Brookfield Renewable Partners LP announced the issuance of C$250 million aggregate principal amount of Fixed-to-Fixed Reset Rate Subordinated Hybrid Notes due September 10, 2055. The Hybrid Notes will bear interest at an annual rate of 5.373% and will reset every five years starting on September 10, 2030, at an annual rate equal to the five-year Government of Canada yield, plus a spread of 2.459%. The Hybrid Notes are part of Brookfield Renewable's 2024 Green Financing Framework, intended to fund Eligible Investments. The prospectus supplement and related documents for this offering will be accessible within two business days at https://www.sedarplus.ca.
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