Northwire Canada EditionWednesday, July 15, 2026
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Financings

Bombardier to redeem $250-million (U.S.) 2028 notes

BBD · Price

Executive Summary

  • Bombardier Inc. issued a notice to redeem all remaining outstanding 6.00% senior notes due 2028, totaling $250 million principal.
  • The redemption will occur on March 6 2026 at 100% of principal plus accrued interest, funded from the company’s cash balance.
  • Payment will be processed through the Depository Trust Company with Deutsche Bank Trust Company Americas acting as paying agent.

Key Details

  • Redemption Notice Issued: February 19 2026 to record holders of the 6.00% senior notes due 2028.
  • Aggregate Principal Amount: $250 million (U.S.).
  • Redemption Date: March 6 2026.
  • Redemption Price: 100% of principal amount redeemed plus accrued and unpaid interest.
  • Financing Source: Cash on Bombardier’s balance sheet.
  • Paying Agent: Deutsche Bank Trust Company Americas, c/o Deutsche Bank Services Americas, 5022 Gate Parkway, Jacksonville, FL 32256 (attention: corporate team/Bombardier; phone: 1‑800‑735‑7777).
  • Procedures: Payment and surrender of notes will be handled through the Depository Trust Company in accordance with its applicable procedures.

Notable Quotes

(No executive quotes provided in the release.)

Read the original news release →

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