Opt">Securities Offered

US$500,000,000 principal amount of 5.813% notes due March 3, 2055.

One or more of the underwriters will sell to affiliates of BWS and/or certain other institutional investors US$25 million aggregate principal amount of the notes at the public offering price (for which no underwriting discount or commission will be paid).

Format SEC registered. Issue and Delivery Date

March 3, 2025.

Maturity Date

March 3, 2055.

Interest Rate

5.813% per annum.

Yield

5.813% per annum if held to maturity.