CCY | SZE(M) | TNR | MTY | RNK | MO | SP | FI | TYPE | BNCH | IPT | GDNC | SPRD | CPN | NIC | PRICE |
---|
USD | 300.000 | 8 | Jul-28 | Sr. Secured | B2 | BB | - | Fixed | Tsy | 6.50-6.75% | 6.25-6.50% | 570 | 6.25% | - | 100.00000 |
Tranche Comments
8 yr: Redemption: 2023-07-15; Registration: 144A/Reg S; Comments: USD300m 8yr 6.25% fxd. RegS/144A. B2/BB. JPM/GS/BMO. 6.25%-6.50%. 6.50%-6.75%. T+570bp Repay bank debt.;
Use of Proceeds
Repay term loan and general corporate purposes