Thomson Reuters Conditional Bond Redemption 05 Sep 2018 Supporting Materials Conditional Bond Redemption Information - C$750,000,000 principal amount of 4.35% notes due September 30, 2020 (CUSIP No. 884903 BJ3) 35.9 KB Conditional Bond Redemption Information - C$500,000,000 principal amount of 3.369% notes due May 23, 2019 (CUSIP No. 884903 BR5) 35.9 KB Conditional Bond Redemption Information - US$500,000,000 principal amount of 4.70% notes due October 15, 2019 (CUSIP No. 884903 BG9) 58.1 KB
Conditional Bond Redemption Information - C$750,000,000 principal amount of 4.35% notes due September 30, 2020 (CUSIP No. 884903 BJ3) 35.9 KB
Conditional Bond Redemption Information - C$500,000,000 principal amount of 3.369% notes due May 23, 2019 (CUSIP No. 884903 BR5) 35.9 KB
Conditional Bond Redemption Information - US$500,000,000 principal amount of 4.70% notes due October 15, 2019 (CUSIP No. 884903 BG9) 58.1 KB