12/31/2020 | CALM | Halifax Airport Authority receives consents from holders of all bonds
|
12/21/2020 | CAIGLM | Sun Life to redeem C$350 million series 2016-1 fixed-to-floaters
|
12/21/2020 | CAIGLM | Equitable Group to purchase up to 297,250 of its series 3 preferreds
|
12/18/2020 | CALM | Edmonton Regional Airports Authority gets consents for amendments
|
12/18/2020 | CACVLM | Atlantic Power to renew issuer bid for convertibles, preferreds
|
12/18/2020 | CAIGLM | CI Financial to redeem C$200 million 2.775% debentures due 2021
|
12/18/2020 | CAIGLM | Granite REIT to redeem series 2 senior debentures due 2021
|
12/17/2020 | CAIGLM | NAV Canada completes consent solicitation for outstanding bonds, notes
|
12/16/2020 | CAIGLM | Westcoast Energy plans to redeem five-year cumulative preferreds
|
12/16/2020 | CADDHYLM | Perpetual Energy proposes exchange of 8¾% senior notes due 2022
|
12/14/2020 | CAHYLM | ATS Automation to redeem outstanding 6½% notes due 2023
|
12/11/2020 | CAIGLM | SmartCentres to redeem 3.73% series M and 2.876% series Q notes
|
12/11/2020 | CALM | Halifax Airport Authority seeks consents from holders of all bonds
|
12/10/2020 | CAIGLM | CT REIT to redeem C$150 million 2.159% series C senior debentures
|
12/10/2020 | CAIGLM | CIBC to fully redeem C$1 billion 3.42% debentures due 2026
|
12/9/2020 | CAIGLM | RioCan REIT to redeem C$250 million series R debentures
|
12/8/2020 | CAIGLM | Winnipeg Airports seeks consents to amend all outstanding bonds
|
12/7/2020 | CAIGLM | Scotiabank to redeem non-cumulative preferred share series 32 and 33
|
12/4/2020 | CAIGLM | RBC to redeem C$1.5 billion outstanding 3.31% debentures due 2026
|
12/2/2020 | CAIGLM | Power Financial announces conversion rights for preferred shares
|
12/1/2020 | CAHYLM | Seven Generations to partially redeem 6 7/8% notes due 2023
|
11/30/2020 | CAIGLM | NAV Canada begins consent solicitation for all outstanding bonds, notes
|
11/23/2020 | CAHYLM | New Gold to redeem $200 million of 6 3/8% senior notes due 2025
|
11/20/2020 | CAIGLM | AltaGas intends to redeem all outstanding series I preferred shares
|
11/19/2020 | CAHYLM | Tervita accepts tenders for $497.91 million 7 5/8% notes due 2021
|
11/18/2020 | CAHYLM | Bausch Health eyes redemption of 4½%, 5½% notes due 2023
|
11/18/2020 | CAIGLM | Manulife to redeem C$350 million 2.389% fixed-to-floating debentures
|
11/18/2020 | CAHYLM | Bausch Health to redeem all €1.5 billion 4.5% senior notes due 2023
|
11/17/2020 | CALM | Pembina will not convert series 9 shares to series 10 shares
|
11/10/2020 | CAIGLM | National Bank of Canada calls $50 million zero-coupon notes due 2059
|
11/10/2020 | CAIGLM | Brookfield Infrastructure to renew issuer bid for class A preferreds
|
11/9/2020 | CAHYLM | Tervita offers to purchase all $590 million 7 5/8% notes due 2021
|
11/5/2020 | CALM | BCE to repurchase up to 10% each of 21 series of preferred shares
|
11/4/2020 | CAIGLM | Great-West Lifeco announces conversion option for preferred shares
|
11/2/2020 | CAIGLM | Bank of Montreal to redeem all $1 billion 3.34% series H notes
|
10/29/2020 | CAHYLM | Bausch Health to redeem 5 7/8% notes, C$50 million of 5½% notes
|
10/23/2020 | CALM | Allbanc to redeem all series 2 class B preferreds on Feb. 26
|
10/21/2020 | CAIGLM | Cameco to redeem outstanding 3.75% series E debentures due 2022
|
10/20/2020 | CAIGLM | Scotiabank to redeem C$750 million 3.367% debentures due Dec. 8, 2025
|
