[424B5] Smurfit Westrock plc Prospectus Supplement (Debt Securities)
Smurfit Westrock Financing DAC, a financing subsidiary of Smurfit Westrock plc, is issuing new senior unsecured notes due January 15, 2036, fully and unconditionally guaranteed on a senior basis by Smurfit Westrock and key financing and holding subsidiaries. The notes pay interest semi-annually starting in 2026 and are intended to qualify for listing on Euronext Dublin’s Global Exchange Market and the Euronext ESG Bonds platform.
The company plans to use the net proceeds primarily to redeem in full the existing $500.0 million 3.375% WRKCo Senior Notes due 2027 at the applicable redemption price, to repay other indebtedness and for general corporate purposes. An amount equivalent to the proceeds will also be allocated to a portfolio of Eligible Green Projects under Smurfit Westrock’s Green Finance Framework, focused on circular paper-based packaging and sustainably managed forestry.
The notes are senior obligations of the Issuer, benefit from senior guarantees, and are structurally subordinated to liabilities at non-guarantor operating subsidiaries. Investors receive protection features including optional redemption, a tax redemption right and a 101% cash repurchase right upon a Change of Control Repurchase Event, although the company highlights extensive business and capital structure risks that could affect its ability to service the notes.
- None.
- None.
Insights
New guaranteed notes refinance 2027 debt and fund green projects, keeping leverage profile broadly stable.
The new senior unsecured notes issued by Smurfit Westrock Financing DAC, guaranteed by Smurfit Westrock and several finance and holding entities, extend the group’s debt maturity profile to
The structure places the notes pari passu with other senior unsecured debt at the issuing and guaranteeing entities but structurally subordinated to liabilities at operating subsidiaries that do not guarantee the notes. Covenants are relatively light, focusing on limitations on liens over principal properties and restrictions on certain mergers or consolidations, which is typical for investment-grade style documentation and offers only moderate creditor protection.
An amount equivalent to the proceeds is intended for Eligible Green Projects aligned with Smurfit Westrock’s Green Finance Framework, including circular packaging processes and certified sustainable forestry. The notes include standard investor protections such as optional redemption, a tax redemption feature at par and a
(To Prospectus dated November 12, 2025)
guaranteed on a senior basis by Smurfit Westrock plc and certain of its subsidiaries
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Per Note
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Total
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Public offering price(1)
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| | | | % | | | | | $ | | | |
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Underwriting discount
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| | | | % | | | | | $ | | | |
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Proceeds to us (before expenses)
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| | | | % | | | | | $ | | | |
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Citigroup
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Credit Agricole CIB
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Mizuho
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Wells Fargo Securities
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|
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ING
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J.P. Morgan
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PNC Capital Markets LLC
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RBC Capital Markets
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SMBC Nikko
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Barclays
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BNP PARIBAS
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COMMERZBANK
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Danske Markets
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Deutsche Bank Securities
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Goodbody
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Lloyds Securities
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NatWest
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Rabo Securities
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Santander
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Scotiabank
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SEB
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TD Securities
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Bank of China
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Regions Securities LLC
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Siebert Williams Shank
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The Governor and Company of the Bank of Ireland
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THIS PROSPECTUS SUPPLEMENT AND THE ACCOMPANYING PROSPECTUS
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Page
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CAUTIONARY NOTE REGARDING FORWARD-LOOKING STATEMENTS
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| | | | S-1 | | |
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WHERE YOU CAN FIND MORE INFORMATION AND INCORPORATION BY REFERENCE
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| | | | S-3 | | |
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SUMMARY
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| | | | S-5 | | |
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RISK FACTORS
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| | | | S-10 | | |
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USE OF PROCEEDS
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| | | | S-19 | | |
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CAPITALIZATION
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| | | | S-20 | | |
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DESCRIPTION OF NOTES
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| | | | S-22 | | |
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CLEARANCE AND SETTLEMENT
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| | | | S-50 | | |
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CERTAIN IRISH AND UNITED STATES FEDERAL INCOME TAX CONSEQUENCES
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| | | | S-53 | | |
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UNDERWRITING
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| | | | S-60 | | |
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LIMITATIONS ON VALIDITY AND ENFORCEABILITY OF THE GUARANTEES
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| | | | S-66 | | |
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VALIDITY OF THE NOTES AND THE GUARANTEES
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| | | | S-71 | | |
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EXPERTS
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| | | | S-71 | | |
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ABOUT THIS PROSPECTUS
