Company: GOOGL
Filing Date: 2025-11-05
Form Type: 424B2
Source: 0001193125-25-267244
Chunk: 12

Company: Alphabet Inc.
Filing Date: 2025-11-05
Form: 424B2
Chunk 12
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 amount of original issue discount, in each case for U.S. federal income tax purposes. These additional notes, together with the notes offered by this prospectus supplement, will form a single series 
 with and increase the aggregate principal amount of the series under the indenture.                                                                                                                                                                     |

| Concurrent Euro Notes Offering | Prior to this offering, we launched a concurrent offering of Euro-denominated senior notes (the “Concurrent Euro Notes Offering”), the proceeds of which will be used for general corporate purposes, which may include the repayment of 
 outstanding debt. Settlement of this offering is not conditioned upon the settlement of the Concurrent Euro Notes Offering or vice versa.                                                                                                |

| The Concurrent Euro Notes Offering is only being made pursuant to a separate prospectus supplement. This prospectus supplement                       
 is not an offer to sell or a solicitation of an offer to buy any securities being offered in the Concurrent Euro Notes Offering or vice versa. There |

S-6

can be no assurance that we will complete the Concurrent Euro Notes Offering as described herein or at all.

| Risk Factors | You should consider carefully all the information set forth and incorporated by reference in this prospectus supplement and the accompanying prospectus and, in particular, you should evaluate the specific factors set forth under the heading 
 “Risk Factors” beginning on page S-8 of this prospectus supplement, as well as the other information contained or incorporated herein by reference, before investing in any of the notes offered hereby.                                         |

| Governing Law | State of New York. |

| Trustee | The Bank of New York Mellon Trust Company, N.A. |

| Calculation Agent for the Floating Rate Notes | The Bank of New York Mellon Trust Company, N.A. |

S-7

RISK FACTORS

An investment in the notes involves certain risks. You should carefully consider the risk factors described under “Risk Factors” in our 2024 Annual Report and as described in the 2025 Quarterly Reports, as well as the other information included or incorporated by reference in this prospectus supplement and the accompanying prospectus, before making an investment decision. Additional risks and uncertainties not now known to us or that we now deem immaterial may also adversely affect our business or financial performance. Our business, financial condition, results of operations or cash flows could be materially adversely affected by any of these risks. The market or trading price of the notes could decline due to any of these risks or other factors, and you may lose all or part of your investment.

In addition to the foregoing risks relating to us,