Embraer Announces Redemption of 6.950% Notes Due 2028


2025-10-24SEC Filing 6-K (0001193125-25-250131)

Embraer S.A. announced that its indirect subsidiary, Embraer Netherlands Finance B.V., has issued a notice of redemption for all outstanding principal amount of its 6.950% Notes due 2028. The redemption will take place on November 25, 2025, in accordance with the terms and conditions set forth in the Indenture dated September 17, 2020, and supplemented on January 1, 2022. The redemption price will be the greater of 100% of the principal amount or the sum of the present values of each remaining scheduled payment of principal and interest, discounted at the Treasury Rate plus 50 basis points, plus accrued interest. The Notes are held through The Depository Trust Company (DTC), and must be surrendered for redemption in accordance with DTC’s procedures. The redemption is being made solely pursuant to the Redemption Notice delivered to Holders on October 24, 2025.


Tickers mentioned in this filing:ERJ