[8-K] Mr. Cooper Group Inc. Reports Material Event
Mr. Cooper Group Inc. notified trustees and holders that it will redeem on October 1, 2025 its outstanding 5.000% Senior Notes due 2026, 6.000% Senior Notes due 2027, and 5.500% Senior Notes due 2028. Each series will be redeemed at 100% of principal plus accrued and unpaid interest to, but excluding, the redemption date, in accordance with the respective indentures. The Redemptions are subject to satisfaction or waiver of the Merger Condition on or prior to the Redemption Date. The notice was provided to the respective trustees (Computershare Trust Company, National Association as successor to Wells Fargo Bank for the 2027 and 2028 trustees) and is signed by Kurt Johnson, EVP & Chief Financial Officer.
Mr. Cooper Group Inc. ha comunicato ai fiduciari e ai detentori che rimborsa anticipatamente, il 1 ottobre 2025, le sue obbligazioni senior non garantite in circolazione: 5,000% a scadenza 2026, 6,000% a scadenza 2027 e 5,500% a scadenza 2028. Ogni series sarà rimborsata al 100% del capitale più gli interessi maturati e non pagati fino alla data di rimborso, escluse quest’ultima, in conformità agli specifici indenture. I rimborsi sono soggetti alla soddisfazione o rinuncia della Condizione di Fusione entro o prima della Data di Rimborso. La notifica è stata inviata ai rispettivi fiduciari (Computershare Trust Company, National Association in qualità di successore della Wells Fargo Bank per i fiduciari delle scadenze 2027 e 2028) ed è firmata da Kurt Johnson, EVP & Chief Financial Officer.
Mr. Cooper Group Inc. notificó a los fiduciarios y a los tenedores que recomprará, el 1 de octubre de 2025, sus bonos senior no garantizados vigentes: 5.000% con vencimiento en 2026, 6.000% con vencimiento en 2027 y 5.500% con vencimiento en 2028. Cada serie se redimirá al 100% del principal más los intereses acumulados y no pagados hasta, pero excluyendo, la fecha de redención, de acuerdo con los respectivos acuerdos de indenture. Las redenciones están sujetas a la satisfacción o renuncia de la Condición de Fusión en o antes de la Fecha de Redención. La notificación fue proporcionada a los respectivos fiduciarios (Computershare Trust Company, National Association como sucesora de Wells Fargo Bank para los fiduciarios de 2027 y 2028) y está firmada por Kurt Johnson, VP Ejecutivo y Director Financiero.
Mr. Cooper Group Inc.가 신탁인 및 보유자들에게 2025년 10월 1일에 2026년 만기 5.000%의 우선채권, 2027년 만기 6.000%의 우선채권, 2028년 만기 5.500%의 우선채권을 상환할 것임을 통지했습니다. 각 시리즈는 원금의 100%과 상환일에 이를 때까지 미지급된 이자를 포함하여 상환되며, 상환일 제외-b에 관한 indenture에 따라 이루어집니다. 상환은 합병 조건의 충족 또는 포기로 인해 충족되거나 포기된 경우에만 이루어집니다. 이 통지는 각 신탁사(2027년 및 2028년의 신탁인 Computershare Trust Company, National Association가 Wells Fargo Bank의 후임자로서)에게 제공되었으며 Kurt Johnson, EVP 겸 최고재무책임자가 서명했습니다.
Mr. Cooper Group Inc. a informé les fiduciaires et les détenteurs qu’il procédera au rachat, le 1er octobre 2025, de ses obligations senior non garanties en circulation: 5,000% échéance 2026, 6,000% échéance 2027 et 5,500% échéance 2028. Chaque série sera rachetée au 100% du principal plus les intérêts courus et non payés jusqu’à, mais excluant, la date de rachat, conformément aux indentures respectifs. Les rachats sont soumis à la satisfaction ou à la renonciation de la Condition de Fusion au plus tard à la Date de Rachat. L’avis a été envoyé aux fiduciaires respectifs (Computershare Trust Company, National Association en tant que successeur de Wells Fargo Bank pour les fiduciaires des 2027 et 2028) et est signé par Kurt Johnson, EVP et Directeur financier.
