← CARMAX INC

TERM LOAN CREDIT AGREEMENT

Signed Jun 15, 2026

Committed
$500m
Matures
Jun 2029
TrancheSizeMaturesMargin
Term Loan$500mJun 2029n/a

Priced over Daily SOFR, floor 0 bps (Term Loan A).

LevelConditionMarginUnused fee
Level 1≤ 0.75:1.00n/an/a
Level 2> 0.75:1.00 and ≤ 1.75:1.00n/an/a
Level 3> 1.75:1.00 and ≤ 2.50:1.00n/an/a
Level 4> 2.50:1.00 and ≤ 3.25:1.00n/an/a
Level 5> 3.25:1.00 and ≤ 3.75:1.00n/an/a
Level 6> 3.75:1.00n/an/a

§1.01

Lenders: MUFG Bank, Ltd., Canadian Imperial Bank of Commerce, Royal Bank of Canada

Tested quarterlyHeadroom not yet measured3.75x
Permit the Consolidated Net Leverage Ratio as of the end of any fiscal quarter of the Company to be greater than 3.75 to 1.00
Read the filing on sec.gov ↗
Tested quarterlyHeadroom not yet measured2.00x
Permit the Consolidated Interest and Rent Coverage Ratio as of the end of any fiscal quarter of the Company to be less than 2.00 to 1.00
Read the filing on sec.gov ↗

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