MUNICIPAL
Massachusetts Development Finance Agency
Mass General Brigham, Series D and E
January 25, 2024
US$459.2 million
MUNICIPAL
Triborough Bridge and Tunnel Authority
TBTA Capital Lockbox – City Sales Tax
February 8, 2024
US$1.65 billion
DEBT
4.80% Notes, Series CAO due December 15, 2028
February 15, 2024
CA$700 million
February 15, 2024
CA$700 million
DEBT
4.95% Notes, Series CAP due February 18, 2031
February 15, 2024
CA$600 million
February 15, 2024
CA$600 million
DEBT
5.10% S-L Notes, Series CAN due February 15, 2034
February 15, 2024
CA$500 million
February 15, 2024
CA$500 million
DEBT
7.500% Senior Notes
due 2029
January 20, 2023
US$750 million
due 2029
January 20, 2023
US$750 million
DEBT
7.750% Senior Secured Notes Due 2028
January 30, 2023
US$400 million
January 30, 2023
US$400 million
DEBT TRUSTEE
Royal Bank of Canada
5.01% Series 26 Medium Term Notes Due February 1, 2033
Subordinated Indebtedness (NVCC)
January 31, 2023
CA$1.5 billion
DEBT
Tenth Supplemental
Indenture Series K
4.657% Senior
Unsecured Notes
February 6, 2023
CA$300 million
Indenture Series K
4.657% Senior
Unsecured Notes
February 6, 2023
CA$300 million
ESCROW
Cash Escrow Agreement
February 7, 2023
US$284.5 million
February 7, 2023
US$284.5 million
DEBT TRUSTEE
5% Convertible Senior Unsecured Debentures
February 21, 2023
US$100 million
February 21, 2023
US$100 million
SUCCESSOR TRUSTEE
Lannett Company
4.5% Convertible Senior
Unsecured Notes
May 2023
US$86.25 million
SUCCESSOR TRUSTEE
Diebold Nixdorf
8.5% and 12.5%
Senior Secured
Second Lien PIK
Toggle Notes
June 2023
US$333.62 million
SUCCESSOR TRUSTEE
Diebold Nixdorf
8.5% Senior
Unsecured Notes
June 2023
US$400 million
SUCCESSOR TRUSTEE
Venator Materials PLC
5.75% Senior Unsecured Notes
June 2023
US$375 million
DEBT
Series 2023-1 First Mortgage Bonds
June 2, 2023
CA$400 million
June 2, 2023
CA$400 million
DEBT
5.685% Fixed/Floating Subordinated Debentures Due June 20, 2033
June 20, 2023
CA$400 million
June 20, 2023
CA$400 million
SUCCESSOR TRUSTEE
KDC Agribusiness LLC
Public Finance Authority
Notes 2022, 2022B,
2023A & 2023A-1
July 2023
US$46.35 million
SUCCESSOR TRUSTEE
Anagram Holdings LLC
15% PIK and Cash
Senior Secured
First Lien Notes
August 2023
US$110 million
DEBT
5.122% First Mortgage
Sinking Fund Bonds,
Series AS
due August 11, 2053
August 11, 2023
CA$90 million
Sinking Fund Bonds,
Series AS
due August 11, 2053
August 11, 2023
CA$90 million
DEBT
5.533% Senior Unsecured Notes due Sept 26, 2028
September 26, 2023
CA$500 million
September 26, 2023
CA$500 million
SUCCESSOR TRUSTEE
Rite Aid Corporation
7.7% & 6.875% Senior Unsecured Notes
October 2023
US$187 million
SUCCESSOR TRUSTEE
WeWork
5.0% & 7.875% Senior Notes (Unsecured)
November 2023
US$172 million
SUBSCRIPTION RECEIPTS
Subscription Receipt Agreement
November 28, 2023
CA$391.8 million
November 28, 2023
CA$391.8 million
TITLE CUSTODIAN
Custodial Agreement
January 28, 2022
January 28, 2022
DEBT
5.50% Senior Unsecured Series A Debentures due April 30, 2042
February 18, 2022
US$85 million
February 18, 2022
US$85 million
SUBSCRIPTION RECEIPTS
Subscription Receipt Agreement
