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Rackspace Technology Announces Early Tender Results of the Exchange Offer Relating to Its 3.50% First-Priority Senior Secured Notes Due 2028

Rackspace Technology Announces Early Tender Results of the Exchange Offer Relating to Its 3.50% First-Priority Senior Secured Notes Due 2028

Rackspace Technology公佈了與其2028年到期的3.50%第一優先優先優先有擔保票據相關的交易所要約的早期投標結果
Rackspace Technology ·  03/28 00:00

SAN ANTONIO, March 28, 2024 (GLOBE NEWSWIRE) -- Rackspace Technology (NASDAQ: RXT) ("Rackspace" or the "Company"), a leading end-to-end hybrid, multicloud, and AI technology solutions company, today announced the early tender results of the previously announced offer by its indirect subsidiary Rackspace Finance, LLC (the "New Issuer"), to eligible holders in respect of any and all of the 3.50% First-Priority Senior Secured Notes due 2028 (the "Existing Secured Notes") issued by its indirect subsidiary Rackspace Technology Global, Inc., to (i) (A) exchange certain of those Existing Secured Notes for new 3.50% FLSO Senior Secured Notes due 2028 (the "Exchange Notes") issued by the New Issuer and (B) have purchased for cancellation certain of those Existing Secured Notes by the New Issuer for cash (collectively, the "Exchange Offer"), and (ii) fund (the "Funding Offer" and, together with the Exchange Offer, the "Offers") new senior secured first lien first out term loans (the "New FLFO Term Loans") of the New Issuer, in each case, subject to the terms and conditions of the offering memorandum dated March 14, 2024 (as supplemented or otherwise modified from time to time, the "Offering Memorandum").

聖安東尼奧,2024 年 3 月 28 日(GLOBE NEWSWIRE)— 機架空間科技 納斯達克股票代碼:RXT)(“Rackspace” 或 “公司”)是一家領先的端到端混合、多雲和人工智能技術解決方案公司,今天公佈了其間接子公司Rackspace Finance, LLC(“新發行人”)先前宣佈的關於其間接發行的2028年到期的3.50%第一優先優先級有擔保票據(“現有有擔保票據”)向符合條件的持有人提出的報價的早期招標結果子公司Rackspace Technology Global, Inc. 將 (i) (A) 將這些現有擔保票據中的某些票據交換爲新的3.50%的FLSO優先擔保票據新發行人發行的2028年到期票據(“交易所票據”),以及(B)已購買新發行人以現金支付部分現有有擔保票據(統稱爲 “交易所要約”),以及(ii)新發行人的基金(“融資要約”,以及交易所要約,“要約”)新的優先擔保第一留置權首次到期定期貸款(“新FLFO定期貸款”),每種情況均受2024年3月14日發行備忘錄(不時補充或以其他方式修改)的條款和條件的約束,即 “發行”備忘錄”)。

As of 5:00 p.m., New York City time, on March 28, 2024 (the "Early Participation Time"), the New Issuer received from eligible holders valid and unwithdrawn tenders, as reported by Epiq Corporate Restructuring, LLC (the "Transaction Agent" or "Epiq"), the transaction agent, representing $133,271,000 in aggregate principal amount of Existing Secured Notes (or 73.1% of the outstanding Existing Secured Notes). The New Issuer expects to settle the Exchange Offer with respect to such Existing Secured Notes on April 2, 2024 (the "Early Settlement Date").

根據交易代理Epiq Corporate Restructuring, LLC(“交易代理” 或 “Epiq”)的報告,截至紐約時間2024年3月28日下午5點(“提前參與時間”),新發行人從符合條件的持有人那裏收到了有效和未撤回的投標書,相當於現有有擔保票據的總本金爲133,271,000美元(佔未償還現有有擔保票據的73.1%)。新發行人預計將於2024年4月2日(“提前結算日”)結算有關此類現有有擔保票據的交易所要約。

The following table summarizes certain terms of the Exchange Offer, including the consideration eligible holders will receive in respect of the Existing Secured Notes tendered on or prior to the Early Participation Time and after the Early Participation Time. Eligible holders must validly tender (and not validly withdraw) all of such holder's Existing Secured Notes to participate in the Exchange Offer. Partial tenders of Existing Secured Notes will not be accepted.