10/16/2020 | CAIGLM | TD Bank will not convert series 9 preferreds to series 10; minimum conversion not met
|
10/15/2020 | CAHYLM | First Quantum to redeem all 7¼% notes due 2022 on Oct. 18
|
10/15/2020 | CAIGLM | Bank of Montreal to redeem all 600,000 non-cumulative preferreds
|
10/13/2020 | CAHYLM | Russel Metals to fully redeem C$150 million 6% senior notes due 2022
|
10/6/2020 | CAIGLM | Bell Canada to redeem C$850 million 2% debentures, series M-42
|
10/6/2020 | CAIGLM | Crombie REIT to partially redeem 3.962% series B notes due 2021
|
10/1/2020 | CAIGLM | Brookfield Infrastructure sets redemption price for 3.452% notes
|
10/1/2020 | CAHYLM | Russel Metals to redeem C$150 million 6% senior notes due 2022
|
9/29/2020 | CAIGLM | TD Bank to redeem all 6 million class A first preferred shares
|
9/28/2020 | CAIGLM | Fairfax commences bid for voting shares, 10 series of preferreds
|
9/24/2020 | CAHYLM | Mogo debenture holders OK maturity extension, interest reduction
|
9/22/2020 | CAHYLM | Iamgold announces early tender results for 7% senior notes due 2025
|
9/21/2020 | CALM | BNS announces redemption price on class A shares, class B preferreds
|
9/17/2020 | CAHYLM | First Quantum to repay $575 million under revolver, notes due 2022
|
9/17/2020 | CAHYLM | Methanex to repay 5¼% notes due 2022 with proceeds of new notes
|
9/16/2020 | CAIGLM | Sienna Senior Living to redeem 3.474% series B debentures
|
9/16/2020 | CAHYLM | Restaurant Brands to redeem $1 billion 5% notes due 2025
|
9/11/2020 | CAIGLM | Brookfield Renewable sets redemption price for 4.79% notes due 2022
|
9/9/2020 | CAIGLM | Capital Power to redeem outstanding 5.276% notes due in November
|
9/9/2020 | CAHYLM | HudBay to refinance $400 million of 7¼% senior notes due 2023
|
9/8/2020 | CAHYLM | Eldorado Gold redeems $59 million of notes under equity clawback
|
9/8/2020 | CAHYLM | Iamgold tenders for all $400 million 7% senior notes due 2025
|
9/3/2020 | CALM | BNS Split to redeem class B preferred shares on Sept. 22
|
9/1/2020 | CAIGLM | Brookfield Infrastructure calls C$450 million 3.452% notes due 2022
|
8/31/2020 | CAHYLM | Bausch Health to redeem C$100 million 5 7/8% senior notes due 2023
|
8/26/2020 | CAIGLMPF | Royal Bank of Canada to redeem six series of first preferred shares
|
8/24/2020 | CAIGLM | Dundee amends, increases bid for C$61 million series 2 preferreds
|
8/17/2020 | CAIGLM | TD Bank to redeem all outstanding C$1 billion 2.982% notes due 2025
|
8/17/2020 | CAHYLM | Cascades reports $150.36 million tenders of 5¾% notes due 2023
|
8/14/2020 | CAIGLM | Bell Canada to redeem C$750 million 3.15% debentures, series M-30
|
8/13/2020 | CAGNLM | Brookfield Renewable to redeem C$400 million 4.79% notes due 2022
|
8/10/2020 | CAHYLM | Sun Life to redeem C$500 million series 2015-1 fixed-to-floaters
|
8/10/2020 | CAHYLM | Iron Mountain to redeem senior notes due 2023, 2025, 2026
|
8/10/2020 | CAHYLM | Cascades begins tender offer for any and all 5¾% notes due 2023
|
7/23/2020 | CADDHYLM | Sherritt gets consents from holders of 8%, 7½%, 7 7/8% notes
|
7/23/2020 | CAIGLM | Toronto airport authority successfully concludes consent solicitation
|
7/22/2020 | CAIGLM | Dundee launches issuer bid for up to C$44 million series 2 preferreds
|
7/17/2020 | CAIGLM | TD will not convert series 7 to series 8, minimum conversion not met
|
7/15/2020 | CAHYLM | Cogeco sets redemption price for 5.15% debentures due 2020
|
7/13/2020 | CADDHYLM | Sherritt extends early deadline of offer for 8%, 7½%, 7 7/8% notes
