Announcement by Embraer S.A. of Consideration of Cash Tender Offer for Certain Outstanding 6.950% Senior Unsecured Guaranteed Notes due 2028
1. Embraer announces a tender offer to repurchase up to US$150M in 2028 Notes. Sale details are clearly provided. 2. The offer includes a capped early tender payment of US$50 per US$1,000 principal. Calculation is based on fixed spread and Treasury yield. 3. Accepted notes will be settled on February 21, 2025 and the offer expires March 6, 2025. Terms aim to manage outstanding debt effectively. 4. The tender offer applies to a segment of approximately US$479M in outstanding 6.950% Notes. Embraer maintains sole discretion over the process.