下表總結了交易所要約的某些條款,包括符合條件的持有人在提前參與時間或之前以及提前參與時間之後投標的現有有擔保票據將獲得的對價。符合條件的持有人必須有效投標(但不能有效提取)所有此類持有人的現有有擔保票據才能參與交易所要約。現有有擔保票據的部分投標將不被接受。

CUSIP Numbers(1)
Early Exchange Consideration for each $1,000 Principal Amount of Existing Secured Notes Tendered on or Prior to the Early Participation Time Late Exchange Consideration for each $1,000 Principal Amount of Existing Secured Notes Tendered After the Early Participation Time
With respect to $700 Principal Amount of Existing Secured Notes With respect to $300 Principal Amount of Existing Secured Notes With respect to $670 Principal Amount of Existing Secured Notes With respect to $330 Principal Amount of Existing Secured Notes
750098 AB1
U7502E AB0
$700 of Exchange Notes(2) $0.7875 in cash (the "Early Payment Amount")(3) $670 of Exchange Notes(2) $0.7875 in cash (the "Late Payment Amount")(3)
___________________________________
(1) No representation is made as to the correctness or accuracy of the CUSIP numbers listed in this release or printed on the Existing Secured Notes. CUSIP numbers are provided solely for convenience.
(2) Holders of Existing Secured Notes that are accepted for exchange pursuant to the Exchange Offer will be entitled to receive accrued and unpaid interest in cash on the Existing Secured Notes exchanged for Exchange Notes up to, but excluding, March 12, 2024. Interest on the Exchange Notes will accrue from March 12, 2024, with the first interest payment occurring on August 15, 2024.
(3) No additional payment will be made for accrued and unpaid interest on Existing Secured Notes purchased and cancelled for the Early Payment Amount or the Late Payment Amount (together with the Early Payment Amount, the "Payment Amounts"), as applicable.
CUSIP 號碼(1)
在提前參與時間或之前投標的每1,000美元現有有擔保票據本金的提前交易所對價 在提前參與時間之後每投標1,000美元的現有有擔保票據本金的逾期交易所對價
關於現有有擔保票據本金700美元 關於現有有擔保票據的本金300美元 關於現有有擔保票據本金670美元 關於現有有擔保票據本金330美元
750098 AB1
U7502E AB0
700 美元的交易所票據(2) 0.7875 美元現金(“提前付款金額”)(3) 670美元的交易所票據(2) 0.7875 美元現金(“逾期付款金額”)(3)
_________________________
(1) 對於本新聞稿中列出或印在現有擔保票據上的CUSIP號碼的正確性或準確性,不作任何陳述。提供 CUSIP 號碼僅爲方便起見。
(2) 根據交易所要約接受兌換的現有有擔保票據的持有人將有權在2024年3月12日之前(但不包括在內)獲得交換票據的現有有擔保票據的應計和未付現金利息。交易所票據的利息將從2024年3月12日起累計,第一筆利息將在2024年8月15日支付。
(3) 對於購買和取消的現有有擔保票據的應計和未付利息,將不額外支付提前還款金額或逾期付款金額(連同提前還款金額,“付款金額”),視情況而定。

As of 5:00 p.m., New York City time, on March 28, 2024, the right to withdraw tenders of Existing Secured Notes expired. Accordingly, Existing Secured Notes tendered for exchange may not be validly withdrawn, unless required by applicable law, or the New Issuer determines in the future and in its sole discretion to permit withdrawal rights.

截至紐約時間2024年3月28日下午5點,撤回現有擔保票據投標的權利到期。因此,除非適用法律要求,或者新發行人將來自行決定是否允許提款權,否則投標交換的現有有擔保票據可能無法有效撤回。

Eligible holders who tender (and do not validly withdraw) all of their Existing Secured Notes after the Early Participation Time but at or prior to the Expiration Time, and their Existing Secured Notes are accepted, will receive the Late Exchange Consideration described above.

