STOCK TITAN

[25-NSE] First Trust Brazil AlphaDEX Fund SEC Filing

Filing Impact
(Low)
Filing Sentiment
(Neutral)
Form Type
25-NSE
Rhea-AI Filing Summary

Park National Corporation (NYSE American: PRK) filed an 8-K dated July 11 2025 to disclose that it has exercised its right, under the August 20 2020 Indenture with U.S. Bank National Association, to redeem the company’s entire $175 million principal amount of 4.50% Fixed-to-Floating Rate Subordinated Notes due 2030.

The company set September 1 2025 as the redemption date (the “Redemption Date”). Holders will receive 100% of principal plus any accrued and unpaid interest up to, but excluding, the Redemption Date. The filing emphasizes that this current report is not the formal notice of redemption; investors must refer to the official notice distributed by the trustee, U.S. Bank.

The remainder of the report consists of a forward-looking-statement safe-harbor outline listing 32 risk factors and an Item 9.01 statement indicating no additional financial statements or exhibits other than the XBRL cover-page file. No earnings data, strategic transactions, or other material changes were disclosed.

Park National Corporation (NYSE American: PRK) ha presentato un 8-K datato 11 luglio 2025 per comunicare di aver esercitato il diritto, previsto nell'Indenture del 20 agosto 2020 con U.S. Bank National Association, di riscattare l'intero importo nominale di 175 milioni di dollari delle Note Subordinate a tasso fisso variabile al 4,50% con scadenza 2030.

La società ha fissato il 1° settembre 2025 come data di riscatto (la “Data di Riscatto”). I detentori riceveranno il 100% del capitale più gli interessi maturati e non pagati fino, ma non inclusa, la Data di Riscatto. Nel documento si sottolinea che questo rapporto corrente non costituisce la notifica formale di riscatto; gli investitori devono fare riferimento all’avviso ufficiale distribuito dal trustee, U.S. Bank.

Il resto del rapporto comprende una sezione di dichiarazioni previsionali con 32 fattori di rischio e una dichiarazione all’Item 9.01 che indica l’assenza di ulteriori bilanci o allegati oltre al file di copertina XBRL. Non sono stati comunicati dati sugli utili, operazioni strategiche o altri cambiamenti rilevanti.

Park National Corporation (NYSE American: PRK) presentó un 8-K fechado el 11 de julio de 2025 para informar que ha ejercido su derecho, conforme al Contrato de Emisión del 20 de agosto de 2020 con U.S. Bank National Association, de redimir la totalidad del importe principal de 175 millones de dólares de las Notas Subordinadas a tasa fija a flotante del 4.50% con vencimiento en 2030.

La compañía estableció el 1 de septiembre de 2025 como la fecha de redención (la “Fecha de Redención”). Los tenedores recibirán el 100% del principal más cualquier interés acumulado y no pagado hasta, pero sin incluir, la Fecha de Redención. El informe enfatiza que este reporte actual no es el aviso formal de redención; los inversores deben referirse al aviso oficial distribuido por el fiduciario, U.S. Bank.

El resto del informe consta de una sección de declaración prospectiva con 32 factores de riesgo y una declaración en el Ítem 9.01 que indica que no hay estados financieros adicionales ni anexos aparte del archivo de portada XBRL. No se divulgaron datos de ganancias, transacciones estratégicas ni otros cambios materiales.

Park National Corporation (NYSE American: PRK)는 2025년 7월 11일자 8-K 보고서를 제출하여 2020년 8월 20일 U.S. Bank National Association과 체결한 약정에 따라 회사의 전체 4.50% 고정-변동 금리 후순위 채권(2030년 만기) 1억 7,500만 달러 원금 전액을 상환하기로 결정했다고 공시했습니다.

회사는 2025년 9월 1일을 상환일(“상환일”)로 지정했습니다. 보유자는 상환일까지(상환일 제외) 발생한 모든 미지급 이자와 함께 원금 100%를 받게 됩니다. 이번 공시는 공식 상환 통지가 아니며, 투자자들은 수탁자인 U.S. Bank가 배포하는 공식 통지를 참고해야 한다고 명시하고 있습니다.

