Trilogy International Partners Inc. announced it has prepaid approximately USD 450 million in aggregate outstanding indebtedness and accrued interest under its subsidiary's existing 8.875% senior secured notes due 2023 and 10% promissory notes due 2023 and under its 13.5% bridge loans due 2023. As a result of these prepayments, Trilogy has no remaining indebtedness outstanding.
Trilogy International Partners Inc.
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TRL
CA89621T1084
Wireless Telecommunications Services
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- Trilogy International Partners Inc. Announces Prepayment of Outstanding Debt of Approximately $450 Million