Mr. Cooper Group Inc. hat Treuhänderinnen und Inhaber darüber informiert, dass es am 1. Oktober 2025 seine ausstehenden 5,000%-Anleihen mit Fälligkeit 2026, 6,000%-Anleihen mit Fälligkeit 2027 und 5,500%-Anleihen mit Fälligkeit 2028 vorzeitig zurückzahlen wird. Jede Serie wird zum 100% des Nennbetrags plus aufgelaufene und unbezahlte Zinsen bis, aber mit Ausschluss der Rückzahlungsdatum, gemäß den jeweiligen Schuldverschreibungen zurückgezahlt. Die Rückzahlungen unterliegen der Erfüllung oder Verzichtserklärung der Verschmelzungsbedingung bis zum Rückzahlungstermin. Die Mitteilung wurde den jeweiligen Treuhändern (Computershare Trust Company, National Association als Nachfolgerin der Wells Fargo Bank für die Treuhänder der 2027- und 2028-Fälligkeiten) übermittelt und von Kurt Johnson, EVP & Chief Financial Officer, unterzeichnet.
Mr. Cooper Group Inc. أبلغت الأمناء والمالكين بأنها سترد على سنداتها senior غير المضمونة القائمة في 1 أكتوبر 2025 وهي: 5.000% المستحقة في 2026، و6.000% المستحقة في 2027، و5.500% المستحقة في 2028. ستُرد كل سلسلة عند 100% من رأس المال بالإضافة إلى الفوائد المتراكمة وغير المدفوعة حتى تاريخ الاسترداد، مع استبعاد ذلك التاريخ، وفقاً للاتفاقيات الخاصة بكل سند. تخضع عمليات الاسترداد لموفقة أو تنازل شرط الدمج قبل تاريخ الاسترداد، إن وجد. تم تقديم الإخطار إلى الأمناء المعنيين (Computershare Trust Company، National Association كنائب عن Wells Fargo Bank للخلفاء لأمناء 2027 و2028) ووقعها كورت جونسون، نائب الرئيس التنفيذي ومدير الشؤون المالية.
Mr. Cooper Group Inc. 通知受托人及持有人,将于 2025年10月1日 赎回其在外的5.000% 2026到期优先票据、6.000% 2027到期优先票据以及5.500% 2028到期优先票据。每一系列将按 本金的100% 加上直到赎回日但不含赎回日的应计未付利息赎回,符合各自的契约条款。赎回须在赎回日及之前满足或放弃 并购条件。通知已向各自的受托人(Computershare Trust Company, National Association,作为 Wells Fargo Bank 的继任者,负责 2027 和 2028 的受托人)提交,并由 Kurt Johnson,执行副总裁兼首席财务官签署。
- Planned full redemption of three note series at 100% of principal plus accrued interest provides clarity on the company's intent to retire these specific debt obligations
- Formal notice to trustees and holders follows indenture procedures and informs stakeholders of the redemption date and terms
- Redemptions are conditional on satisfaction or waiver of the Merger Condition, creating uncertainty about whether the redemptions will occur
- No principal amounts or funding sources disclosed in the provided text, limiting assessment of the financial impact
Insights
TL;DR: The company plans to redeem three senior note series at par on October 1, 2025, conditional on a stated Merger Condition.
The notice indicates a planned full redemption at 100% plus accrued interest for the 2026, 2027 and 2028 senior notes under their respective indentures, subject to satisfaction or waiver of the Merger Condition. This is a formal trustee notice reflecting an intent to retire these obligations on the specified Redemption Date if the Merger Condition is met. The disclosure names the trustees receiving the notices and the relevant coupon rates and maturities for each series. No principal amounts outstanding, sources of funds for redemption, or changes to covenants are disclosed in the provided text.
TL;DR: Formal redemption notice for three note series at par, with redemption contingent on a merger-related condition.
The communication follows standard indenture procedures by notifying trustees and holders of an intended redemption at 100% of principal plus accrued interest effective October 1, 2025. It explicitly ties the consummation of the Redemptions to the satisfaction or waiver of a Merger Condition and identifies the relevant indentures and successor trustee for certain series. The filing does not disclose the outstanding principal balances, financing mechanics, or whether partial redemptions or defeasance are planned, so the materiality to stakeholders depends on those omitted figures.