March 18, 2022
CA$270 million
March 18, 2022
CA$270 million
DEBT
4.198% First Mortgage
Sinking Fund Bonds,
Series AR due
April 27, 2052
April 27, 2022
CA$75 million
Sinking Fund Bonds,
Series AR due
April 27, 2052
April 27, 2022
CA$75 million
DEBT TRUSTEE
4.431% Senior
Unsecured Notes
May 31, 2022
CA$500 million
Unsecured Notes
May 31, 2022
CA$500 million
DEBT
Indenture Trustee
Limited Recourse
Capital Notes
June 1, 2022
CA$250 million
Limited Recourse
Capital Notes
June 1, 2022
CA$250 million
DEBT
Paying Agency, Registrar
and Transfer Agency
Agreement
2 Year 5.317%
Deposit Notes
Maturing June 13, 2024
June 13, 2022
CA$200 million
and Transfer Agency
Agreement
2 Year 5.317%
Deposit Notes
Maturing June 13, 2024
June 13, 2022
CA$200 million
DEBT TRUSTEE
Sales Tax Revenue Bonds, Series 2022A
(TBTA Capital Lockbox – City Sales Tax)
July 2022
US$700 million
(TBTA Capital Lockbox – City Sales Tax)
July 2022
US$700 million
TITLE CUSTODIAN
Custodial Services
Transaction
July 8, 2022
Transaction
July 8, 2022
DEBT TRUSTEE
National Bank of Canada
5.426% Medium Term
Notes Due
August 16, 2032 (NVCC)
July 25, 2022
CA$750 million
DEBT TRUSTEE
3.4% Sustainability-Linked Notes Due 2032
August 2022
US$900 million
August 2022
US$900 million
DEBT TRUSTEE
National Bank of Canada
7.5% Limited Recourse Capital Notes, Series 3 (Non-Viability Contingent Capital)
September 8, 2022
CA$500 million
DEBT
4.67% Series 2022-2
First Mortgage Bonds
September 27, 2022
CA$200 million
First Mortgage Bonds
September 27, 2022
CA$200 million
DEBT
5.084% Senior Unsecured Notes Due Oct 27, 2025
October 26, 2022
CA$250 million
October 26, 2022
CA$250 million
DEBT
5.165% Senior Unsecured Notes Due April 26, 2030
October 26, 2022
CA$450 million
October 26, 2022
CA$450 million
DEBT
5.225% Senior Unsecured Debentures due November 14, 2052
November 14, 2022
CA$250 million
November 14, 2022
CA$250 million
DEBT
7.0% Series 7 Debentures
December 22, 2022
CA$300 million
December 22, 2022
CA$300 million
DEBT TRUSTEE
1.75% Senior Notes, Series 7 Due 2026
January 2021
CA$500 million
January 2021
CA$500 million
DEBT TRUSTEE
4.009% Senior Unsecured Notes Due 2061
March 2021
CA$40 million
March 2021
CA$40 million
LEGISLATIVE COVERED BOND PROGRAM
Bond Trustee, Registrar and Transfer Agent, Custodian, and Corporate Services Provider
April 21, 2021
CA$2 billion
April 21, 2021
CA$2 billion
DEBT TRUSTEE
2.239% Unsecured Notes Due 2025
May 2021
CA$1.4 billion
May 2021
CA$1.4 billion
LIMITED RECOURSE CAPITAL NOTES
Indenture Trustee
Limited Recourse Trustee
June 2021
CA$1.25 billion
Limited Recourse Trustee
June 2021
CA$1.25 billion
P3 PROJECT
Insurance Trustee
June 1, 2021
CA$82.3 million
June 1, 2021
CA$82.3 million
LEGISLATIVE COVERED BOND PROGRAM
Bond Trustee, Custodian, and Corporate Services Provider
July 27, 2021
CA$2 billion
July 27, 2021
CA$2 billion
DEBT TRUSTEE
4.625% Senior Notes
January 2020
US$450 million
January 2020
US$450 million
DEBT TRUSTEE
8.75% Senior Unsecured Notes
February 2020
US$500 million
February 2020
US$500 million
DEBT TRUSTEE
2.284% Senior Unsecured Notes Due 2030
May 2020
