debt
confidence high
sentiment neutral
materiality 0.60
Flex redeems $500M of 5.000% Notes due 2023 on December 20, 2022
FLEX LTD.
- Notice of redemption for all outstanding $500M aggregate principal of 5.000% Notes due 2023.
- Redemption date set for December 20, 2022.
- Redemption price is greater of 100% of principal or present value using Treasury Rate plus 50 bps, plus accrued interest.
- Redemption effected under Indenture dated February 20, 2013 with U.S. Bank Trust Company.