Northwire Canada EditionThursday, July 23, 2026
Northwire
VZZ 0.180 +2.9% BMR 0.145 +3.6% NVO 0.055 −8.3% PMET 4.47 +2.0% CTG 0.125 +13.6% AVU 0.040 +0.0% SGML 14.32 −3.1% WRLG 0.720 +1.4% CAN 0.065 +8.3% ABRA 15.63 +1.6% LSTR 0.060 +0.0% OLA 13.10 +2.5% EQX 13.15 +2.7% SRA 0.780 +0.0% UTWO 0.390 −13.3% IVN 10.64 −1.2% VZZ 0.180 +2.9% BMR 0.145 +3.6% NVO 0.055 −8.3% PMET 4.47 +2.0% CTG 0.125 +13.6% AVU 0.040 +0.0% SGML 14.32 −3.1% WRLG 0.720 +1.4% CAN 0.065 +8.3% ABRA 15.63 +1.6% LSTR 0.060 +0.0% OLA 13.10 +2.5% EQX 13.15 +2.7% SRA 0.780 +0.0% UTWO 0.390 −13.3% IVN 10.64 −1.2%
Financings

Bombardier Announces Notice of Redemption for All of its 7.875% Senior Notes due 2027

BBD · Price

Executive Summary

  • Bombardier Inc. issued a notice to redeem its entire outstanding 7.875% Senior Notes due 2027, representing an aggregate principal amount of US$99,431,000.
  • The redemption will occur on December 3, 2025 at 100% of principal plus accrued and unpaid interest.
  • Payment will be processed through the Depository Trust Company, with Deutsche Bank Trust Company Americas acting as paying agent.

Key Details

  • Notes Redeemed: 7.875% Senior Notes due 2027 (the “2027 Notes”).
  • Aggregate Principal Amount: US$99,431,000.
  • Redemption Date: December 3, 2025.
  • Redemption Price: 100% of principal amount redeemed plus accrued and unpaid interest.
  • Notice Issuance: Notice of redemption issued to record holders on November 3, 2025.
  • Payment Mechanics: Redemption price will be paid and notes surrendered via the Depository Trust Company’s facilities in accordance with its procedures.
  • Paying Agent: Deutsche Bank Trust Company Americas, c/o Deutsche Bank Services Americas, 5022 Gate Parkway, Jacksonville, FL 32256 (Attention: Corporate Team/Bombardier Inc., Tel: 1‑800‑735‑7777).

Notable Quotes

(No executive quotes provided in the release.)

Read the original news release →

More from None