Deal Summary

Avolon

$2,330,000,000

Repriced and Extended Term Loan B

Syndicated Lenders

Deal Notes:

The term loan B facility was repriced from SOFR+2.00% to SOFR+1.75%, with a maturity extension to June 2030. SOFR floor set at 0.50%, with an OID of 99.875.

Industry:

Aviation Finance

Role:

Lenders

Event:

Recapitalization

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