Thomson Reuters prices US$ 1.3 billion notes offering, C$ 1 billion private placement
TRI•Thomson Reuters prices debt offerings
Thomson Reuters priced US$ 1.3 billion of notes in a U.S. public offering, split between 2028 and 2033 maturities.
It also priced a Canadian private placement of C$ 1 billion of notes, including fixed-rate tranches and floating-rate notes due 2029.
Total issuance consists of US$ 1.3 billion of U.S. notes and C$ 1 billion of Canadian notes.
The U.S. notes are expected to close Sept. 17, 2026, and the Canadian notes are expected to close the same day.
Proceeds are earmarked for general corporate purposes, including repayment of commercial paper borrowings.




