巴黎人娱乐城

01Ratings

RatingActionDateType
BBBAffirmed16-Jul-2024Long Term Issuer Default Rating
F2Affirmed16-Jul-2024Short Term Issuer Default Rating
Ratings KeyOutlookWatch
Positive
Negative
Evolving
Stable 

* Ratings displayed in orange denotes EU or UK Unsolicited and Non-Participatory Ratings

Where there was a review with no rating action (Review 鈥 No Action), please refer to the 鈥淟atest Rating Action Commentary鈥 for an explanation of key rating drivers

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Rating History

Date :16-Jul-202406-Oct-202315-Aug-202317-Aug-202223-Mar-202215-Apr-202119-Feb-202119-Feb-202017-Apr-201905-Sep-201814-Aug-201824-Apr-201826-Sep-201727-Sep-201618-Mar-201630-Sep-201520-Mar-201501-Oct-201412-Mar-201418-Mar-201321-May-201222-Jun-201108-Oct-201009-Oct-200909-Jul-200812-Jun-200706-Dec-200518-May-200512-Nov-200410-Dec-200304-Apr-200303-Mar-200318-Jul-2002
Rating :BBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBBB-BBB-BBB-BBB-BBB-BBB-BBB-BBB-BBB-BBB-BBB-BBB-
Action :AffirmedReview - No ActionAffirmedReview - No ActionAffirmedReview - No ActionAffirmedAffirmedReview - No ActionAffirmedAffirmedAffirmedAffirmedReview - No ActionAffirmedReview - No ActionAffirmedAffirmedAffirmedAffirmedUpgradeAffirmedAffirmedAffirmedAffirmedAffirmedRevision IDRAffirmedAffirmedAffirmedAffirmedAffirmedNew Rating

02Rating Actions

03Insights

04Sector Outlooks

05Securities and Obligations

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Rated Entity / Debt  
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Entity Details  
Debt Type & Identifiers  
Other Details  
Issuer: CenterPoint Energy, Inc.
Debt Level: senior secured
Issue: USD 68 mln Variable 5.125% bond/note 01-Nov-2028
16-Jul-2024
A
Affirmed
Long Term Rating

16-Jul-2024
A
Affirmed
Unenhanced Long Term Rating

Rating History
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior secured; bond/note
CUSIP: 57652TAV9 (Public)
Maturity Date: 01-Nov-2028
Currency: USD
Amount: 68,000,000
Placement: Public
Issuer: CenterPoint Energy, Inc.
Debt Level: senior unsecured
Issue: USCP
16-Jul-2024
F2
Affirmed
Short Term Rating

Rating History
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; commercial paper
Program: USCP
Currency: USD
Market: US
Size: 2,400,000,000
Placement: Public
Issuer: CenterPoint Energy, Inc.
Debt Level: junior subordinated
Issue: Zens - USD 1 bln bond/note 15-Sep-2029
16-Jul-2024
BB+
Affirmed
Long Term Rating

Rating History
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
junior subordinated; bond/note
CUSIP: 15189T206 (Public)
ISIN: US15189T2069 (Public)
Maturity Date: 15-Sep-2029
Currency: USD
Amount: 1,000,000,000
Placement: Public
Issuer: CenterPoint Energy, Inc.
Debt Level: senior unsecured
Issue: USD 500 mln 4.25% bond/note 01-Nov-2028
16-Jul-2024
BBB
Affirmed
Long Term Rating

Rating History
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
CUSIP: 15189TAV9 (Public)
ISIN: US15189TAV98 (Public)
Maturity Date: 01-Nov-2028
Currency: USD
Amount: 500,000,000
Coupon Rate: 4.25%
Placement: Public
Issuer: CenterPoint Energy, Inc.
Debt Level: senior unsecured
Issue: USD 400 mln 2.95% bond/note 01-Mar-2030
16-Jul-2024
BBB
Affirmed
Long Term Rating

Rating History
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
CUSIP: 15189TAX5 (Public)
ISIN: US15189TAX54 (Public)
Maturity Date: 01-Mar-2030
Currency: USD
Amount: 400,000,000
Coupon Rate: 2.95%
Placement: Public
Issuer: CenterPoint Energy, Inc.
Debt Level: senior unsecured
Issue: USD 300 mln 3.7% bond/note 01-Sep-2049
16-Jul-2024
BBB
Affirmed
Long Term Rating