CA$350 million
May 2020
CA$350 million
P3 PROJECT
Insurance Trustee
May 4, 2020
CA$717.9 million
May 4, 2020
CA$717.9 million
DEBT TRUSTEE
7.50% Senior Notes
June 2020
US$400 million
June 2020
US$400 million
DEBT TRUSTEE
9.00% Second Lien Secured Notes
June 2020
CA$840 million
June 2020
CA$840 million
P3 PROJECT
Insurance Trustee and Financial Model Custodian
August 19, 2020
CA$259.4 million
August 19, 2020
CA$259.4 million
DEBT TRUSTEE
3.875% Senior Notes Due 2028
August 2020
US$800 million
August 2020
US$800 million
DEBT TRUSTEE
Series I Debentures due 2030
and
Series J Debentures due 2050
September 2020
CA$600 million
and
Series J Debentures due 2050
September 2020
CA$600 million
LIMITED RECOURSE CAPITAL NOTES
Indenture Trustee
Limited Recourse Trustee
September 2020
CA$1.25 billion
Limited Recourse Trustee
September 2020
CA$1.25 billion
DEBT TRUSTEE
3.910% Series A Notes due February 22, 2049
4.065% Series B Notes due February 22, 2059
February 22, 2019
CA$33.1 million
4.065% Series B Notes due February 22, 2059
February 22, 2019
CA$33.1 million
P3 PROJECT
Insurance Trustee and Financial Model Custodian for the Trillium Line Extension Project
March 29, 2019
CA$663 million
March 29, 2019
CA$663 million
DEBT TRUSTEE
4.30% Senior Notes Due 2049
May 2019
US$500 million
May 2019
US$500 million
RMBS
Mortgage Pass-Through Notes Series 2019-1
September 27, 2019
CA$475 million
September 27, 2019
CA$475 million
ESCROW
Debentures Offering Gross Proceeds Escrow Agreement
October 18, 2019
CA$847.2 million
October 18, 2019
CA$847.2 million
DEBT TRUSTEE
2.922% Senior Unsecured Debentures, Series 5 due October 18, 2022
3.331% Senior Unsecured Debentures, Series 6 due June 2, 2025
3.876% Senior Unsecured Debentures, Series 7 due October 18, 2029
October 18, 2019
CA$850 million
3.331% Senior Unsecured Debentures, Series 6 due June 2, 2025
3.876% Senior Unsecured Debentures, Series 7 due October 18, 2029
October 18, 2019
CA$850 million
DEBT TRUSTEE
Series 2019-1
October 23, 2019
CA$505.3 million
October 23, 2019
CA$505.3 million
DEBT TRUSTEE
7.875% Senior Notes Due 2024
October 2019
US$425 million
October 2019
US$425 million
ESCROW
Emera Cash Escrow Agreement
December 9, 2019
CA$173.3 million
December 9, 2019
CA$173.3 million
INDENTURE TRUSTEE
2.609% Medium Term Notes Series 20 Due 2022
December 2019
CA$500 million
December 2019
CA$500 million
P3 PROJECT
Security Agent, Bank Account Trustee, Insurance Trustee
February 6, 2018
February 6, 2018
DEBT TRUSTEE
5% Unsecured Convertible Debentures due March 9, 2020
March 9, 2018
CA$230 million
March 9, 2018
CA$230 million
RMBS
Mortgage Pass-Through Certificates Series 2018-1
April 4, 2018
CA$237.62 million
April 4, 2018
CA$237.62 million
DEBT TRUSTEE
3.472% Senior Unsecured Series A Debentures due April 4, 2058
April 4, 2018
CA$85 million
April 4, 2018
CA$85 million
DEBT TRUSTEE
6.00% Senior Unsecured Notes due April 24, 2025
April 24, 2018
CA$125 million
April 24, 2018
CA$125 million
SUBSCRIPTION RECEIPTS
7% Unsecured Convertible Debentures due May 2, 2019
May 2, 2018
CA$75 million
May 2, 2018
CA$75 million
SUBSCRIPTION RECEIPTS