在提前參與時間之後但在到期時間或之前投標(且未有效提取)所有現有擔保票據的合格持有人及其現有有擔保票據被接受,將獲得上述延遲交易對價。

Eligible holders that validly tendered (and did not validly withdraw) all of such holder's Existing Secured Notes in the Exchange Offer at or prior to the Early Participation Time ("Participating Eligible Holders") had the right to purchase New FLFO Term Loans in an aggregate principal amount equal to $102.04481 per $1,000 principal amount of Existing Secured Notes tendered by the Eligible Holder. The purchase price to receive the New FLFO Term Loans is a cash payment equal to $101.02436 per $1,000 principal amount of Existing Secured Notes tendered by such Participating Eligible Holder (which reflects an original issue discount of 1.0%) (the "Funding Amount"). Participating Eligible Holders may elect to participate in the Funding Offer by properly completing and delivering to the Transaction Agent (as defined herein) certain lender documentation at or prior to 11:59 p.m., New York City time, on March 28, 2024 (such time and date, as the same may be extended, the "Funding Election Time") and, promptly following the Funding Election Time, the Fronting Lender (as defined herein) will enter into a trade with each such holder validly participating in the Funding Offer for the delivery of the Funding Amount and settlement of the New FLFO Term Loans. The New FLFO Term Loans are currently held by the Fronting Lender; as a result, any holder validly participating in the Funding Offer will receive its New FLFO Term Loans from the Fronting Lender. Eligible holders may participate in the Exchange Offer without participating in the Funding Offer or delivering the lender documentation, and the New Issuer may accept validly tendered (and not validly withdrawn) Existing Secured Notes from an eligible holder pursuant to the Exchange Offer that fails to deliver the Funding Amount in connection with the Funding Offer.

在提前參與時間或之前有效投標(但未有效提取)該持有人在交易所要約中的所有現有擔保票據的合格持有人(“參與的合格持有人”)有權購買新的FLFO定期貸款,總本金等於合格持有人投標的每1,000美元現有有擔保票據本金102.04481美元。獲得新的FLFO定期貸款的購買價格是現金支付,相當於該參與合格持有人投標的每1,000美元現有有擔保票據本金101.02436美元(反映了1.0%的原始發行折扣)(“融資金額”)。參與的合格持有人可以在紐約時間2024年3月28日晚上 11:59 或之前(這些時間和日期,如可能延長,即 “融資選舉時間”)正確填寫並向交易代理人(定義見此處)交付某些貸款人文件來選擇參與融資要約,並且在融資選舉時間之後,前端貸款人(定義見此處)將立即與每位此類貸款人進行交易持有人有效參與了用於交付資金金額和結算的資金優惠新的FLFO定期貸款。新的FLFO定期貸款目前由前期貸款人持有;因此,任何有效參與融資要約的持有人都將從前期貸款人那裏獲得新的FLFO定期貸款。符合條件的持有人可以在不參與融資要約或交付貸款人文件的情況下參與交易所要約,新發行人可以根據交易所要約接受未能交付與融資要約相關的資金金額的合格持有人有效投標(且未有效撤回)的現有有擔保票據。

The Exchange Offer will expire at 5:00 p.m., New York City time, on April 11, 2024, unless extended (the "Expiration Time"). For Existing Secured Notes that have been validly tendered after the Early Participation Time but at or prior to the Expiration Time and not subsequently validly withdrawn and that are accepted in the Exchange Offer, the settlement date is expected to occur promptly after the Expiration Time (the "Final Settlement Date"). The Final Settlement Date is expected to occur on April 15, 2024 (the second business day after the Expiration Time). The Early Settlement Date or Final Settlement Date may change without notice.

除非延期(“到期時間”),否則交易所要約將於紐約時間2024年4月11日下午 5:00 到期。對於在提前參與時間之後有效投標但在到期時間或之前有效投標且隨後未被有效撤回且在交易所要約中接受的現有有擔保票據,結算日期預計將在到期時間(“最終結算日期”)之後立即到期。最終結算日期預計爲2024年4月15日(到期後的第二個工作日)。提前結算日期或最終結算日期可能會更改,恕不另行通知。

Consummation of the Exchange Offer is conditioned upon the satisfaction or waiver of the conditions set forth in the Offering Memorandum.

