J M SMUCKER Co entered into an underwriting agreement for the offer and sale of $750 million aggregate principal amount of 5.900% Notes due 2028, $1,000 million aggregate principal amount of 6.200% Notes due 2033, $750 million aggregate principal amount of 6.500% Notes due 2043, and $1,000 million aggregate principal amount of 6.500% Notes due 2053.