3/13/2025 | IGLM | Schlumberger gives early results of exchange offer, lowers cap
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2/27/2025 | IGLM | Schlumberger starts exchange offer for four series of senior notes
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12/6/2022 | IGLM | Schlumberger tender cap increased at early deadline; offer priced
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12/6/2022 | IGLM | Schlumberger tender cap increased at oversubscribed early deadline
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11/21/2022 | IGLM | Schlumberger offers to buy four notes for up to $500 million
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9/20/2022 | IGLM | Schlumberger to redeem $895.33 million 2.65%, 3.625% notes due 2022
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11/30/2021 | IGLM | Schlumberger to redeem $1 billion outstanding 2.4% notes due 2022
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5/28/2021 | IGLM | Schlumberger to redeem 3.3% notes due 2021 on June 28
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6/23/2020 | IGLM | Schlumberger announces tender results and pricing for 3.3% notes
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6/23/2020 | IGLM | Schlumberger prices tender for any and all $1.6 billion 3.3% notes
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6/17/2020 | IGLM | Schlumberger tenders for any and all $1.6 billion 3.3% notes due 2021
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5/29/2020 | IGLM | Schlumberger issuers to redeem 4.2% notes due 2021 on June 29
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4/17/2020 | BKBWIGLM | Schlumberger will refinance or repay $1 billion bonds due 2020, 2021
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11/19/2019 | IGLM | Schlumberger to redeem all $500 million 4.2% notes due 2021
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10/22/2019 | IGLM | Schlumberger units call 3%, 3.6%, 4.5% notes due 2020, 2021, 2022
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10/18/2019 | BWIGLM | Schlumberger improves capital structure via notes sale and repurchase
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10/21/2010 | IGLM | Schlumberger unit Smith wraps tender offer for three series of notes
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9/29/2010 | IGLM | Schlumberger subsidiaries buy back $329.78 million 6.5%, 6.75% notes
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9/22/2010 | IGLM | Schlumberger subsidiaries start tender offers for five series of notes
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