SÃO PAULO, Aug. 8, 2023 /PRNewswire/ -- Embraer S.A. ("Embraer") (NYSE: ERJ) announces the early results of its previously announced offer to purchase for cash up to US$750.0 million in aggregate principal amount (subject to increase or decrease by Embraer in its sole discretion, the "Maximum Tender Amount") of the outstanding 6.950% senior unsecured guaranteed notes due 2028 (the "2028 Notes"), 5.050% senior unsecured guaranteed notes due 2025 (the "2025 Notes") and 5.400% senior unsecured guaranteed notes due 2027 (the "2027 Notes") (all such notes, collectively, the "Notes" and each a "series" of Notes), issued by Embraer Netherlands Finance B.V. ("Embraer Finance") and unconditionally and irrevocably guaranteed by Embraer (the "Tender Offer"). Additionally, Embraer informs that it has amended the Tender Offer Consideration and the Total Consideration for the 2025 Notes, including for the 2025 Notes holders who have already tendered their notes, as set forth in the table below and Embraer has, on this date, delivered notice of optional redemption of all outstanding 2025 Notes.
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