1, 2024 (the "2024 notes"), (vii) repayment at maturity of CdnS500 million principal amount of 5.04% medium term notes of the Company due March 8, 2024, (viii) the issuance by BFI of US\\(750 million principal amount of 5.968% notes due March 4, 2054 (the "2054 notes"), (ix) the issuance by BFI of US\\)700 million principal amount of 6.350% senior unsecured notes due January 5, 2034, (x) the repayment of US\\(700 million principal amount of existing indebtedness in December 2023, (xi) the redemption of US\\)550 million of the then-outstanding US\\(750 million principal amount of 2024 notes on July 14,