Issuer:
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Essex Portfolio, L.P.
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Guarantor:
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Essex Property Trust, Inc.
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Principal Amount:
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$350,000,000
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Expected Ratings (Moody’s / S&P / Fitch)*:
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Baa1 / BBB+ / BBB+
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Trade Date:
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April 3, 2017
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Settlement Date:
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April 10, 2017 (T+5)
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Maturity Date:
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May 1, 2027
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Interest Payment Dates:
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May 1 and November 1, commencing November 1, 2017
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Benchmark Treasury:
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2.250% due February 15, 2027
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Benchmark Treasury Price / Yield:
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99-05+ / 2.344%
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Spread to Benchmark Treasury:
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+ 135 basis points
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Yield to Maturity:
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3.694%
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Coupon:
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3.625% per annum
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Price to Public:
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99.423% of the Principal Amount, plus accrued interest, if any, from the Settlement Date if settlement occurs after the Settlement Date
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Optional Redemption Provisions:
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Prior to February 1, 2027, make-whole call as set forth in the preliminary prospectus supplement at Treasury + 25 basis points
On or after February 1, 2027, the redemption price will be 100% of the principal amount to be redeemed plus accrued and unpaid interest thereon to, but excluding, the redemption date, as set forth in the preliminary prospectus supplement
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CUSIP / ISIN:
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29717P AR8 / US29717PAR82
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Joint Book-Running Managers:
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Wells Fargo Securities, LLC
Citigroup Global Markets Inc.
J.P. Morgan Securities LLC
MUFG Securities Americas Inc.
U.S. Bancorp Investments, Inc.
Jefferies LLC
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Senior Co-Managers:
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Barclays Capital Inc.
BB&T Capital Markets, a division of BB&T Securities, LLC
BNP Paribas Securities Corp.
Deutsche Bank Securities Inc.
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Co-Managers:
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Capital One Securities, Inc.
Mizuho Securities USA Inc.
Regions Securities LLC
Scotia Capital (USA) Inc.
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