Enbridge Inc. announced that it has closed its previously announced offering of $750 million aggregate principal amount of 5.00% Fixed-to-Fixed Rate Subordinated Notes Series 2022-A due January 19, 2082. Enbridge intends to use the net proceeds of the Offering to redeem its issued and outstanding Cumulative Redeemable Minimum Rate Reset Preference Shares, Series 17 in accordance with their terms and, pending such redemption, to repay short-term indebtedness, as well as for general corporate purposes.