in its remarketing of its tax-exempt bonds
in its amendment to its credit facility, extending maturities to 2028
in its subordinated notes offering
in its cash tender offers for up to of its outstanding Senior Notes
in its senior notes offering
in its fixed-to-floating rate senior notes offering
in its notes offering
in its refinancing of its term loan B facility
in its term loan financing in connection with its acquisition of NSI Industries
in its public offering of fixed rate / floating rate senior notes
in its registered public offering of aggregate principal amount of 4.488% Notes due 2029
in its registered public offering of Senior Notes due 2031
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