보고서 나머지 부분은 32개의 위험 요인을 포함한 미래 예측 진술 안전 항목과 XBRL 표지 파일 외에 추가 재무제표나 첨부 문서가 없음을 알리는 9.01항 진술로 구성되어 있습니다. 수익 데이터, 전략적 거래 또는 기타 중요한 변경 사항은 공개되지 않았습니다.

Park National Corporation (NYSE American : PRK) a déposé un 8-K daté du 11 juillet 2025 pour divulguer qu’elle a exercé son droit, en vertu du contrat du 20 août 2020 avec U.S. Bank National Association, de racheter la totalité du montant principal de 175 millions de dollars des billets subordonnés à taux fixe-variable de 4,50 % arrivant à échéance en 2030.

La société a fixé le 1er septembre 2025 comme date de rachat (la « Date de Rachat »). Les détenteurs recevront 100 % du principal plus tout intérêt couru non payé jusqu’à, mais excluant, la Date de Rachat. Le rapport souligne que ce rapport actuel n’est pas l’avis formel de rachat ; les investisseurs doivent se référer à l’avis officiel distribué par le fiduciaire, U.S. Bank.

Le reste du rapport comprend une section de mise en garde prospective listant 32 facteurs de risque et une déclaration à l’Item 9.01 indiquant qu’aucun autre état financier ou annexe n’est fourni, hormis le fichier de couverture XBRL. Aucune donnée sur les résultats, transactions stratégiques ou autres changements importants n’a été divulguée.

Park National Corporation (NYSE American: PRK) reichte am 11. Juli 2025 ein 8-K-Formular ein, um bekanntzugeben, dass das Unternehmen sein Recht aus dem Schuldverschreibungsvertrag vom 20. August 2020 mit der U.S. Bank National Association ausgeübt hat, die gesamten 175 Millionen US-Dollar Nennbetrag der 4,50% Fest-zu-Floating-Subordinated Notes mit Fälligkeit 2030 zurückzuzahlen.

Als Rückzahlungstermin (der „Rückzahlungstag“) wurde der 1. September 2025 festgelegt. Die Inhaber erhalten 100 % des Kapitals zuzüglich aufgelaufener und unbezahlter Zinsen bis, aber ohne Einschluss, des Rückzahlungstages. Im Bericht wird betont, dass es sich bei diesem aktuellen Bericht nicht um die formelle Rückzahlungsanzeige handelt; Anleger müssen die offizielle Mitteilung des Treuhänders, U.S. Bank, beachten.

Der restliche Bericht besteht aus einer sicheren Hafen-Erklärung mit 32 Risikofaktoren und einer Angabe unter Punkt 9.01, dass keine weiteren Finanzberichte oder Anlagen außer der XBRL-Titelseite vorliegen. Es wurden keine Gewinnzahlen, strategischen Transaktionen oder sonstige wesentliche Änderungen bekannt gegeben.

Positive
  • Company will redeem the full $175 million 4.50% subordinated notes on September 1 2025 at par plus accrued interest
Negative
  • None.

Insights

TL;DR: PRK will repay $175 m 4.50% subordinated notes on 9/1/25 at par; capital structure changes but no new financial metrics released.

The early take-out of the 2030 subordinated notes removes a tier-2 capital instrument five years before final maturity. Because the redemption occurs at 100% of principal, holders earn no call premium, suggesting the company is acting within an established optional redemption window. From an equity perspective, retiring a 4.50% coupon obligation could modestly lower future interest expense, though the filing does not quantify the impact. Liquidity appears sufficient to fund the redemption, but the 8-K provides no detail on the funding source or resulting capital ratios. For fixed-income investors the event is routine and priced in; for equity investors the disclosure is neutral-to-slightly-positive, pending future capital deployment updates.

Park National Corporation (NYSE American: PRK) ha presentato un 8-K datato 11 luglio 2025 per comunicare di aver esercitato il diritto, previsto nell'Indenture del 20 agosto 2020 con U.S. Bank National Association, di riscattare l'intero importo nominale di 175 milioni di dollari delle Note Subordinate a tasso fisso variabile al 4,50% con scadenza 2030.