交易所要約的完成以滿足或放棄發行備忘錄中規定的條件爲條件。

The Exchange Offer is only being made, and the Exchange Notes are only being offered and issued to holders of Existing Secured Notes who are (x) reasonably believed to be "qualified institutional buyers" as defined in Rule 144A under the Securities Act of 1933, as amended (the "Securities Act") or (y) not "U.S. persons" as defined in Rule 902 under the Securities Act and in compliance with Regulation S under the Securities Act. The holders of Existing Secured Notes who are eligible to participate in the Exchange Offer pursuant to at least one of the foregoing conditions are referred to as "eligible holders."

交易所要約僅向現有有擔保票據的持有人發行,交易所票據的持有人(x)根據經修訂的1933年《證券法》(“證券法”)第144A條的定義,或者(y)不是《證券法》第902條和《證券法》第S條所定義的 “美國人”。根據上述至少一項條件有資格參與交易所要約的現有有擔保票據的持有人被稱爲 “合格持有人”。

The New Issuer is making the Offers only to eligible holders through, and pursuant to, the terms of the Offering Memorandum. The complete terms and conditions of the Offers are set forth in the Offering Memorandum. None of Rackspace, the New Issuer, the Guarantors (as defined in the Offering Memorandum), the Transaction Agent, the Fronting Lender, or any other person takes any position or makes any recommendation as to whether or not eligible holders should participate in the Offers.

新發行人僅通過發行備忘錄的條款向符合條件的持有人提供要約。要約的完整條款和條件載於發行備忘錄。Rackspace、新發行人、擔保人(定義見發行備忘錄)、交易代理人、前期貸款人或任何其他人均未就符合條件的持有人是否應參與要約採取任何立場或提出任何建議。

Only eligible holders may receive a copy of the Offering Memorandum and participate in the Offers. We have retained Epiq to act as transaction agent for the Offers and Jefferies Capital Services, LLC to act as the fronting lender for the Funding Offer (the "Fronting Lender"). Holders of Existing Secured Notes wishing to certify that they are eligible holders in order to be eligible to receive a copy of the Offering Memorandum should complete the eligibility letter and return it to Epiq as directed therein. Holders of Existing Secured Notes may complete the eligibility letter on-line at https://epiqworkflow.com/cases/RackspaceEL or obtain a PDF copy of the eligibility letter by requesting a copy from tabulation@epiqglobal.com and referencing "Rackspace" in the subject line. The eligibility letter can be returned via the online portal or by emailing a scan of both pages of the fully completed letter to Epiq at Tabulation@epiqglobal.com and referencing "Rackspace" in the subject line. Once your response has been reviewed and cleared by Epiq, you will receive the Offering Memorandum from Epiq by email.

只有符合條件的持有人才能收到發行備忘錄的副本並參與優惠。我們聘請了Epiq作爲要約的交易代理,並聘請了傑富瑞資本服務有限責任公司作爲融資要約的主要貸款機構(“前期貸款人”)。現有有擔保票據的持有人如果希望證明自己是有資格獲得發行備忘錄副本的持有人,則應填寫資格證明書,並按照信中的指示將其退還給Epiq。現有有擔保票據的持有人可以在以下地址在線填寫資格信 https://epiqworkflow.com/cases/RackspaceEL 或者通過索取資格證的副本來獲取資格證明的 PDF 副本 tabulation@epiqglobal.com 並在主題行中引用 “Rackspace”。資格信可以通過在線門戶網站退回,也可以通過電子郵件將完整填寫的信的兩頁掃描件發送給 Epiq,發送電子郵件至 Tabulation@epiqglobal.com,並在主題欄中註明 “Rackspace”。Epiq 審查並批准您的回覆後,您將通過電子郵件收到 Epiq 的發行備忘錄。

This press release is for informational purposes only and does not constitute an offer to sell, or a solicitation of an offer to buy, any security and does not constitute an offer, solicitation or sale of any security in any jurisdiction in which such offer, solicitation or sale would be unlawful. The Exchange Offer is being made in reliance on the exemption from registration provided by Section 4(a)(2) of the Securities Act, has not been registered with the U.S. Securities and Exchange Commission (the "SEC") and relies on exemptions under state securities laws.

