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Information as of December 31, 2020
No material maturities until July 2023, with a 6 year average life
Millions of U.S. dollars
1) Giving proforma effect to the following transactions: (i) Issuance in January of US$1,750 M senior secured notes at 3.875% due 2031 and (ii) redemption of the following senior secured notes in February: US$1,000 M of 7.75% due 2026 and US$750 M of 5.7% due 2025
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