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| | | | 1 | | |
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CAUTIONARY NOTE REGARDING FORWARD-LOOKING STATEMENTS
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| | | | 3 | | |
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Where You Can Find More Information and Incorporation By
Reference |
| | | | 5 | | |
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RISK FACTORS
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| | | | 6 | | |
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THE COMPANY
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| | | | 7 | | |
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USE OF PROCEEDS
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| | | | 8 | | |
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DESCRIPTION OF DEBT SECURITIES AND GUARANTEES
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| | | | 9 | | |
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DESCRIPTION OF ORDINARY SHARES
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| | | | 18 | | |
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DESCRIPTION OF OTHER SECURITIES
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| | | | 22 | | |
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SELLING SECURITY HOLDERS
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| | | | 23 | | |
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PLAN OF DISTRIBUTION
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| | | | 24 | | |
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VALIDITY OF SECURITIES AND GUARANTEES
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| | | | 27 | | |
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EXPERTS
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| | | | 27 | | |
Dates
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As of September 30, 2025
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Actual
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As Adjusted
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($ in millions)
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Cash and cash equivalents (including restricted cash)
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| | | | 851 | | | | | | | | |
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Short Term Debt (excluding debt issuance costs)(1):
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| | | | 806 | | | | | | 806 | | |
| Long Term Debt: | | | | | | | | | | | | | |
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Revolving Credit Facility
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—
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| | | |
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—
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Term Loan Facilities
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| | | | 600 | | | | | | 600 | | |
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Bank loans(2)
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| | | | 16 | | | | | | 16 | | |
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Finance lease obligations(3)
|
| | | | 505 | | | | | | 505 | | |
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Receivables Securitizations(4)
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| | | | 844 | | | | | | 844 | | |
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Senior Notes(5)
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| | | | | | | | | | | | |
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3.375% Senior Notes due 2027
|
| | | | 485 | | | | | | —(6) | | |
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1.500% Senior Notes due 2027
|
| | | | 881 | | | | | | 881(7) | | |
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4.000% Senior Notes due 2028
|
| | | | 584 | | | | | | 584 | | |
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3.900% Senior Notes due 2028
|
| | | | 485 | | | | | | 485 | | |
|
4.900% Senior Notes due 2029
|
| | | | 749 | | | | | | 749 | | |
|
0.500% Senior Notes due 2029
|
| | | | 587 | | | | | | 587 | | |
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5.200% Senior Notes due 2030
|
| | | | 749 | | | | | | 749 | | |
|
8.200% Senior Notes due 2030
|
| | | | 447 | | | | | | 447 | | |
|
7.950% Senior Notes due 2031
|
| | | | 335 | | | | | | 335 | | |
|
4.200% Senior Notes due 2032
|
| | | | 475 | | | | | | 475 | | |
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6.800% Senior Notes due 2032
|
| | | | 81 | | | | | | 81 | | |
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3.454% Senior Notes due 2032
|
| | | | 704 | | | | | | 704 | | |
|
3.000% Senior Notes due 2033
|
| | | | 520 | | | | | | 520 | | |
|
1.000% Senior Notes due 2033
|
| | | | 587 | | | | | | 587 | | |
|
5.438% Senior Notes due 2034
|
| | | | 1,000 | | | | | | 1,000 | | |
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5.418% Senior Notes due 2035
|
| | | | 850 | | | | | | 850 | | |
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3.807% Senior Notes due 2036
|
| | | | 704 | | | | | | 704 | | |
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6.840% Senior Notes due 2037
|
| | | | 3 | | | | | | 3 | | |
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7.550% Senior Notes due 2047
|
| | | | 174 | | | | | | 174 | | |
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5.777% Senior Notes due 2054
|
| | | | 1,000 | | | | | | 1,000 | | |
|
Notes offered hereby
|
| | | | — | | | | | | | | |
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Total Long Term Debt (excluding debt issuance costs)
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| | | | 13,365 | | | | | | | | |
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Debt issuance costs
|
| | | | (60) | | | | | | | | |
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Total Debt (including debt issuance costs)
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| | | | 14,111 | | | | | | | | |
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As of September 30, 2025
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| | | |
Actual
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As Adjusted
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($ in millions)
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| Shareholders’ Equity: | | | | | | | | | | | | | |
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Preferred stock
|
| | | | — | | | | | | — | | |
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Common stock
|
| | | | 1 | | | | | | 1 | | |
|
Treasury stock, at cost
|
| | | | (65) | | | | | | (65) | | |
|
Capital in excess of par value
|
| | | | 16,057 | | | | | | 16,057 | | |
|
Retained earnings
|
| | | | 2,787 | | | | | | | | |
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Accumulated other comprehensive loss
|
| | | | (347) | | | | | | (347) | | |
|
Noncontrolling interests
|
| | | | 26 | | | | | | 26 | | |
|
Total Shareholders’ Equity
|
| | | | 18,459 | | | | | | | | |
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Total Capitalization
|
| | | | 32,570 | | | | | | | | |
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|
Underwriter
|
| |
Principal Amount of
the Notes |
| |||
|
Citigroup Global Markets Inc.
