8/19/2024 | IGLM | CDW gives results of tender offers to repurchase notes due 2024, 2025
|
8/16/2024 | IGLM | CDW prices tender offers to repurchase senior notes due 2024, 2025
|
8/12/2024 | IGLM | CDW starts tender offers to repurchase senior notes due 2024, 2025
|
2/14/2022 | BKBWIGLM | CDW has 3.4x leverage after Sirius buy, aims for target by year-end
|
8/10/2020 | HYLM | CDW to redeem all of its $600 million senior notes due 2025
|
9/12/2019 | HYLM | CDW to conditionally redeem all 5% senior notes due 2023
|
3/2/2017 | HYLM | CDW to redeem all $600 million 6% notes due 2022 on April 3 at 106.182
|
2/23/2017 | HYLM | CDW units plan to call $600 million of notes due 2022 via new issue
|
5/7/2015 | BKBWHYLM | CDW issued $525 million of new debt in Q1, ends period with cash and equivalents of $447 million
|
3/3/2015 | HYLM | CDW intends to redeem $503.9 million of 8½% senior notes on April 2
|
2/26/2015 | HYLM | CDW plans to retire $503.9 million remaining 8½% senior notes due 2019
|
12/1/2014 | HYLM | CDW intends to redeem $541.4 million of 8½% senior notes due 2019
|
11/24/2014 | HYLM | CDW to redeem $541.4 million of senior notes due 2019 via new offering
|
8/5/2014 | HYLM | CDW calls 8% notes in full, $234.7 million portion of 8½% notes
|
7/31/2014 | BKBWHYLMLW | CDW cut debt in Q2, eyes 3 times target; new bond deal to cut interest costs, improve flexibility
|
7/31/2014 | HYLM | CDW to redeem $449.7 million of senior notes via new offering proceeds
|
4/9/2014 | HYLM | CDW subsidiaries call $42.5 million 12.535% exchange notes in full
|
1/22/2014 | HYLM | CDW subsidiaries to redeem $20 million portion of 12.535% notes
|
12/23/2013 | HYLM | CDW subsidiaries to redeem $30 million of 12.535% notes on Jan. 22
|
9/18/2013 | HYLM | CDW subsidiaries to redeem $155 million portion of 12.535% notes
|
8/2/2013 | BKHYLM | CDW boasts 'record-breaking' Q2 results, completes IPO, refinancings
|
7/2/2013 | HYLM | CDW subsidiaries to redeem $324 million portion of 12.535% notes
|
5/31/2013 | HYLM | CDW subsidiaries to redeem $175 million of 8% senior secured notes
|
3/22/2013 | HYLM | CDW to redeem 12.535% notes due 2017 with funds from public stock sale
|
2/13/2013 | BKHYLM | CDW reports $660 million liquidity, will keep redeeming 12.535% notes
|
2/6/2013 | HYLM | CDW subsidiaries to redeem $50 million of 12.535% notes on March 8
|
11/21/2012 | HYLM | CDW subsidiaries to redeem $100 million of 12.535% notes on Dec. 21
|
3/5/2012 | HYLM | CDW gets tenders for $120.74 million of 11% notes, 111/2%/121/4% notes
|
2/17/2012 | HYLM | CDW units settle early tenders for 93.49% of two note series due 2015
|
2/2/2012 | HYLM | CDW launches tender offer, solicits consents for 11%, 111/2%/121/4% notes
|
5/20/2011 | HYLM | CDW subsidiaries accept tenders for $321.43 million of 11% notes, $91.41 million of toggle notes
|
4/21/2011 | HYLM | CDW units start follow-on tender offer for 11% notes, toggle notes
|
4/14/2011 | HYLM | CDW prorates purchase of 11%, toggle notes in oversubscribed tender
|
4/7/2011 | HYLM | CDW units mark end of withdrawal rights for 11%, toggle notes tender
|
3/30/2011 | HYLM | CDW units add cap to tender offer for 11% notes, toggle notes, cancel consent solicitation
|
3/22/2011 | HYLM | CDW prolongs offer deadline in tender for 11% notes, toggle notes
|
3/8/2011 | HYLM | CDW gets consents needed to amend 11% notes, toggle notes, accelerates tender offer deadline
|
3/4/2011 | HYLM | CDW units nix early settlement in tender offer for 11%, toggle notes
|
2/23/2011 | HYLM | CDW units start tender offer, consent bid for 11% notes, toggle notes
|