La società ha fissato il 1° settembre 2025 come data di riscatto (la “Data di Riscatto”). I detentori riceveranno il 100% del capitale più gli interessi maturati e non pagati fino, ma non inclusa, la Data di Riscatto. Nel documento si sottolinea che questo rapporto corrente non costituisce la notifica formale di riscatto; gli investitori devono fare riferimento all’avviso ufficiale distribuito dal trustee, U.S. Bank.

Il resto del rapporto comprende una sezione di dichiarazioni previsionali con 32 fattori di rischio e una dichiarazione all’Item 9.01 che indica l’assenza di ulteriori bilanci o allegati oltre al file di copertina XBRL. Non sono stati comunicati dati sugli utili, operazioni strategiche o altri cambiamenti rilevanti.

Park National Corporation (NYSE American: PRK) presentó un 8-K fechado el 11 de julio de 2025 para informar que ha ejercido su derecho, conforme al Contrato de Emisión del 20 de agosto de 2020 con U.S. Bank National Association, de redimir la totalidad del importe principal de 175 millones de dólares de las Notas Subordinadas a tasa fija a flotante del 4.50% con vencimiento en 2030.

La compañía estableció el 1 de septiembre de 2025 como la fecha de redención (la “Fecha de Redención”). Los tenedores recibirán el 100% del principal más cualquier interés acumulado y no pagado hasta, pero sin incluir, la Fecha de Redención. El informe enfatiza que este reporte actual no es el aviso formal de redención; los inversores deben referirse al aviso oficial distribuido por el fiduciario, U.S. Bank.

El resto del informe consta de una sección de declaración prospectiva con 32 factores de riesgo y una declaración en el Ítem 9.01 que indica que no hay estados financieros adicionales ni anexos aparte del archivo de portada XBRL. No se divulgaron datos de ganancias, transacciones estratégicas ni otros cambios materiales.

Park National Corporation (NYSE American: PRK)는 2025년 7월 11일자 8-K 보고서를 제출하여 2020년 8월 20일 U.S. Bank National Association과 체결한 약정에 따라 회사의 전체 4.50% 고정-변동 금리 후순위 채권(2030년 만기) 1억 7,500만 달러 원금 전액을 상환하기로 결정했다고 공시했습니다.

회사는 2025년 9월 1일을 상환일(“상환일”)로 지정했습니다. 보유자는 상환일까지(상환일 제외) 발생한 모든 미지급 이자와 함께 원금 100%를 받게 됩니다. 이번 공시는 공식 상환 통지가 아니며, 투자자들은 수탁자인 U.S. Bank가 배포하는 공식 통지를 참고해야 한다고 명시하고 있습니다.

보고서 나머지 부분은 32개의 위험 요인을 포함한 미래 예측 진술 안전 항목과 XBRL 표지 파일 외에 추가 재무제표나 첨부 문서가 없음을 알리는 9.01항 진술로 구성되어 있습니다. 수익 데이터, 전략적 거래 또는 기타 중요한 변경 사항은 공개되지 않았습니다.

Park National Corporation (NYSE American : PRK) a déposé un 8-K daté du 11 juillet 2025 pour divulguer qu’elle a exercé son droit, en vertu du contrat du 20 août 2020 avec U.S. Bank National Association, de racheter la totalité du montant principal de 175 millions de dollars des billets subordonnés à taux fixe-variable de 4,50 % arrivant à échéance en 2030.

La société a fixé le 1er septembre 2025 comme date de rachat (la « Date de Rachat »). Les détenteurs recevront 100 % du principal plus tout intérêt couru non payé jusqu’à, mais excluant, la Date de Rachat. Le rapport souligne que ce rapport actuel n’est pas l’avis formel de rachat ; les investisseurs doivent se référer à l’avis officiel distribué par le fiduciaire, U.S. Bank.

Le reste du rapport comprend une section de mise en garde prospective listant 32 facteurs de risque et une déclaration à l’Item 9.01 indiquant qu’aucun autre état financier ou annexe n’est fourni, hormis le fichier de couverture XBRL. Aucune donnée sur les résultats, transactions stratégiques ou autres changements importants n’a été divulguée.

