All amounts in Canadian dollars unless otherwise stated.
The redemption price for the Notes will be determined in accordance with the provisions of the trust indenture dated September 20, 1995 and the seventeenth supplemental indenture dated September 12, 2012 and will include accrued and unpaid interest on the Notes up to, but not including, the redemption date.
Notice of redemption has been sent today to CDS Clearing and Depository Services Inc. (“CDS”), and the trustee, Computershare Trust Company of
Brookfield Asset Management Inc. is a leading global alternative asset manager with US$600 billion of assets under management across real estate, infrastructure, renewable power, private equity and credit.
For more information, please contact:
Communications & Media: Claire Holland Tel: (416) 369-8236 Email: [email protected] |
Investor Relations Linda Northwood Tel: (416) 359-8647 Email: [email protected] |
Source: Brookfield Asset Management Inc
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