Subscription Receipt Agreement
June 8, 2018
CA$392 million
June 8, 2018
CA$392 million
P3 PROJECT
Collateral Trustee, Bank Account Trustee, Indenture Trustee and Deposit Agent for the Nouvelle Autoroute 30 Project Re-Financing
June 14, 2018
CA$1.22 billion
June 14, 2018
CA$1.22 billion
DEBT TRUSTEE
4.25% Convertible Senior Notes due 2023
June 20, 2018
CA$600 million
June 20, 2018
CA$600 million
P3 PROJECT
Account Trustee, Insurance Trustee, Financial Model Custodian
August 8, 2018
August 8, 2018
RMBS
Series 2018-2
September 21, 2018
CA$264.17 million
September 21, 2018
CA$264.17 million
DEBT TRUSTEE
Asset Backed Notes Series 2018-1
October 24, 2018
CA$507.26 million
October 24, 2018
CA$507.26 million
SUBSCRIPTION RECEIPTS
Subscription Receipt Agreement
March 29, 2017
CA$264.55 million
March 29, 2017
CA$264.55 million
DEBT TRUSTEE
5.625% Senior Notes due May 9, 2025
May 9, 2017
CA$500 million
May 9, 2017
CA$500 million
DEBT TRUSTEE
3.745% Senior Unsecured Series B Debentures due July 16, 2057
July 14, 2017
CA$40 million
July 14, 2017
CA$40 million
CMBS
REAL-T
Commercial Mortgage Pass-Through Certificates Series 2017
October 1, 2017
CA$779.96 million
Commercial Mortgage Pass-Through Certificates Series 2017
October 1, 2017
CA$779.96 million
(Amount indicates Total initial certificate balance or notional amount, as well as notional amount of $373,201,000 of Class X certificates)
DEBT TRUSTEE
3.768% Senior Unsecured Series A Debentures due October 11, 2057
October 11, 2017
CA$130 million
October 11, 2017
CA$130 million
DEBT TRUSTEE
3.05% Senior Secured Bonds, Series 2017-1
October 26, 2017
CA$126 million
October 26, 2017
CA$126 million
DEBT TRUSTEE
6.0% Unsecured Convertible Debentures due November 28, 2022
November 28, 2017
CA$32.48 million
November 28, 2017
CA$32.48 million
DEBT TRUSTEE
3.349% Senior Unsecured Series A Debentures due December 12, 2057
December 12, 2017
CA$79 million
December 12, 2017
CA$79 million
INDENTURE TRUSTEE
Asset Backed Notes Series 2016-A
January 28, 2016
CA$200 million
January 28, 2016
CA$200 million
SUBSCRIPTION RECEIPTS
Subscription Receipt Agreement
March 31, 2016
CA$4.42 billion
March 31, 2016
CA$4.42 billion
P3 PROJECT
Collateral Agency, Bank Account Trustee, and Insurance Trustee ‒ Borden Data Centre Project
May 20, 2016
May 20, 2016
TRUSTEE
Capital Markets Platform Master Trust Indenture Series 2016 ‒ 2 Bonds
June 8, 2016
CA$1 billion
June 8, 2016
CA$1 billion
TRUSTEE AND AGENT
First Lien Collateral Trustee and Warrant Agent
June 22, 2016
CA$500 million
June 22, 2016
CA$500 million
DEBT TRUSTEE
4.13% Medium Term Notes due August 9, 2046
August 9, 2016
CA$400 million
August 9, 2016
CA$400 million
DEBT TRUSTEE
3.00% Medium Term Notes due August 10, 2026
August 10, 2016
CA$400 million
August 10, 2016
CA$400 million
DEBT TRUSTEE
6.5% Convertible Unsecured Subordinated Debentures due December 31, 2021
October 27, 2016
CA$60 million
October 27, 2016
CA$60 million
TRUSTEE
Registered Plan Bare Trustee
November 2016
November 2016
REGISTERED PRODUCT TRUSTEE SERVICES
Registered Plan Trustee
February 2015
February 2015
P3 PROJECT
