Company: SREA
Filing Date: 2025-02-25
Form Type: 10-K
Source: 0001032208-25-000012
Chunk: 418

Company: SEMPRA
Filing Date: 2025-02-25
Form: 10-K
Item: Item 1
Chunk 418
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% (next rate reset on April 1, 2030) Junior Subordinated Notes April 1, 2055(1)400 — 5.75% Junior Subordinated Notes July 1, 2079(1)758 758  11,908 8,558 Sempra Infrastructure - Other long-term debt (uncollateralized unless otherwise noted):Loan at variable rates (weighted-average rate of 7.29% and 8.31% at December 31, 2024 and 2023, respectively) December 9, 20251,063 832 3.75% Notes January 14, 2028300 300 Loan at variable rates (includes $1,090 and $200 at December 31, 2024 and 2023, respectively,(5.329% after floating-to-fixed rate swaps effective 2023) and $58 at December 31, 2023 (weighted-average rate of 7.37% at December 31, 2023)) March 20, 2030, collateralized byplant assets(1)1,090 258 3.25% Notes January 15, 2032400 400 Loan at variable rates (4.03% after floating-to-fixed rate swap effective 2019) payable June 15, 2022 through November 19, 2034(1)90 96 Loan at variable rates (4.03% after floating-to-fixed rate swap effective 2019) payable June 15, 2022 through November 19, 2034(1)90 96 Loan at variable rates (2.38% after floating-to-fixed rate swap effective 2020) payable June 15, 2022 through November 19, 2034(1)90 96 2.90% Loan payable June 15, 2022 through November 19, 2034(1)219 231 4.875% Notes January 14, 2048540 540 4.75% Notes January 15, 2051800 800 4,682 3,649 16,590 12,207 Current portion of long-term debt(1,859)(11)Unamortized discount on long-term debt(78)(66)Unamortized debt issuance costs(144)(112)Total Other Sempra14,509 12,018 Total Sem