|
7/7/2020 | CAGNIGLM | Brookfield renews issuer bid for class A preferred units, shares
|
7/6/2020 | CAIGLM | Toronto airport authority begins consent bid for obligation bonds, series 1997-C pledged bonds
|
7/1/2020 | CADDEMHYLM | ShaMaran 12% bondholders OK proposal to address breach, shortfall
|
6/30/2020 | CAIGLM | Teck announces results of tender offers for 2021, 2022, 2023 notes
|
6/24/2020 | CAIGLM | 407 sets redemption price for C$208.3 million senior bonds due 2021
|
6/23/2020 | CAIGLM | Teck begins tender offers for $538.7 million 2021, 2022, 2023 notes
|
6/22/2020 | CAHYIGLM | Gibson Energy plans to redeem C$600 million of 5.25% notes due 2024
|
6/19/2020 | CAHYLM | Cogeco to redeem C$200 million 5.15% debentures due Nov. 16
|
6/16/2020 | CAHYLM | Parkland issues conditional notice of redemption for 2021, 2022 notes
|
6/12/2020 | CAIGLM | Teranet to redeem $400 million portion of 4.807% bonds on June 26
|
6/12/2020 | CAIGLM | CIBC says holders may convert series 43 preferred shares on July 31
|
6/11/2020 | CADDEMHYLM | ShaMaran talking over shortfall, covenant breach with bondholders
|
6/10/2020 | CADDHYLM | Sherritt edits terms of offer for 8%, 7½%, 7 7/8% notes; support grows
|
6/10/2020 | CAHYLM | New Gold to redeem 6¼% notes due 2022 via new note proceeds
|
6/2/2020 | CAHYLM | Great Canadian Gaming starts normal course issuer bid for 5¼% notes
|
6/1/2020 | CALMPF | Husky Energy announces conversion right for series 7 preferred shares
|
6/1/2020 | CAIGLMPF | Pembina says holders may convert series 19 class A preferred shares
|
5/22/2020 | CAIGLM | Telus to redeem 3.6% series CM notes, 3.2% series CO notes on June 23
|
5/22/2020 | CAIGLM | Omers Realty plans to redeem C$300 million 3.203% notes on June 22
|
5/22/2020 | CAIGLM | 407 International to redeem C$400 million 4.3% notes on June 22
|
5/22/2020 | CAIGLM | 407 International to redeem C$208.33 million senior notes on June 24
|
5/21/2020 | CAIGLM | Telus eyes redeeming 3.6% series CM notes and 3.2% series CO notes
|
5/19/2020 | CAIGLM | TD Bank will redeem $1.5 billion 2.692% notes due 2025
|
5/19/2020 | CAIGLM | Enbridge will not convert series 13 preferreds
|
5/14/2020 | CAIGLM | Royal Bank of Canada won’t convert any series BD first preferreds
|
5/13/2020 | CAIGLM | Choice Properties calls C$350 million series B, C debentures due 2021
|
5/11/2020 | CAHYLM | Bausch Health conditionally calls $1.25 billion 6½% notes due 2022
|
5/4/2020 | CAHYLM | Cominar REIT calls 4.941% debentures due July 27 for May 14 redemption
|
5/4/2020 | CAHYLM | Stars Group gets consents to amend $1 billion 7% notes due 2026
|
4/27/2020 | CAHYLM | Stars Group launches consent bid for $1 billion 7% notes due 2026
|
4/24/2020 | CAIGLM | RBC plans to redeem C$1 billion 2.48% debentures on June 4 at par
|
4/23/2020 | CAIGLM | Manulife to redeem C$750 million 2.1% fixed-to-floaters on June 1
|
4/9/2020 | CAIGLM | RBC won’t redeem series BD preferreds; holders may convert shares
|
4/6/2020 | CADDHYLM | Sherritt extends early consent date for 8%, 7½% and 7 7/8% notes
|
3/26/2020 | CADDHYLM | Sherritt extends early consent date for 8%, 7½% and 7 7/8% notes
|
3/19/2020 | CAIGLM | Scotiabank to redeem all series 30, 31 preferred shares on April 26
|
3/19/2020 | CADDHYLM | Sherritt bondholder ad hoc committee opposes CBCA arrangement plan
|
3/19/2020 | CADDHYLM | Sherritt seeks bondholder approval of plan of arrangement under CBCA
|