Mr. Cooper Group Inc. ha comunicato ai fiduciari e ai detentori che rimborsa anticipatamente, il 1 ottobre 2025, le sue obbligazioni senior non garantite in circolazione: 5,000% a scadenza 2026, 6,000% a scadenza 2027 e 5,500% a scadenza 2028. Ogni series sarà rimborsata al 100% del capitale più gli interessi maturati e non pagati fino alla data di rimborso, escluse quest’ultima, in conformità agli specifici indenture. I rimborsi sono soggetti alla soddisfazione o rinuncia della Condizione di Fusione entro o prima della Data di Rimborso. La notifica è stata inviata ai rispettivi fiduciari (Computershare Trust Company, National Association in qualità di successore della Wells Fargo Bank per i fiduciari delle scadenze 2027 e 2028) ed è firmata da Kurt Johnson, EVP & Chief Financial Officer.
Mr. Cooper Group Inc. notificó a los fiduciarios y a los tenedores que recomprará, el 1 de octubre de 2025, sus bonos senior no garantizados vigentes: 5.000% con vencimiento en 2026, 6.000% con vencimiento en 2027 y 5.500% con vencimiento en 2028. Cada serie se redimirá al 100% del principal más los intereses acumulados y no pagados hasta, pero excluyendo, la fecha de redención, de acuerdo con los respectivos acuerdos de indenture. Las redenciones están sujetas a la satisfacción o renuncia de la Condición de Fusión en o antes de la Fecha de Redención. La notificación fue proporcionada a los respectivos fiduciarios (Computershare Trust Company, National Association como sucesora de Wells Fargo Bank para los fiduciarios de 2027 y 2028) y está firmada por Kurt Johnson, VP Ejecutivo y Director Financiero.
Mr. Cooper Group Inc.가 신탁인 및 보유자들에게 2025년 10월 1일에 2026년 만기 5.000%의 우선채권, 2027년 만기 6.000%의 우선채권, 2028년 만기 5.500%의 우선채권을 상환할 것임을 통지했습니다. 각 시리즈는 원금의 100%과 상환일에 이를 때까지 미지급된 이자를 포함하여 상환되며, 상환일 제외-b에 관한 indenture에 따라 이루어집니다. 상환은 합병 조건의 충족 또는 포기로 인해 충족되거나 포기된 경우에만 이루어집니다. 이 통지는 각 신탁사(2027년 및 2028년의 신탁인 Computershare Trust Company, National Association가 Wells Fargo Bank의 후임자로서)에게 제공되었으며 Kurt Johnson, EVP 겸 최고재무책임자가 서명했습니다.
Mr. Cooper Group Inc. a informé les fiduciaires et les détenteurs qu’il procédera au rachat, le 1er octobre 2025, de ses obligations senior non garanties en circulation: 5,000% échéance 2026, 6,000% échéance 2027 et 5,500% échéance 2028. Chaque série sera rachetée au 100% du principal plus les intérêts courus et non payés jusqu’à, mais excluant, la date de rachat, conformément aux indentures respectifs. Les rachats sont soumis à la satisfaction ou à la renonciation de la Condition de Fusion au plus tard à la Date de Rachat. L’avis a été envoyé aux fiduciaires respectifs (Computershare Trust Company, National Association en tant que successeur de Wells Fargo Bank pour les fiduciaires des 2027 et 2028) et est signé par Kurt Johnson, EVP et Directeur financier.
Mr. Cooper Group Inc. hat Treuhänderinnen und Inhaber darüber informiert, dass es am 1. Oktober 2025 seine ausstehenden 5,000%-Anleihen mit Fälligkeit 2026, 6,000%-Anleihen mit Fälligkeit 2027 und 5,500%-Anleihen mit Fälligkeit 2028 vorzeitig zurückzahlen wird. Jede Serie wird zum 100% des Nennbetrags plus aufgelaufene und unbezahlte Zinsen bis, aber mit Ausschluss der Rückzahlungsdatum, gemäß den jeweiligen Schuldverschreibungen zurückgezahlt. Die Rückzahlungen unterliegen der Erfüllung oder Verzichtserklärung der Verschmelzungsbedingung bis zum Rückzahlungstermin. Die Mitteilung wurde den jeweiligen Treuhändern (Computershare Trust Company, National Association als Nachfolgerin der Wells Fargo Bank für die Treuhänder der 2027- und 2028-Fälligkeiten) übermittelt und von Kurt Johnson, EVP & Chief Financial Officer, unterzeichnet.