Templar Energy LLC - 2016-04-22
Description
Made interest payments on a tranche of the outstanding $1.45 billion second-lien term loan due Nov. 25, 2020. The payments were originally due March 21, the company said April 21.
Made interest payments on a tranche of the outstanding $1.45 billion second-lien term loan due Nov. 25, 2020. The payments were originally due March 21, the company said April 21.