UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 8-K
CURRENT REPORT
Pursuant to Section 13 or 15(d)
of the Securities Exchange Act of 1934
Date of Report (Date of earliest event reported): September 27, 2016
UNITED AIRLINES, INC.
(Exact name of registrant as specified in its charter)
Delaware | 001-10323 | 74-2099724 | ||
(State or other jurisdiction of incorporation) |
(Commission File Number) |
(IRS Employer Identification Number) | ||
233 S. Wacker Drive, Chicago, IL | 60606 | |||
(Address of principal executive offices) | (Zip Code) |
(872) 825-4000
Registrants telephone number, including area code
(Former name or former address, if changed since last report.)
Check the appropriate box below if the Form 8-K filing is intended to simultaneously satisfy the filing obligation of the registrant under any of the following provisions:
¨ | Written communications pursuant to Rule 425 under the Securities Act (17 CFR 230.425) |
¨ | Soliciting material pursuant to Rule 14a-12 under the Exchange Act (17 CFR 240.14a-12) |
¨ | Pre-commencement communications pursuant to Rule 14d-2(b) under the Exchange Act (17 CFR 240.14d-2(b)) |
¨ | Pre-commencement communications pursuant to Rule 13e-4(c) under the Exchange Act (17 CFR 240.13e-4(c)) |
Item 1.01 Entry into a Material Definitive Agreement.
On September 27, 2016, United Airlines, Inc. (the Company),Wilmington Trust, National Association, as subordination agent and pass through trustee (the Trustee) under certain pass through trusts newly formed by the Company, U.S. Bank National Association, as escrow agent under the Escrow Agreements (as defined below), and Wilmington Trust, National Association, as paying agent (Paying Agent) under the Escrow Agreements, entered into the Note Purchase Agreement, dated as of September 27, 2016 (the Note Purchase Agreement). The Note Purchase Agreement provides for the future issuance by the Company of equipment notes (the Equipment Notes) in the aggregate principal amount of $919,593,000 to finance 13 new Boeing aircraft scheduled for delivery between December 2016 and June 2017 (collectively, such new aircraft to be financed, the Aircraft). Pursuant to the Note Purchase Agreement, upon the financing of each Aircraft, the Trustee will purchase Equipment Notes issued under a trust indenture and mortgage (each, an Indenture and, collectively, the Indentures) with respect to such Aircraft to be entered into by the Company and Wilmington Trust, National Association, as mortgagee.
Each Indenture contemplates the issuance of Equipment Notes in two series: Series AA, bearing interest at the rate of 2.875 % per annum, and Series A, bearing interest at the rate of 3.100% per annum, in aggregate principal amounts (once all the Equipment Notes have been issued) equal to $636,512,000 and $283,081,000 respectively. The Equipment Notes will be purchased by the Trustee, using the proceeds from the sale of Pass Through Certificates, Series 2016-2AA, and Pass Through Certificates, Series 2016-2A (collectively, the Certificates and each series of the Certificates, a Class) issued by two pass through trusts newly-formed by the Company to facilitate the financing of the Aircraft.
Pending the purchase of the Equipment Notes, the proceeds from the sale of the Certificates of each Class were placed in escrow by the Trustee pursuant to an Escrow and Paying Agent Agreement, dated as of September 27, 2016, among U.S. Bank National Association, as escrow agent, Credit Suisse Securities (USA) LLC, Morgan Stanley & Co. LLC and Goldman, Sachs & Co., for themselves and on behalf of the several underwriters of the Certificates, and Wilmington Trust, National Association, as Trustee and Paying Agent, corresponding to such Class (each, an Escrow Agreement and, collectively, the Escrow Agreements). The escrowed funds were deposited with Natixis, acting through its New York Branch, under a separate deposit agreement for each Class of Certificates, each dated as of September 27, 2016, between U.S. Bank National Association, as escrow agent, and Natixis, acting through its New York Branch, as depositary.
The interest on the Equipment Notes and the escrowed funds is payable semi-annually on each April 7 and October 7, beginning on April 7, 2017. The principal payments on the Equipment Notes are scheduled on April 7 and October 7 of each year, beginning on April 7, 2018. The final payments will be due on October 7, 2028. Maturity of the Equipment Notes may be accelerated upon the occurrence of certain events of default, including failure by the Company (in some cases after notice or the expiration of a grace period, or both) to make payments under the applicable Indenture when due or to comply with certain covenants, as well as certain bankruptcy events involving the Company. The Equipment Notes issued with respect to each Aircraft will be secured by a lien on such Aircraft and will also be cross-collateralized by the other Aircraft financed pursuant to the Note Purchase Agreement.
