Pembina Pipeline Corp. - 2015-02-02

Description

Closed offer of senior unsecured medium-term notes in two tranches. First tranche of 3.54% series 5 notes maturing Feb. 3, 2025, and second tranche of 4.75% series 3 notes due April 30, 2043. Proceeds will reduce credit facility debts and support capital program. A syndicate of dealers offers the notes.

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Estimated Price
CA$600.0MM
Financing Type
Report Date