397 results
Page 2 of 20
8-K
EX-10.1
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25 Oct 22
Proceeds to be initially used to paydown amounts drawn under the revolving credit facility
4:09pm
8-K
EX-4.1
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22 Aug 22
Carnival Corporation & plc Announces Closing of Convertible Notes Exchange, Extending Maturity at Existing 5.75% Rate
4:57pm
424B5
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22 Jul 22
Prospectus supplement for primary offering
4:22pm
424B5
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20 Jul 22
Prospectus supplement for primary offering
5:23pm
8-K
EX-10.1
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25 May 22
Carnival Corporation & plc Announces Closing of $1.0 Billion Senior Unsecured Notes due 2030 to Refinance 2023 Maturities
4:25pm
DEFA14A
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29 Mar 22
Additional proxy soliciting materials
4:31pm
8-K
EX-10.1
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2 Nov 21
Carnival Corporation & plc Announces Closing of $2.0 Billion 6% Senior Unsecured Notes due 2029, Funding Upcoming Debt Maturities
4:33pm
8-K
EX-10.1
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18 Oct 21
Entry into a Material Definitive Agreement
4:16pm
8-K
EX-99.1
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26 Jul 21
Entry into a Material Definitive Agreement
5:03pm
8-K
EX-99.1
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20 Jul 21
Carnival Corporation & PLC Announces Successful Results of Tender Offer for Its 11.5% Senior Secured Notes Due 2023 Subject to Refinancing Conditions
6:02am
8-K
EX-4.1
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20 Jul 21
Carnival Corporation & PLC Announces Successful Results of Tender Offer for Its 11.5% Senior Secured Notes Due 2023 Subject to Refinancing Conditions
6:02am
8-K
EX-99.1
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6 Jul 21
Carnival Corporation & PLC Announces Tender Offer for Its 11.5% Senior Secured Notes Due 2023 Subject to Refinancing Conditions
8:33am