Park National Corporation (NYSE American: PRK) reichte am 11. Juli 2025 ein 8-K-Formular ein, um bekanntzugeben, dass das Unternehmen sein Recht aus dem Schuldverschreibungsvertrag vom 20. August 2020 mit der U.S. Bank National Association ausgeübt hat, die gesamten 175 Millionen US-Dollar Nennbetrag der 4,50% Fest-zu-Floating-Subordinated Notes mit Fälligkeit 2030 zurückzuzahlen.

Als Rückzahlungstermin (der „Rückzahlungstag“) wurde der 1. September 2025 festgelegt. Die Inhaber erhalten 100 % des Kapitals zuzüglich aufgelaufener und unbezahlter Zinsen bis, aber ohne Einschluss, des Rückzahlungstages. Im Bericht wird betont, dass es sich bei diesem aktuellen Bericht nicht um die formelle Rückzahlungsanzeige handelt; Anleger müssen die offizielle Mitteilung des Treuhänders, U.S. Bank, beachten.

Der restliche Bericht besteht aus einer sicheren Hafen-Erklärung mit 32 Risikofaktoren und einer Angabe unter Punkt 9.01, dass keine weiteren Finanzberichte oder Anlagen außer der XBRL-Titelseite vorliegen. Es wurden keine Gewinnzahlen, strategischen Transaktionen oder sonstige wesentliche Änderungen bekannt gegeben.

UNITED STATES
OMB APPROVAL
OMB Number: 3235-0080
Expires: March 31, 2018
Estimated average burden
hours per response: 1.7
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 25
NOTIFICATION OF REMOVAL FROM LISTING AND/OR REGISTRATION
UNDER SECTION 12(b) OF THE SECURITIES EXCHANGE ACT OF 1934.
Commission File Number 333-171759
Issuer: FIRST TRUST EXCHANGE-TRADED ALPHADEX FUND II
Exchange: Nasdaq Stock Market LLC
(Exact name of Issuer as specified in its charter, and name of Exchange where security is listed and/or registered)
Address: 120 EAST LIBERTY DRIVE, SUITE 400
Wheaton ILLINOIS 60787
Telephone number: 630-765-8000
(Address, including zip code, and telephone number, including area code, of Issuer's principal executive offices)
First Trust Brazil AlphaDEX Fund
(Description of class of securities)
Please place an X in the box to designate the rule provision relied upon to strike the class of securities from listing and registration:
17 CFR 240.12d2-2(a)(1)
17 CFR 240.12d2-2(a)(2)
17 CFR 240.12d2-2(a)(3)
17 CFR 240.12d2-2(a)(4)
Pursuant to 17 CFR 240.12d2-2(b), the Exchange has complied with its rules to strike the class of securities from listing and/or withdraw registration on the Exchange. 1
Pursuant to 17 CFR 240.12d2-2(c), the Issuer has complied with its rules of the Exchange and the requirements of 17 CFR 240.12d-2(c) governing the voluntary withdrawal of the class of securities from listing and registration on the Exchange.
Pursuant to the requirements fo the Securities Exchange Act of 1934, Nasdaq Stock Market LLC certifies that it has reasonable grounds to believe that it meets all of the requirements for filing the Form 25 and has caused this notification to be signed on its behalf by the undersigned duly authorized person.
2025-07-11 By Tara Petta AVP
Date Name Title
1 Form 25 and attached Notice will be considered compliance with the provisions of 17 CFR 240.19d-1 as applicable. See General Instructions.
Persons who respond to the collection of information contained in this form are not required to respond unless the form displays a currently valid OMB Number.

FAQ

What did Park National Corporation (PRK) announce in its July 11 2025 8-K?

PRK disclosed its election to redeem all $175 million of 4.50% subordinated notes due 2030 on September 1 2025.

How much principal is being redeemed by PRK?

The company will redeem $175 million in principal amount of the notes.

At what price will the PRK notes be redeemed?

Holders will receive 100% of principal plus accrued and unpaid interest to, but excluding, the redemption date.

When is the redemption date for PRK’s 4.50% subordinated notes?

The redemption date is September 1 2025.

Does the 8-K include new earnings or financial statements?

No. Item 9.01 states that no additional financial statements or exhibits were provided beyond the cover-page XBRL file.
First Trust Brazil AlphaDEX® ETF

NASDAQ:FBZ

FBZ Rankings

FBZ Latest News

FBZ Latest SEC Filings

FBZ Stock Data

600.00k