3/18/2020 | CAIGLM | Genworth MI Canada to redeem 5.68% debentures at 101.015
|
3/18/2020 | CAGNIGLM | Brookfield announces redemption price for C$350 million 5.3% notes
|
3/18/2020 | CAIGLM | Husky Energy tender for preferreds falls short of conversion trigger
|
3/17/2020 | CAIGLM | First Capital Realty to redeem C$175 million series M 5.6% debentures
|
3/12/2020 | BKCAHYLM | Tidewater to reduce debt with proceeds from sale of Pioneer Pipeline
|
3/5/2020 | CAHYLM | Mattamy posts results of tender offer for two series of 6½% notes
|
3/5/2020 | CAIGLM | Manulife will not convert rate reset shares to floating preferreds
|
3/2/2020 | BKCAHYLM | Bausch cancels plans for new notes, loan refinancing, redemption
|
3/2/2020 | CAIGLM | Husky Energy announces conversion right for series 5 preferred shares
|
2/28/2020 | CADDHYLM | NorthStream forms ad hoc bondholder committee regarding Sherritt exchange offer
|
2/25/2020 | CAHYLM | Calfrac gives final results of exchange offer for 8½% notes due 2026
|
2/25/2020 | CAIGLM | Aimia won’t redeem series 1, 2 preferred shares; holders may convert
|
2/21/2020 | CAGNIGLM | Brookfield plans to redeem C$350 million of 5.3% notes on March 23
|
2/20/2020 | CAIGLM | Genworth MI Canada to redeem 5.68% debentures due 2020 on March 23
|
2/20/2020 | CAHYLM | Mattamy launches tender offer for two series of 6½% notes due 2025
|
2/19/2020 | CAHYLM | Bausch Health will redeem 6½% notes due 2022, 7% notes due 2024
|
2/18/2020 | CAIGLM | Enbridge gets too few tenders to convert series 11 preferreds
|
2/18/2020 | CAIGLM | Brookfield Asset Management to redeem 5.3% notes due 2021
|
2/14/2020 | CALM | Allbanc Split Corp. II to redeem 12.274% of preferreds on Feb. 28
|
2/14/2020 | CAIGLM | Bell Canada to redeem all of its C$500 million M-24 4.95% debentures
|
2/13/2020 | CALMPF | Power Corp. of Canada to redeem C$350 million of first preferreds
|
2/12/2020 | CAIGLM | Choice Properties calls C$250 million 2.297% debentures due 2020
|
2/12/2020 | CAHYLM | Bausch Health to redeem C$100 million 5½% notes due 2023
|
2/11/2020 | CAHYLM | AutoCanada accepts tenders for C$124.5 million of 5 5/8% senior notes
|
2/10/2020 | CAIGLM | Genworth MI Canada plans to redeem 5.68% debentures via new notes
|
2/6/2020 | CAEMLM | Skyline may repurchase up to NIS 10 million debentures in coming year
|
2/4/2020 | CAHYLM | Open Text to redeem $800 million 5 5/8% notes at 101.406 on March 5
|
2/3/2020 | BKCAHYLM | Open Text to redeem notes due 2023, repay revolver via new notes
|
1/28/2020 | CAHYLM | AutoCanada offers to purchase C$150 million 5 5/8% notes due 2021
|
1/28/2020 | CAHYLM | Calfrac seeks to swap 8½% senior notes for 10 7/8% second-lien notes
|
1/27/2020 | CAIGLM | Scotiabank to redeem $15 million zero-coupon notes due 2036 on Feb. 16
|
1/21/2020 | CAIGLM | CIBC will not convert series 41 preferreds; threshold not met
|
1/21/2020 | CALM | BCE releases results of series AF and AE preferred share conversions
|
1/21/2020 | CAHYLM | Baytex Energy plans to redeem 5 1/8% notes and 6 5/8% debentures
|
1/17/2020 | CAIGLM | Brookfield renews normal course issuer bid for 13 preferred series
|
1/16/2020 | CAHYLM | MEG Energy calls $800 million 2023 notes, $100 million of 2025 notes
|
1/16/2020 | CAHYLM | First Quantum Minerals to redeem 7% notes due 2021 on Feb. 15 at par
|
1/9/2020 | CAHYLM | First Quantum Minerals to redeem $300 million notes due 2021
|
1/7/2020 | CAHYLM | Precision Drilling makes $205 million of debt repayments in 2019
|