AT&T Inc. - Notes Exchange Offer, December 7, 2020

Disclosure Pursuant to U.S. Treasury Regulations Section 1.1273-2(f)(9)

AT&T Inc. announced in an Offering Memorandum, dated November 17, 2020, an exchange of debt instruments which settled on December 7, 2020 ("Settlement Date"). We concluded that the notes listed below that were issued on the Settlement Date pursuant to that exchange were traded on an established market for U.S. federal income tax purposes as of the Settlement Date. We believe, and intend to take the position, that the fair market value and issue price of each such note on the Settlement Date are as outlined below.

Title of Notes

CUSIP Number

Fair Market Value / Issue Price

2.550% Global Notes due 2033

00206RMF6 / U04644CX3

102.374% of principal

3.800% Global Notes due 2057

00206RMG4 / U04644CY1

104.440% of principal

Investors should consult their tax advisors regarding the particular tax consequences relating to the tax treatment of

the exchange referenced above and ownership of the notes listed above.

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AT&T Inc. published this content on 14 January 2021 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 15 January 2021 21:39:03 UTC