Note Purchase Agreement
Signed Aug 3, 2026
- Committed
- $800m
- Matures
- Aug 2031
- Agent
- Not stated
| Tranche | Size | Matures | Margin |
|---|---|---|---|
| Senior Notes, Series A | $250m | Aug 2031 | n/a |
| Senior Notes, Series B | $300m | Aug 2033 | n/a |
| Senior Notes, Series C | $250m | Aug 2036 | n/a |
$800m committed across 1 active facility, next covenant test Sep 30, 2026. BRC
Net leverage: when the limit steps, and which way the company's ratio has been moving.
The Company will not permit the Consolidated Net Leverage Ratio as of the last day of any Computation Period to exceed 3.50 to 1.0Read the filing on sec.gov ↗
The Company will not permit the Consolidated Interest Coverage Ratio as of the last day of any Computation Period to be less than 3.00 to 1.0Read the filing on sec.gov ↗
Signed Aug 3, 2026
| Tranche | Size | Matures | Margin |
|---|---|---|---|
| Senior Notes, Series A | $250m | Aug 2031 | n/a |
| Senior Notes, Series B | $300m | Aug 2033 | n/a |
| Senior Notes, Series C | $250m | Aug 2036 | n/a |
No amendments on file yet.
Email [email protected].