer has filed with the SEC for more complete information about the issuer and this offering. You may get these documents for free by visiting EDGAR on the SEC Web site at www.sec.gov. Alternatively, the issuer, any underwriter or any dealer participating in the offering will arrange to send you the prospectus if you request it by calling BofA Securities, Inc. toll-free at (800) 294-1322, Citigroup Global Markets Inc. toll-free at (800) 831-9146, MUFG Securities Americas Inc. toll-free at (877) 649-6848, Scotia Capital (USA) Inc. toll-free at (800) 372-3930, SMBC Nikko Securities Americas, Inc. toll-free at (888) 868-6856 or Wells Fargo Securities, LLC toll-free at (800) 645-3751.