OMA prices MXN 3 billion long-term bond offering in Mexico
OMAB•Use of proceeds
Proceeds are earmarked for MXN 1.7 billion in short-term bank debt repayment, MXN 640 million redemption of OMA 23L, capex funding, and general corporate purposes.
Bond offering priced in Mexico
Grupo Aeroportuario del Centro Norte priced MXN 3 billion in long-term certificados bursátiles in the Mexican market.
The offering was split into two tranches:
- MXN 420 million 3-year OMA 26 at TIIE de Fondeo + 39 bps, with interest every 28 days and due July 16, 2029.
- MXN 2.58 billion 7-year OMA 26-2 at a fixed 9.17% coupon, with interest every 182 days and due July 11, 2033.
The order book reached 3.2x across both tranches, and settlement is set for July 20, 2026.




