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Ayr Wellness Inc. 10DEC2026 13% Senior Secured Notes

Listing Exchange: 
CSE
Status: 
Active
Industry: 
Life Sciences
Symbol: 
AYR.NT.A.U
CSE Index: 
No
Currency: 
USD

Ayr is an expanding vertically integrated, U.S. multi-state cannabis operator, focused on delivering the highest quality cannabis products and customer experience throughout its footprint. Based on the belief that everything starts with the quality of the plant, the Company is focused on superior cultivation to grow superior branded cannabis products. Ayr strives to enrich consumers’ experience every day through the wellness and wonder of cannabis.

Ayr’s leadership team brings proven expertise in growing successful businesses through disciplined operational and financial management, and is committed to driving positive impact for customers, employees and the communities they touch. For more information, please visit www.ayrwellness.com.

For more information see the Indenture for full details.

Ayr Wellness Inc. 10DEC2026 13% Senior Secured Notes (AYR.NT.A.U)

0.00 (0.00%)

Ayr Wellness Inc. (AYR.NT.A.U)

*Financial charts powered by Quotemedia.com. All right reserved. View the Terms of Use. Data delayed 15 minutes unless indicated.

Quote

Bid Size
Bid Price
0.00 
Ask Price
65.00 
Ask Size
40,000 
Volume
Last Price
 
Tick
Up 
Net Change
 
Prev Close
 
Open
0.00 
Day High
0.00 
Day Low
0.00 
52 Week High
0.00 
52 Week Low
0.00 
 
 
 
 

*Note: Bid Size and Ask Size fields are displayed as actual quantities

Bid Size
Bid Price
 
Ask Price
 
Ask Size
Volume
Last Price
 
Tick
Up 
Net Change
 
Prev Close
 
Open
0.00 
Day High
0.00 
Day Low
0.00 
52 Week High
 
52 Week Low
 
 
 
 
 

*Note: Bid Size and Ask Size fields are displayed as actual quantities

Quote

Bid Size
Bid Price
0.00 
Ask Price
65.00 
Ask Size
40,000 
Volume
Last Price
 
Tick
Up 
Net Change
 
Prev Close
 
Open
0.00 
Day High
0.00 
Day Low
0.00 
52 Week High
0.00 
52 Week Low
0.00 
 
 
 
 

*Note: Bid Size and Ask Size fields are displayed as actual quantities

Bid Size
Bid Price
 
Ask Price
 
Ask Size
Volume
Last Price
 
Tick
Up 
Net Change
 
Prev Close
 
Open
0.00 
Day High
0.00 
Day Low
0.00 
52 Week High
 
52 Week Low
 
 
 
 
 

*Note: Bid Size and Ask Size fields are displayed as actual quantities

Depth Display By Order

Bid Broker Bid Size Bid Price Ask Price Ask Size Ask Broker
0 0.00 65.00 10,000 Canaccord Capital Corporation
0 0.00 65.00 10,000 Canaccord Capital Corporation
0 0.00 65.00 10,000 Canaccord Capital Corporation
0 0.00 65.00 10,000 Canaccord Capital Corporation
0 0.00 0.00 0
0 0.00 0.00 0
0 0.00 0.00 0
0 0.00 0.00 0
0 0.00 0.00 0
0 0.00 0.00 0
Bid Broker Bid Size Bid Price Ask Price Ask Size Ask Broker

Depth Display By Price

Bid Count Bid Size Bid Price Ask Price Ask Size Ask Count
0 0 0.00 65.00 40,000 4
0 0 0.00 0.00 0 0
0 0 0.00 0.00 0 0
0 0 0.00 0.00 0 0
0 0 0.00 0.00 0 0
Bid Count Bid Size Bid Price Ask Price Ask Size Ask Count

Recent Trades

Date/Time Price Change Volume Buyer Seller Venue

Company Info

Address
2601 South Bayshore Drive
Suite 900
Miami, FL 33133
United States
Phone
212-299-7670
Fax
212-299-7666
Email
ayr@elevate-ir.com
Listing date
Thursday, August 15, 2024
Transfer Agent
Odyssey Trust Company

Bond information

Bond Maturity: 
Thursday, December 10, 2026
Bond Dated: 
Thursday, August 15, 2024
Bond Redemption: 
Redeemable at the Issuers option. See "Optional Redemption" in the Indenture for details.
Bond Frequency: 
Semi-Annual (June 30/December 31)
Bond Clearing and Settlement: 
CDS
Bond Board Lot: 
$1,000 Principal Amount
Bond Trading Restrictions: 
None

SEDAR Information

Filing Type Any Management's Discussion & Analysis Financial Statements News Releases Material Change Report
Timeframe 1 week1 month3 month6 month1 yearAll Time

Company Info

Address
2601 South Bayshore Drive
Suite 900
Miami, FL 33133
United States
Phone
212-299-7670
Fax
212-299-7666
Email
ayr@elevate-ir.com
Listing date
Thursday, August 15, 2024
Transfer Agent
Odyssey Trust Company

Capitalization

Issued & Outstanding: 
293250
Reserved for Issuance: 
0

Bond information

Bond Maturity: 
Thursday, December 10, 2026
Bond Dated: 
Thursday, August 15, 2024
Bond Redemption: 
Redeemable at the Issuers option. See "Optional Redemption" in the Indenture for details.
Bond Frequency: 
Semi-Annual (June 30/December 31)
Bond Clearing and Settlement: 
CDS
Bond Board Lot: 
$1,000 Principal Amount
Bond Trading Restrictions: 
None

Bulletins

14/08/2024

2024-0814 – New Listing - Ayr Wellness Inc. 10DEC2026 13% Senior Secured Notes (AYR.NT.A.U)

le 14 août/August 2024

Ayr Wellness Inc. 10DEC2026 13% Senior Secured Notes have been approved for listing.

See the Indenture for full details.

______________________

Les billets garantis de premier rang à 13 % d'Ayr Wellness Inc. 10DEC2026 ont été approuvés pour la cotation.

Voir l'acte de fiducie pour plus de détails.