The Certificates were registered for offer and sale pursuant to the Securities Act of 1933, as amended (the Securities Act), under the Companys automatic shelf registration statement on Form S-3 (File No. 333-203630) (the Registration Statement). The foregoing description of these agreements and instruments is qualified in its entirety by reference to these agreements and instruments, copies of which are filed herewith as exhibits and are incorporated by reference herein. For a more detailed description of the agreements and instruments entered into by the Company with respect to the Certificates, see the disclosure under the captions Description of the Certificates, Description of the Deposit Agreements, Description of the Escrow Agreements, Description of the Liquidity Facilities, Description of the Intercreditor Agreement, Description of the Equipment Notes and Underwriting contained in the Companys final Prospectus Supplement, dated September 13, 2016 (the Prospectus Supplement), to the Prospectus, dated April 24, 2015, filed with the Securities and Exchange Commission on September 14, 2016 pursuant to Rule 424(b) under the Securities Act, which disclosure is hereby incorporated herein by reference.
Item 2.03. Creation of Direct Financial Obligation.
See Item 1.01.
Item 9.01. Financial Statements and Exhibits.
(d) Exhibits. The documents listed as exhibits below are filed as exhibits with reference to the Registration Statement. The Registration Statement and the final Prospectus Supplement, dated September 13, 2016 to the Prospectus, dated April 24, 2015, relate to the offering of the Certificates.
1.1 | Underwriting Agreement, dated September 13, 2016, among the underwriters named therein, acting through their representatives Credit Suisse Securities (USA) LLC, Morgan Stanley & Co. LLC and Goldman, Sachs & Co., Natixis, acting through its New York Branch, as depositary, and United Airlines, Inc. | |
4.1 | Trust Supplement No. 2016-2AA-O, dated as of September 27, 2016, between Wilmington Trust, National Association, as trustee, and United Airlines, Inc., to Pass Through Trust Agreement, dated as of October 3, 2012 | |
4.2 | Trust Supplement No. 2016-2AA-S, dated as of September 27, 2016, between Wilmington Trust, National Association, as trustee, and United Airlines, Inc., to Pass Through Trust Agreement, dated as of October 3, 2012 |
4.3 | Trust Supplement No. 2016-2A-O, dated as of September 27, 2016, between Wilmington Trust, National Association, as trustee, and United Airlines, Inc., to Pass Through Trust Agreement, dated as of October 3, 2012 | |
4.4 | Trust Supplement No. 2016-2A-S, dated as of September 27, 2016, between Wilmington Trust, National Association, as trustee, and United Airlines, Inc., to Pass Through Trust Agreement, dated as of October 3, 2012 | |
4.5 | Revolving Credit Agreement (2016-2AA), dated as of September 27, 2016, between Wilmington Trust, National Association, as subordination agent, as agent and trustee, and as borrower, and Commonwealth Bank of Australia, New York Branch, as liquidity provider | |
4.6 | Revolving Credit Agreement (2016-2A), dated as of September 27, 2016, between Wilmington Trust, National Association, as subordination agent, as agent and trustee, and as borrower, and Commonwealth Bank of Australia, New York Branch, as liquidity provider | |
4.7 | Intercreditor Agreement, dated as of September 27, 2016, among Wilmington Trust, National Association, as trustee, Commonwealth Bank of Australia, New York Branch, as liquidity provider, and Wilmington Trust, National Association, as subordination agent and trustee | |
4.8 | Deposit Agreement (Class AA), dated as of September 27, 2016, between U.S. Bank National Association, as escrow agent, and Natixis, acting through its New York Branch, as depositary | |
4.9 | Deposit Agreement (Class A), dated as of September 27, 2016, between U.S. Bank National Association, as escrow agent, and Natixis, acting through its New York Branch, as depositary | |
4.10 | Escrow and Paying Agent Agreement (Class AA), dated as of September 27, 2016, among U.S. Bank National Association, as escrow agent, Credit Suisse Securities (USA) LLC, Morgan Stanley & Co. LLC and Goldman, Sachs & Co., for themselves and on behalf of the several Underwriters of the Certificates, Wilmington Trust, National Association, as trustee, and Wilmington Trust, National Association, as paying agent | |
4.11 | Escrow and Paying Agent Agreement (Class A), dated as of September 27, 2016, among U.S. Bank National Association, as escrow agent, Credit Suisse Securities (USA) LLC, Morgan Stanley & Co. LLC and Goldman, Sachs & Co., for themselves and on behalf of the several Underwriters of the Certificates, Wilmington Trust, National Association, as trustee, and Wilmington Trust, National Association, as paying agent |
4.12 | Note Purchase Agreement, dated as of September 27, 2016, among United Airlines, Inc., Wilmington Trust, National Association, as trustee, Wilmington Trust, National Association, as subordination agent, U.S. Bank National Association, as escrow agent, and Wilmington Trust, National Association, as paying agent | |
4.13 | Form of Participation Agreement (Participation Agreement between United Airlines, Inc. and Wilmington Trust, National Association, as mortgagee, subordination agent and trustee) (Exhibit B to Note Purchase Agreement) | |
4.14 | Form of Indenture (Trust Indenture and Mortgage between United Airlines, Inc. and Wilmington Trust, National Association, as mortgagee) (Exhibit C to Note Purchase Agreement) | |
4.15 | Form of United Airlines Pass Through Certificate, Series 2016-2AA-O (included in Exhibit 4.1) | |
4.16 | Form of United Airlines Pass Through Certificate, Series 2016-2A-O (included in Exhibit 4.3) | |
23.1 | Consent of Aircraft Information Services, Inc., dated September 13, 2016 | |
23.2 | Consent of BK Associates, Inc., dated September 13, 2016 | |
23.3 | Consent of Morten Beyer & Agnew, Inc., dated September 13, 2016 |
SIGNATURE
Pursuant to the requirements of the Securities Exchange Act of 1934, United Airlines, Inc. has duly caused this report to be signed on its behalf by the undersigned hereunto duly authorized.
