CPKC announces C$1.4 billion debt offering
1. CPKC is issuing C$1.4 billion in notes to refinance debts. 2. Proceeds will be used for refinancing and corporate purposes. 3. The transaction is expected to close on June 13, 2025. 4. Offering involves securities not registered under U.S. laws. 5. Forward-looking statements may involve risks and uncertainties.