Rating History
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
CUSIP: 15189TAY3 (Public)
ISIN: US15189TAY38 (Public)
Maturity Date: 01-Sep-2049
Currency: USD
Amount: 300,000,000
Coupon Rate: 3.7%
Placement: Public
Issuer: CenterPoint Energy, Inc.
Debt Level: senior unsecured
Issue: USD 500 mln 2.5% bond/note 01-Sep-2024
01-Sep-2024
NR
Matured
Long Term Rating

Rating History
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed;
senior unsecured; bond/note
CUSIP: 15189TAW7 (Public)
ISIN: US15189TAW71 (Public)
Maturity Date: 01-Sep-2024
Currency: USD
Amount: 500,000,000
Coupon Rate: 2.5%
Placement: Public
Issuer: CenterPoint Energy, Inc.
Debt Level: senior unsecured
Issue: USD 500 mln 2.65% bond/note 1-Jun-2031
16-Jul-2024
BBB
Affirmed
Long Term Rating

Rating History
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
CUSIP: 15189TBB2 (Public)
ISIN: US15189TBB26 (Public)
Maturity Date: 01-Jun-2031
Currency: USD
Amount: 500,000,000
Coupon Rate: 2.65%
Placement: Public
Issuer: CenterPoint Energy, Inc.
Debt Level: senior unsecured
Issue: USD 500 mln 1.45% bond/note 1-Jun-2026
16-Jul-2024
BBB
Affirmed
Long Term Rating

Rating History
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
CUSIP: 15189TBA4 (Public)
ISIN: US15189TBA43 (Public)
Maturity Date: 01-Jun-2026
Currency: USD
Amount: 500,000,000
Coupon Rate: 1.45%
Placement: Public
Issuer: CenterPoint Energy, Inc.
Debt Level: senior unsecured
Issue: USD 400 mln 5.25% bond/note 10-Aug-2026
16-Jul-2024
BBB
Affirmed
Long Term Rating

Rating History
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
senior unsecured; bond/note
CUSIP: 15189TBF3 (Public)
ISIN: US15189TBF30 (Public)
Maturity Date: 10-Aug-2026
Currency: USD
Amount: 400,000,000
Coupon Rate: 5.25%
Placement: Public
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06巴黎人娱乐城 Adjusted Financials

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07Disclosures

Original Rating Date
Long Term Issuer Default Rating18-Jul-2002
Short Term Issuer Default Rating18-May-2005
Endorsement Status
EU Endorsed, UK Endorsed
Country of 巴黎人娱乐城 Office
UNITED STATES
Solicitation Status
Long Term Issuer Default RatingSolicited - Sell Side
Short Term Issuer Default RatingSolicited - Sell Side
Country of Analyst
UNITED STATES

08Identifiers

Type:CIK CodeCUSIPCUSIPDow Jones TickerICBLEI
Identifier:000113031015189T57652TCNP757521TPXMRRHFKOBHDC8J74

10Analysts

Philip Smyth, CFA
Primary Rating Analyst

Shalini Mahajan, CFA
Secondary Rating Analyst

Credit-Relevant ESG Scale

How relevant are E, S and G issues to the overall credit rating?

5
Highly relevant, a key rating driver that has a significant impact on the rating on an individual basis. Equivalent to "higher" relative importance within Navigator.
4
Relevant to rating, not a key rating driver but has an impact on the rating in combination with other factors. Equivalent to "moderate" relative importance within Navigator
3
Minimally relevant to rating, either very low impact or actively managed in a way that results in no impact on the entity rating. Equivalent to "lower" relative importance within Navigator.
2
Irrelevant to the entity rating but relevant to the sector.
1
Irrelevant to the entity rating and irrelevant to the sector

* ESG Relevance is applicable for international scale ratings only

Ratings KeyOutlookWatch
Positive
Negative
Evolving
Stable 

* Ratings displayed in orange denotes EU or UK Unsolicited and Non-Participatory Ratings

Where there was a review with no rating action (Review 鈥 No Action), please refer to the 鈥淟atest Rating Action Commentary鈥 for an explanation of key rating drivers

*Premium Content is displayed in 巴黎人娱乐城 Red