UNITED AIRLINES, INC. | ||||||
Date: September 27, 2016 | By | /s/ Gerald Laderman | ||||
Gerald Laderman | ||||||
Senior Vice President Finance, | ||||||
Procurement and Treasurer |
EXHIBIT INDEX
1.1 | Underwriting Agreement, dated September 13, 2016, among the underwriters named therein, acting through their representatives Credit Suisse Securities (USA) LLC, Morgan Stanley & Co. LLC and Goldman, Sachs & Co., Natixis, acting through its New York Branch, as depositary, and United Airlines, Inc. | |
4.1 | Trust Supplement No. 2016-2AA-O, dated as of September 27, 2016, between Wilmington Trust, National Association, as trustee, and United Airlines, Inc., to Pass Through Trust Agreement, dated as of October 3, 2012 | |
4.2 | Trust Supplement No. 2016-2AA-S, dated as of September 27, 2016, between Wilmington Trust, National Association, as trustee, and United Airlines, Inc., to Pass Through Trust Agreement, dated as of October 3, 2012 | |
4.3 | Trust Supplement No. 2016-2A-O, dated as of September 27, 2016, between Wilmington Trust, National Association, as trustee, and United Airlines, Inc., to Pass Through Trust Agreement, dated as of October 3, 2012 | |
4.4 | Trust Supplement No. 2016-2A-S, dated as of September 27, 2016, between Wilmington Trust, National Association, as trustee, and United Airlines, Inc., to Pass Through Trust Agreement, dated as of October 3, 2012 | |
4.5 | Revolving Credit Agreement (2016-2AA), dated as of September 27, 2016, between Wilmington Trust, National Association, as subordination agent, as agent and trustee, and as borrower, and Commonwealth Bank of Australia, New York Branch, as liquidity provider | |
4.6 | Revolving Credit Agreement (2016-2A), dated as of September 27, 2016, between Wilmington Trust, National Association, as subordination agent, as agent and trustee, and as borrower, and Commonwealth Bank of Australia, New York Branch, as liquidity provider | |
4.7 | Intercreditor Agreement, dated as of September 27, 2016, among Wilmington Trust, National Association, as trustee, Commonwealth Bank of Australia, New York Branch, as liquidity provider, and Wilmington Trust, National Association, as subordination agent and trustee | |
4.8 | Deposit Agreement (Class AA), dated as of September 27, 2016, between U.S. Bank National Association, as escrow agent, and Natixis, acting through its New York Branch, as depositary |
4.9 | Deposit Agreement (Class A), dated as of September 27, 2016, between U.S. Bank National Association, as escrow agent, and Natixis, acting through its New York Branch, as depositary | |
4.10 | Escrow and Paying Agent Agreement (Class AA), dated as of September 27, 2016, among U.S. Bank National Association, as escrow agent Credit Suisse Securities (USA) LLC, Morgan Stanley & Co. LLC and Goldman, Sachs & Co., for themselves and on behalf of the several Underwriters of the Certificates, Wilmington Trust, National Association, as trustee, and Wilmington Trust, National Association, as paying agent | |
4.11 | Escrow and Paying Agent Agreement (Class A), dated as of September 27, 2016, among U.S. Bank National Association, as escrow agent, Credit Suisse Securities (USA) LLC, Morgan Stanley & Co. LLC and Goldman, Sachs & Co., for themselves and on behalf of the several Underwriters of the Certificates, Wilmington Trust, National Association, as trustee, and Wilmington Trust, National Association, as paying agent | |
4.12 | Note Purchase Agreement, dated as of September 27, 2016, among United Airlines, Inc., Wilmington Trust, National Association, as trustee, Wilmington Trust, National Association, as subordination agent, U.S. Bank National Association, as escrow agent, and Wilmington Trust, National Association, as paying agent | |
4.13 | Form of Participation Agreement (Participation Agreement between United Airlines, Inc. and Wilmington Trust, National Association, as mortgagee, subordination agent and trustee) (Exhibit B to Note Purchase Agreement) | |
4.14 | Form of Indenture (Trust Indenture and Mortgage between United Airlines, Inc. and Wilmington Trust, National Association, as mortgagee) (Exhibit C to Note Purchase Agreement) | |
4.15 | Form of United Airlines Pass Through Certificate, Series 2016-2AA-O (included in Exhibit 4.1) | |
4.16 | Form of United Airlines Pass Through Certificate, Series 2016-2A-O (included in Exhibit 4.3) | |
23.1 | Consent of Aircraft Information Services, Inc., dated September 13, 2016 | |
23.2 | Consent of BK Associates, Inc., dated September 13, 2016 | |
23.3 | Consent of Morten Beyer & Agnew, Inc., dated September 13, 2016 |