Entity - Ultimate Parent
Eversource Energy
Corporate Finance / Utilities and Power/Global / North America/United States
EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
ESG Relevance
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01Ratings
Rating History
02Rating Actions
03Insights
04Sector Outlooks
05Securities and Obligations
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Entity Details
Debt Type & Identifiers
Other Details
Issuer: Eversource Energy
Debt Level: senior unsecured
Issue: USD 250 mln 3.35% Series J Notes 15-Mar-2026
Debt Level: senior unsecured
Issue: USD 250 mln 3.35% Series J Notes 15-Mar-2026
20-Sep-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
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: 30040WAB4 (Public)
ISIN: US30040WAB46 (Public)
CUSIP: 30040WAB4 (Public)
ISIN: US30040WAB46 (Public)
Maturity Date: 15-Mar-2026
Currency: USD
Amount: 250,000,000
Coupon Rate: 3.35%
Placement: Public
Currency: USD
Amount: 250,000,000
Coupon Rate: 3.35%
Placement: Public
Issuer: Eversource Energy
Debt Level: senior unsecured
Issue: USCP
Debt Level: senior unsecured
Issue: USCP
20-Sep-2024
F3
Affirmed
Short Term Rating
F3
Affirmed
Short Term Rating
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
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
CUSIP: 30040TAD7 (Public)
ISIN: US30040TAJ43 (Public)
CUSIP: 30040TAD7 (Public)
ISIN: US30040TAJ43 (Public)
Program: USCP
Currency: USD
Size: 2,000,000,000
Placement: Public
Currency: USD
Size: 2,000,000,000
Placement: Public
Issuer: Eversource Energy
Debt Level: senior unsecured
Issue: USD 450 mln 3.3% Series M Notes 15-Jan-2028
Debt Level: senior unsecured
Issue: USD 450 mln 3.3% Series M Notes 15-Jan-2028
20-Sep-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
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: 30040WAE8 (Public)
ISIN: US30040WAE84 (Public)
CUSIP: 30040WAE8 (Public)
ISIN: US30040WAE84 (Public)
Maturity Date: 15-Jan-2028
Currency: USD
Amount: 450,000,000
Coupon Rate: 3.3%
Placement: Public
Currency: USD
Amount: 450,000,000
Coupon Rate: 3.3%
Placement: Public
Issuer: Eversource Energy
Debt Level: senior unsecured
Issue: USD 300 mln 3.15% Series H Notes 15-Jan-2025
Debt Level: senior unsecured
Issue: USD 300 mln 3.15% Series H Notes 15-Jan-2025
15-Jan-2025
NR
Matured
Long Term Rating
NR
Matured
Long Term Rating
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed;
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed;
senior unsecured; bond/note
CUSIP: 664397AM8 (Public)
ISIN: US664397AM81 (Public)
CUSIP: 664397AM8 (Public)
ISIN: US664397AM81 (Public)
Maturity Date: 15-Jan-2025
Currency: USD
Amount: 300,000,000
Coupon Rate: 3.15%
Placement: Public
Currency: USD
Amount: 300,000,000
Coupon Rate: 3.15%
Placement: Public
Issuer: Eversource Energy
Debt Level: senior unsecured
Issue: USD 450 mln 2.9% Series L Notes 01-Oct-2024
Debt Level: senior unsecured
Issue: USD 450 mln 2.9% Series L Notes 01-Oct-2024
01-Oct-2024
NR
Matured
Long Term Rating
NR
Matured
Long Term Rating
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed;
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed;
senior unsecured; bond/note
CUSIP: 30040WAD0 (Public)
ISIN: US30040WAD02 (Public)
CUSIP: 30040WAD0 (Public)
ISIN: US30040WAD02 (Public)
Maturity Date: 01-Oct-2024
Currency: USD
Amount: 450,000,000
Coupon Rate: 2.9%
Placement: Public
Currency: USD
Amount: 450,000,000
Coupon Rate: 2.9%
Placement: Public
Issuer: Eversource Energy
Debt Level: senior unsecured
Issue: USD 500 mln 4.25% Series O Notes 01-Apr-2029
Debt Level: senior unsecured
Issue: USD 500 mln 4.25% Series O Notes 01-Apr-2029
20-Sep-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
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: 30040WAF5 (Public)
ISIN: US30040WAF59 (Public)
