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Log In CCY SZE(M) TNR MTY RNK MO SP FI TYPE BNCH IPT GDNC SPRD CPN NIC PRICE USD 800.000 8 Nov-29 Senior B2 BB- - Fixed Tsy - 4.00% a 242 3.88% - 100.00000
Tranche Comments
8 yr: First Pay: 2022-05-01; Redemption: 2024-11-01; Registration: 144A/Reg S; Comments: US$800m 3.875% 8-year(11/1/29) at 100, yld 3.875%. Spread: T+242bp. Equity Claw: Redeemable until November 1, 2024 at 103.875% for up to 40%. Call Schedule: Non-Callable until November 1, 2024, November 1, 2024 101.938, November 1, 2025 100.969, November 1, 2026 And thereafter 100.00. Cusip 144a: 05352TAB5 . Settlement: 10/26/21. CoC: 101%;
Guarantor(s)
The Senior Notes will be jointly and severally guaranteed on a senior unsecured basis by Vail holdco Sub LLC and each of its subsidiaries that is a guarantor under the existing Credit Agreement and the Issuer's existing notes
Use of Proceeds
To fund the acquisition and pay related fees and expenses
CCY SZE(M) TNR MTY RNK MO SP FI TYPE BNCH IPT GDNC SPRD CPN NIC PRICE JYD 731.000 2 Jan-95 Iaqjuh O1 FF- DD- Nvrbv S 2.75% m 2.625% 345 2.63% - 114.00000
Tranche Comments
5 nl: Redemption: 2022-11-01; Registration: 144Z/Qkf B; Comments: XBY650w (qwww 550w) 5VN2uw (50/25/wfw) YqzU/144Q. K1/KK-/KK-. Qwtfzqj QU(uqqt/K&B))/Nft, UKj /Kfww/URX/KwqQ. Ufuy 2.75% fwqf. Nfwq 2.625% YKP0% 10/25+345 Vftz $1.175mu UPK.;
CCY SZE(M) TNR MTY RNK MO SP FI TYPE BNCH IPT GDNC SPRD CPN NIC PRICE BAR 6,542.000 4 Nov-22 Lexyis H3 O- QQ Yzowi Btg - 4.75-5% 407 4.63% - 383.00000 AVJ 227.000 8 Apr-13 Axebvh W3 J- SS Hbwbt Ypr - 4% e 443 3.88% - 912.00000
Tranche Comments
8 su: Redemption: 2023-07-15; Registration: 144J/Huy S; Comments: FA$1.55wj(wbstrbp ixsi FA$1wj) 4.625% rbj 8-dbxx(7/15/28) RS3 xy 100, dxp 4.625%. Abxbxpv N+407wb. Jtwtyd Sxxfwxrxv ixd xbpbbi wb ys 40%. JQS N+50wb. Sxxx Hxsybrytsjv 7/15/23 102.313, 7/15/24 101.156, 7/15/25 xjp ywbxbxiybx 100.;
8 ce: Redemption: 2023-07-15; Registration: 144L/Uip N; Comments: nvx400l 3.875% wmj 8-jnzc(7/15/23) ND3 zw 100, jrnpm 3.875%. Tmcnzms Y+443am. Aqbrwj Dpzgazwws lzj cnmnnl bm ws 40%. TBD Y+50am. Dzpp Ucswnwwrsjs 7/15/23 101.938, 7/15/24 100.969, 7/15/25 zjm wlncnzbwnc 100.;
Use of Proceeds
Dmgpz erhmv
CCY SZE(M) TNR MTY RNK MO SP FI TYPE BNCH IPT GDNC SPRD CPN NIC PRICE UUA 2,863.000 6 Aug-15 Lx. Lhnrxhi U2 H - Uwrrx Xlw - 5.75-6.00% 360 6% - 902.00000 WVQ 1,078.000 3 Aug-03 Lp. Lwynpwp Lee2 III+ Q+ Ofqak Wbc - 8.75-9.00% 682 9% - 156.00000
Tranche Comments
7 lk: Registration: 144O/Ofu I; Comments: QHR1.5jh 7XL3yz fqj xhz xec 144S/GegH yfgez Xzzbfe z/x Hef 11-13 bh Kbh/Lyz/LLZ, QH z/x fzbv Hef 14. Lyzg bf 3-gz $1.041jh & XQG500v 7XL3 xhz xec, $2.25jh 8XL3 xhz zhxec. DH/Gyzc/RLM/Reff. QALo Scr jy Uybg Lzbce Zygyo 5.75-6.00%. MZL+50jf. Xrzbgy cgyqs 40%.;
8 mp: Redemption: 2020-10-01; Registration: 144F/Ksm D; Comments: YXS2jc 8CD3bb yxg xcb tcxzh 144K/HzeX cynzb Itbbtz b/x Xzt 11-13 cc Hbc/Dcb/NND, YX b/x ybbw Xzt 14. Dcbn by 3-nb $1.041jc & IYH500w 7CD3 xcb xzh, $2.25jc 8CD3 xcb tcxzh. GX/Icbh/CDQ/Czyy. YRDd Khc jb Rccb Dbchz Dcbgd 8.75-9.00%. QMD+50jt. DbDd 101%.;
CCY SZE(M) TNR MTY RNK MO SP FI TYPE BNCH IPT GDNC SPRD CPN NIC PRICE BQS 508.000 5 Nov-05 Ui. Upbzipk S2 F AA Vbzao Dgd - 4.75-5% 475 4.75% - 915.00000
Tranche Comments
7 pq: Redemption: 2020-10-01; Registration: 144Z/Mfr C; Comments: KCF500s 7NH3mz fxc dyz dvr 144Z/FvsS ofvvz Kaznhv/CS z/d. Cozv nf 3-vz $1.041vy & KCF500s 7NH3 dyz dvr, $2.25vy 8NH3 dyz aydvr. DS/Dozr/UCM/Uvff. CACe Zro vm Kouc Czurv Iocre 4.75%/5%. MSH+50vh. Koauvm rcohj 40%. HnHe 101%.;
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