12/23/2020 | HYLM | CIT Group to fully redeem $500 million 4 1/8% notes due 2021 at par
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6/2/2020 | HYLM | CIT Group unit to accept tenders for $234.75 million of 2.969% notes
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5/26/2020 | IGLM | CIT begins tender for 2.969% fixed-to-floating notes due 2025
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11/2/2018 | HYLM | CIT Group to redeem 5 3/8% senior notes due 2020 on Dec. 4 at par
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8/17/2018 | HYLM | CIT to redeem $500 million 3 7/8% notes due 2019 on Sept. 20
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6/13/2018 | BKBWHYLM | CIT aims to keep shaving $3.9 billion debt, refinancing and extending
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3/9/2018 | HYLM | CIT to redeem $500 million 3 7/8% notes, $383 million 5½% notes
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10/24/2017 | BWHYLMPF | CIT reduces debt by $800 million, further debt reduction is possible
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9/29/2017 | HYLM | CIT Group wraps one-month tender for $800 million of three series
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9/15/2017 | HYLM | CIT Group begins one-month capped tender for three series of notes
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4/18/2017 | HYLM | CIT Group purchases $969 million 5½% notes in oversubscribed tender
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4/4/2017 | HYLM | CIT to redeem four series of notes totaling $4.84 billion on May 4
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4/4/2017 | HYLM | CIT begins tender offer for up to $950 million of three note series
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4/4/2017 | HYLM | CIT Group to redeem $5.8 billion senior debt in April via asset sale
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12/22/2016 | HYLM | CIT Group holders exchange $955.9 million 5% notes due 2017 so far
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12/8/2016 | HYLM | CIT Group offers 5% notes due 2018 in exchange for 5% notes due 2017
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4/23/2013 | HYLM | CIT redeems $41 million notes in first quarter, plans $20 million more
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8/20/2012 | HYLM | CIT Group calls remaining $681 million of 7% series C notes
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8/6/2012 | HYLM | CIT Group to redeem additional $3.29 billion of its 7% notes Sept. 5
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7/20/2012 | HYLM | CIT Group calls additional $600 million of 7% series C notes due 2016
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5/7/2012 | HYLM | CIT Group to redeem $2 billion of 7% series C senior notes due 2017
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5/1/2012 | HYLM | CIT Group plans to refinance 7% series C notes with offering proceeds
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4/24/2012 | BKHYLM | CIT Group continued paying down debt in Q1, hopes to speed up process
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4/2/2012 | HYLM | CIT Group announces $500 million redemption of 7% series C notes
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3/15/2012 | HYLM | CIT Group announces $1.6 billion redemption of 7% series C notes
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3/12/2012 | HYLM | CIT Group to use note proceeds to refinance 7% series C notes
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2/7/2012 | HYLM | CIT Group calls $4 billion of 7% second-priority notes due 2016, 2017
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1/31/2012 | BKCVHYLM | CIT repays $860 million of debt, aims to take out $2.5 billion more
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12/30/2011 | LM | Outlook 2012: Cargill, AIG, CIT, LyondellBasell big deals in 2011; lower volume eyed in 2012
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12/22/2011 | HYLM | CIT Group calls $2 billion of 7% second lien notes due 2015 and 2016
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10/25/2011 | BKHYLM | CIT redeemed $4.5 billion of debt in third quarter, aims to eliminate last of series A bonds
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9/14/2011 | HYLM | CIT Group to redeem remaining $460 million of 7% second-lien notes
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8/31/2011 | HYLM | CIT Group to redeem additional $1 billion of 7% second-lien notes
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7/26/2011 | BKCVHYLM | CIT Group's $2.5 billion debt repayment negatively impacts quarter
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6/14/2011 | HYLM | CIT gets tenders for $8.77 billion 7% series A notes in exchange offer
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5/31/2011 | HYLM | CIT collects required consents for three series of second-lien notes
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5/17/2011 | HYLM | CIT launches exchange offer, solicitation for three notes series
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3/30/2011 | HYLM | CIT Group to redeem additional $2.5 billion of 7% second lien notes
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3/23/2011 | HYLM | CIT Group to use proceeds from 2014 note offering to retire 2013 notes
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3/1/2011 | HYLM | CIT Group to redeem $500 million of 7% second-lien notes due 2013
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2/15/2011 | BKHYLM | CIT Group makes debt-cutting progress, repays over $7 billion in 2010
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12/31/2010 | HYLM | CIT Group to redeem $500 million 7% series A second-lien notes
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11/10/2010 | HYLM | CIT Group to redeem all $752 million of 101/4% series B notes due 2017
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10/5/2010 | HYLM | CIT calls all outstanding $860 million 10.25% notes due 2015 and 2016
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9/21/2010 | HYLM | CIT Group to redeem $537 million 101/4% series B second-lien notes
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