Northwire Canada EditionWednesday, July 15, 2026
Northwire
EFF 0.030 +20.0% W 0.500 +1.0% RDG 0.160 +0.0% ARIC 0.780 +4.0% VROY 3.44 +5.2% ROCK 3.81 +3.0% APMI 0.120 +0.0% EM 3.58 −4.8% ALS 66.04 +6.8% MEK 0.065 +44.4% TLO 6.00 +13.0% ADE 0.045 −66.7% FAIR 0.060 +33.3% SVRS 0.420 −2.3% RES 0.050 +42.9% CYG 0.120 +0.0% EFF 0.030 +20.0% W 0.500 +1.0% RDG 0.160 +0.0% ARIC 0.780 +4.0% VROY 3.44 +5.2% ROCK 3.81 +3.0% APMI 0.120 +0.0% EM 3.58 −4.8% ALS 66.04 +6.8% MEK 0.065 +44.4% TLO 6.00 +13.0% ADE 0.045 −66.7% FAIR 0.060 +33.3% SVRS 0.420 −2.3% RES 0.050 +42.9% CYG 0.120 +0.0%

← Back to our analysis

Original News Release

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

Mr. Francis Richer de La Fleche reports BOMBARDIER ANNOUNCES NOTICE OF REDEMPTION FOR ALL REMAINING OUTSTANDING 6.000% SENIOR NOTES DUE 2028 Bombardier Inc. has issued a notice of redemption for all of its remaining outstanding 6.000 per cent senior notes due 2028, in an aggregate principal amount of $250-million (U.S.) (the 2028 notes). As set forth in the notice of redemption, the redemption date is March 6, 2026, and the redemption price for the 2028 notes is 100 per cent of the principal amount redeemed, plus accrued and unpaid interest. This debt redemption will be financed using cash from Bombardier's balance sheet. On Feb. 19, 2026, a copy of the notice of redemption was issued to the record holders thereof. Payment of the redemption price and surrender of the 2028 notes for redemption will be made through the facilities of the Depository Trust Company in accordance with the applicable procedures of the Depository Trust Company on March 6, 2026. The name and address of the paying agent are as follows: Deutsche Bank Trust Company Americas, c/o Deutsche Bank Services Americas, 5022 Gate Parkway, Jacksonville, Fla., 32256, attention: corporate team/Bombardier, telephone: 1-800-735-7777. We seek Safe Harbor.
View at source ↗