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Priced at par an offering of senior notes due 2030, which will carry an interest...
Read MoreTo redeem on Feb. 9 the entire outstanding principal amount of its 3.80% notes due...
Read MoreAnnounced debt retirement with the conversion by Energy Evolution Master Fund Ltd. of 100% of...
Read MoreAnnounced 20% increase to the borrowing base under its revolving credit facility to $725 million...
Read MoreClosed an equity commitment from Post Oak Energy Capital LP. The new equity commitment was...
Read MoreAnnounced that Montana Renewables LLC closed the of project financing from Stonebriar Commercial Finance LLC...
Read MoreCompleted restructuring transactions including the cash sale of its Williston Basin assets to Lime Rock...
Read MoreCommenced a tender offer to purchase for cash up to $250 million aggregate principal amount...
Read MoreAnnounced it has called for redemption of its 3.800% senior notes due 2025. The aggregate...
Read MoreAnnounced an agreement for Cresta Fund Management to fund the company’s origination, development and implementation...
Read MoreAmended and upsized its existing credit facility with an additional $175 million in commitments. In...
Read MorePriced inaugural senior unsecured notes offering of 6.75% senior unsecured notes due 2027. Proceeds will...
Read MoreAnnounced extension of its $1 billion revolving credit facility. Proceeds will be used to help...
Read MoreClosed bought deal offering of common shares issuing about 17.2 million shares, including roughly 2.2...
Read MoreSyndicate provided an extension of existing $600 million revolving credit facility to December 2023 and...
Read MoreExpanded unsecured revolving sustainability-linked loan to $725 million from $425 million concurrent with the closing...
Read MoreAnnounced the proposed underwritten block trade of roughly 64 million shares of its common stock...
Read MoreAnnounced approval by board of directors of a share repurchase program, under which the company...
Read MoreClosed offering of senior unsecured medium-term notes conducted in two tranches consisting of $500 million...
Read MoreAnnounced borrowing base under its senior revolving credit facility was recently successfully reaffirmed at $350...
Read MoreClosed a $130 million five-year term debt facility with an annual coupon of 8.85% and...
Read MoreEntered into an amendment to its revolving credit facility under which the borrowing base of...
Read MoreClosed a Series A funding round led by strategic investor Pickering Energy Partners (PEP). Funding...
Read MorePriced the public offering of 4.75% senior notes due 2032 sold to the public at...
Read MoreAnnounced that its Board of Directors has authorized the repurchase of up to $1 billion...
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