CUSIP: 30040WAF5 (Public)
ISIN: US30040WAF59 (Public)
Maturity Date: 01-Apr-2029
Currency: USD
Amount: 500,000,000
Coupon Rate: 4.25%
Placement: Public
Currency: USD
Amount: 500,000,000
Coupon Rate: 4.25%
Placement: Public
Issuer: Eversource Energy
Debt Level: senior unsecured
Issue: USD 650 mln 3.45% Series P Notes 15-Jan-2050
Debt Level: senior unsecured
Issue: USD 650 mln 3.45% Series P Notes 15-Jan-2050
20-Sep-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
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: 30040WAH1 (Public)
ISIN: US30040WAH16 (Public)
CUSIP: 30040WAH1 (Public)
ISIN: US30040WAH16 (Public)
Maturity Date: 15-Jan-2050
Currency: USD
Amount: 650,000,000
Coupon Rate: 3.45%
Placement: Public
Currency: USD
Amount: 650,000,000
Coupon Rate: 3.45%
Placement: Public
Issuer: Eversource Energy
Debt Level: senior unsecured
Issue: USD 600 mln 1.65% Series R Notes 15-Aug-2030
Debt Level: senior unsecured
Issue: USD 600 mln 1.65% Series R Notes 15-Aug-2030
20-Sep-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
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: 30040WAK4 (Public)
ISIN: US30040WAK45 (Public)
CUSIP: 30040WAK4 (Public)
ISIN: US30040WAK45 (Public)
Maturity Date: 15-Aug-2030
Currency: USD
Amount: 600,000,000
Coupon Rate: 1.65%
Placement: Public
Currency: USD
Amount: 600,000,000
Coupon Rate: 1.65%
Placement: Public
Issuer: Eversource Energy
Debt Level: senior unsecured
Issue: USD 300 mln 0.8% Series Q Notes 15-Aug-2025
Debt Level: senior unsecured
Issue: USD 300 mln 0.8% Series Q Notes 15-Aug-2025
20-Sep-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
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: 30040WAJ7 (Public)
ISIN: US30040WAJ71 (Public)
CUSIP: 30040WAJ7 (Public)
ISIN: US30040WAJ71 (Public)
Maturity Date: 15-Aug-2025
Currency: USD
Amount: 300,000,000
Coupon Rate: .8%
Placement: Public
Currency: USD
Amount: 300,000,000
Coupon Rate: .8%
Placement: Public
Issuer: Eversource Energy
Debt Level: senior unsecured
Issue: USD 350 mln 2.55% Series S Notes 15-Mar-2031
Debt Level: senior unsecured
Issue: USD 350 mln 2.55% Series S Notes 15-Mar-2031
20-Sep-2024
BBB
Affirmed
Long Term Rating
BBB
Affirmed
Long Term Rating
Country: United States
Sectors: Corporate Finance; Utilities and Power
Disclosures: EU Endorsed, UK Endorsed; Solicited by or on behalf of the issuer (sell side)
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: 30040WAL2 (Public)
ISIN: US30040WAL28 (Public)
CUSIP: 30040WAL2 (Public)
ISIN: US30040WAL28 (Public)
Maturity Date: 15-Mar-2031
Currency: USD
Amount: 350,000,000
Coupon Rate: 2.55%
Placement: Public
Currency: USD
Amount: 350,000,000
Coupon Rate: 2.55%
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 Rating | 20-Apr-1998 |
Short Term Issuer Default Rating | 18-Jul-2012 |
Endorsement Status | |
---|---|
EU Endorsed, UK Endorsed |
Country of 巴黎人娱乐城 Office | |
---|---|
UNITED STATES |
Solicitation Status | |
---|---|
Long Term Issuer Default Rating | Solicited - Sell Side |
Short Term Issuer Default Rating | Solicited - Sell Side |
Country of Analyst | |
---|---|
UNITED STATES |
08Identifiers
09Criteria
21Jun
2024
Expired Criteria2024
Sector Navigators 鈥 Addendum to the Corporate Rating Criteria - Effective from 21 June 2024 to 6 December 2024
13Oct
2023
Expired Criteria2023
Corporates Recovery Ratings and Instrument Ratings Criteria - Effective from 13 October 2023 to 2 August 2024
21Jul
2023
Expired Criteria2023
Climate Vulnerability in Corporate Ratings Criteria - Effective from 21 July 2023 to 3 November 2023
10Analysts
Shalini Mahajan, CFA
Primary Rating Analyst
Andrew Ng
Secondary Rating Analyst
Credit-Relevant ESG Scale
How relevant are E, S and G issues to the overall credit rating?
* ESG Relevance is applicable for international scale ratings only