本新聞稿僅供參考,不構成任何證券的出售要約或購買要約,也不構成任何證券的要約、招攬或出售,在任何司法管轄區內,此類要約、招攬或出售是非法的。交易所要約是依據《證券法》第4(a)(2)條規定的註冊豁免進行的,尚未在美國證券交易委員會(“SEC”)註冊,依賴於州證券法規定的豁免。

About Rackspace Technology

關於 Rackspace 科技

Rackspace Technology is a leading end-to-end hybrid, multicloud, and AI solutions company. We design, build, and operate our customers' cloud environments across all major technology platforms, irrespective of technology stack or deployment model. We partner with our customers at every stage of their cloud journey, enabling them to modernize applications, build new products, and adopt innovative technologies.

機架空間科技 是一家領先的端到端混合、多雲和人工智能解決方案公司。無論技術堆棧或部署模式如何,我們都會在所有主要技術平台上設計、構建和運營客戶的雲環境。我們在客戶雲之旅的每個階段都與他們合作,使他們能夠實現應用程序現代化、開發新產品和採用創新技術。

Forward-Looking Statements

前瞻性陳述

The Company has made statements in this press release that are forward-looking and therefore subject to risks and uncertainties. All statements, other than statements of historical fact, included in this press release are, or could be, "forward-looking statements" within the meaning of the Private Securities Litigation Reform Act of 1995 and are made in reliance on the safe harbor protections provided thereunder. These forward-looking statements include statements related to the Offers and the Company's ability to consummate the Offers within the time period expected, or at all. Any forward-looking statement made in this press release speaks only as of the date on which it is made. The Company undertakes no obligation to publicly update or revise any forward-looking statement, whether as a result of new information, future developments or otherwise. Forward-looking statements can be identified by various words such as "expects," "intends," "will," "anticipates," "believes," "confident," "continue," "propose," "seeks," "could," "may," "should," "estimates," "forecasts," "might," "goals," "objectives," "targets," "planned," "projects," and similar expressions. These forward-looking statements are based on management's current beliefs and assumptions and on information currently available to management. The Company cautions that these statements are subject to risks and uncertainties, many of which are outside of its control, and could cause future events or results to be materially different from those stated or implied in this press release, including among others, risk factors that are described in the Company's Annual Reports on Form 10-K, Quarterly Reports on Form 10-Q, Current Reports on Form 8-K, and other filings with the SEC, including the sections entitled "Risk Factors" and "Management's Discussion and Analysis of Financial Condition and Results of Operations" contained therein.

公司在本新聞稿中發表了前瞻性聲明,因此存在風險和不確定性。本新聞稿中包含的所有陳述,除歷史事實陳述外,都是或可能是《1995年私人證券訴訟改革法》所指的 “前瞻性陳述”,是根據該法案提供的安全港保護作出的。這些前瞻性陳述包括與要約相關的陳述,以及公司在預期的時間段內完成要約的能力或完全完成要約的能力。本新聞稿中的任何前瞻性陳述僅代表發佈之日。公司沒有義務公開更新或修改任何前瞻性陳述,無論是由於新信息、未來發展還是其他原因。前瞻性陳述可以通過各種詞語來識別,例如 “期望”、“打算”、“將”、“預期”、“相信”、“繼續”、“提議”、“尋求”、“可能”、“應該”、“估計”、“可能”、“可能”、“目標”、“目標”、“計劃”、“項目” 和類似表述。這些前瞻性陳述基於管理層當前的信念和假設以及管理層目前可獲得的信息。該公司警告說,這些陳述存在風險和不確定性,其中許多風險和不確定性超出了其控制範圍,並可能導致未來的事件或結果與本新聞稿中陳述或暗示的事件或結果存在重大差異,其中包括公司10-K表年度報告、10-Q表季度報告、8-K表最新報告以及向美國證券交易委員會提交的其他文件(包括標題爲 “風險因素” 的部分)中描述的風險因素以及 “管理層對財務狀況和業績的討論和分析其中包含的操作”。

Media Contact

媒體聯繫人

Investor Relations Contact

投資者關係聯繫人

Sagar Hebbar
ir@rackspace.com

Sagar Hebbar
ir@rackspace.com

声明:本內容僅用作提供資訊及教育之目的,不構成對任何特定投資或投資策略的推薦或認可。 更多信息
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