|
| | | $ | | | |
|
Credit Agricole Securities (USA) Inc.
|
| | | $ | | | |
|
Mizuho Securities USA LLC
|
| | | $ | | | |
|
Wells Fargo Securities, LLC
|
| | | $ | | | |
|
ING Financial Markets LLC
|
| | | $ | | | |
|
J.P. Morgan Securities LLC
|
| | | $ | | | |
|
PNC Capital Markets LLC
|
| | | $ | | | |
|
RBC Capital Markets, LLC
|
| | | $ | | | |
|
SMBC Nikko Securities America, Inc.
|
| | | $ | | | |
|
Barclays Capital Inc.
|
| | | $ | | | |
|
BNP Paribas Securities Corp.
|
| | | $ | | | |
|
Commerz Markets LLC
|
| | | $ | | | |
|
Danske Markets Inc.
|
| | | $ | | | |
|
Deutsche Bank Securities Inc.
|
| | | $ | | | |
|
Goodbody Stockbrokers UC
|
| | | $ | | | |
|
Lloyds Securities Inc.
|
| | | $ | | | |
|
NatWest Markets Securities Inc.
|
| | | $ | | | |
|
Rabo Securities USA, Inc.
|
| | | $ | | | |
|
Santander US Capital Markets LLC
|
| | | $ | | | |
|
Scotia Capital (USA) Inc.
|
| | | $ | | | |
|
SEB Securities, Inc.
|
| | | $ | | | |
|
TD Securities (USA) LLC
|
| | | $ | | | |
|
Bank of China (Europe) S.A.
|
| | | $ | | | |
|
Regions Securities LLC
|
| | | $ | | | |
|
Siebert Williams Shank & Co., LLC
|
| | | $ | | | |
|
The Governor and Company of the Bank of Ireland
|
| | | $ | | | |
|
Total
|
| | | $ | | | |
| | | |
Paid by us
|
| |||
|
Per Note
|
| | | | % | | |
Guarantees
Warrants
Purchase Contracts
Units
Preference Shares
Ordinary Shares
SMURFIT WESTROCK FINANCING DESIGNATED ACTIVITY COMPANY
Guarantees
SMURFIT KAPPA GROUP LIMITED
SMURFIT KAPPA INVESTMENTS LIMITED
SMURFIT KAPPA TREASURY FUNDING DESIGNATED ACTIVITY COMPANY
SMURFIT INTERNATIONAL B.V.
SMURFIT WESTROCK US HOLDINGS CORPORATION
WESTROCK COMPANY
WESTROCK MWV, LLC
WESTROCK RKT, LLC
WRKCO INC.
| |
ABOUT THIS PROSPECTUS
|
| | | | 1 | | |
| |
CAUTIONARY NOTE REGARDING FORWARD-LOOKING STATEMENTS
|
| | | | 3 | | |
| |
Where You Can Find More Information and Incorporation By
Reference |
| | | | 5 | | |
| |
RISK FACTORS
|
| | | | 6 | | |
| |
THE COMPANY
|
| | | | 7 | | |
| |
USE OF PROCEEDS
|
| | | | 8 | | |
| |
DESCRIPTION OF DEBT SECURITIES AND GUARANTEES
|
| | | | 9 | | |
| |
DESCRIPTION OF ORDINARY SHARES
|
| | | | 18 | | |
| |
DESCRIPTION OF OTHER SECURITIES
|
| | | | 22 | | |
| |
SELLING SECURITY HOLDERS
|
| | | | 23 | | |
| |
PLAN OF DISTRIBUTION
|
| | | | 24 | | |
| |
VALIDITY OF SECURITIES AND GUARANTEES
|
| | | | 27 | | |
| |
EXPERTS
|
| | | | 27 | | |
Credit Agricole CIB
Mizuho
Wells Fargo Securities
ING
J.P. Morgan
PNC Capital Markets LLC
RBC Capital Markets
SMBC Nikko
BNP PARIBAS
COMMERZBANK
Danske Markets
Deutsche Bank Securities
Goodbody
Lloyds Securities
NatWest
Rabo Securities
Santander
Scotiabank
SEB
TD Securities
Regions Securities LLC
Siebert Williams Shank
The Governor and Company of the Bank of Ireland