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Avolon extends $4.75 billion Term Loan B facility

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Avolon extends $4.75 billion Term Loan B facility

Avolon has re-priced and extended its senior secured $4.75 billion Term Loan B facility from an original maturity of April 2022 to January 2025 and has been repriced at LIBOR plus 2.00% with a LIBOR floor of 0.75%, subject to an Original Issue Discount (OID) of 99.75. In conjunction with this repric...

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