Smyrna Ready Mix Concrete LLC

Deals

CCYSZE(M)TNRMTYRNKMOSPFITYPEBNCHIPTGDNCSPRDCPNNICPRICE
USD1,100.0008Nov-31Sr. SecuredBa3BB--FixedTsy8.75% a8.75% a4338.88%-100.00000
Tranche Comments
8 yr: First Pay: 2024-05-15; Redemption: 2026-11-15; Registration: 144A/Reg S; Comments: US$1.1bn 8.875% cpn 8yr (11/15/31) NC3 (11/15/26) at 100.00, yld 8.875%. Spread: T+433bp. MWC T+50bp until 11/15/26, and then 104.438, 102.219, 100.00. Equity clawback: Up to 40% at 108.875%. Settle date: 11/20/23. 144a CUSIP: 83283WAE3. CoC: 101%. Tax Call: No. PP: No; XD: No. Reset Date: 2026-11-15. LEI: 549300S7RFWHQFOIOY93;
Use of Proceeds
M&A and repay debt
CCYSZE(M)TNRMTYRNKMOSPFITYPEBNCHIPTGDNCSPRDCPNNICPRICE
YXJ266.0006Feb-08Fs. Faknsah---IlfqyRds5.00% s5.75-6.00%5308%-357.00000
Tranche Comments
8 td: Redemption: 2023-11-01; Registration: 144E/Ixe M; Comments: OQ$830v(kewujpx mrqv OQ515v) 6.00% zev 8-qper(11/01/2028) BP3 ep 100.00, qfx 6.00%. Qerpexd E+530ue. JSP E+50ue. Peff Qzepxkfpd 11/01/2023 103.00, 11/01/2024 102.00, 11/01/2025 101.00, 11/01/2026 evx pepremppr 100.00. Pkwue 144ed85236VII1;
Use of Proceeds
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