Indenture Trustee and Collateral Trustee
March 13, 2015
March 13, 2015
SUBSCRIPTION RECEIPTS
Subscription Receipt Agreement
April 7, 2015
CA$111.6 million
April 7, 2015
CA$111.6 million
SPAC
Escrow Agent
Warrant Agent
April 21, 2015
CA$112.3 million
Warrant Agent
April 21, 2015
CA$112.3 million
CMBS
Commercial Mortgage Pass-Through Certificates Series 2015-1
May 21, 2015
CA$334.83 million
May 21, 2015
CA$334.83 million
P3 PROJECT
Indenture Trustee and Collateral Trustee
June 15, 2015
June 15, 2015
MORTGAGE BACKED SECURITY & CASH ESCROW
3.40% Senior Secured Bonds (Green Bonds)
July 22, 2015
CA$225 million
July 22, 2015
CA$225 million
P3 PROJECT
Collateral Trustee, Account Trustee, Indenture Trustee and Financial Model Custodian
July 21, 2015
CA$731.85 million
July 21, 2015
CA$731.85 million
SUBSCRIPTION RECEIPTS
Subscription Receipt Agreement
August 1, 2015
Approximately $115 million
August 1, 2015
Approximately $115 million
DEBT TRUSTEE
3.749% Series L Debentures
February 11, 2014
CA$150 million
February 11, 2014
CA$150 million
DEBT TRUSTEE
4.75% Senior Notes due 2019
6.00% Senior Notes due 2022
April 3, 2014
US$1.8 billion
6.00% Senior Notes due 2022
April 3, 2014
US$1.8 billion
DEBT TRUSTEE
3.20% Notes Series CO due April 5, 2021
April 4, 2014
CA$500 million
April 4, 2014
CA$500 million
DEBT TRUSTEE
4.85% Notes Series CP due April 5, 2044
April 4, 2014
CA$500 million
April 4, 2014
CA$500 million
DEBT TRUSTEE
Unsecured: 4.81% Medium Term Notes Series 4
April 4, 2014
CA$600 million
April 4, 2014
CA$600 million
DEBT TRUSTEE
Series 4 Subordinated Note
April 25, 2014
CA$200 million
April 25, 2014
CA$200 million
DEBT TRUSTEE
Senior Secured Bond - Series 14-1
April 28, 2014
CA$200 million
April 28, 2014
CA$200 million
DEBT TRUSTEE
Series 11 Floating Rate Notes
May 1, 2014
CA$300 million
May 1, 2014
CA$300 million
DEBT TRUSTEE
2.80% Fixed/Floating Subordinated Debentures due May 16, 2024
May 16, 2014
CA$250 million
May 16, 2014
CA$250 million
DEBT TRUSTEE
Insurance Trustee, Financial Model Custodian and Trust Account Trustee for the Indenture Trustee and Collateral Trustee
May 28, 2014
May 28, 2014
DEBT TRUSTEE
Floating Rate Medium Term Notes due May 30, 2017
May 30, 2014
CA$400 million
May 30, 2014
CA$400 million
DEBT TRUSTEE
4.637% Medium Term Notes due May 30, 2044
May 30, 2014
CA$500 million
May 30, 2014
CA$500 million
DEBT TRUSTEE
Initial Series Issuance of up to $400 Million Unsecured Debentures
May 30, 2014
CA$400 million
May 30, 2014
CA$400 million
DEBT TRUSTEE
MTN Supplemental for 3.06% Medium Term Notes Series 4 due June 13, 2019
June 13, 2014
CA$200 million
June 13, 2014
CA$200 million
SUB RECEIPT AGENT
Subscription receipts offering for the acquisition of the Rational Group, owner and operator of PokerStars and Full Tilt Poker
July 7, 2014
CA$640 million
July 7, 2014
CA$640 million
TRUSTEE AND AGENT
Collateral Agent, Paying Agent, Subscription Receipts Agent and Indenture Trustee
July 8, 2014
CA$946 million
July 8, 2014
CA$946 million
DEBT TRUSTEE
Asset Backed Notes Series 2014-A
November 13, 2014
CA$453.6 million
November 13, 2014
CA$453.6 million