09:45 AM EST - Enerflex Ltd. : Has entered into an amended and restated credit agreement dated July 11, 2025 with respect to its syndicated secured revolving credit facility. The maturity date of the RCF has been extended by three years to July 11, 2028 and availability is unchanged at $800 million. As at March 31, 2025, the Company had drawn $117 million on its RCF. Led by the Royal Bank of Canada as agent, Enerflex received renewed lending commitments from all current syndicate members. Enerflex Ltd.
shares T.EFX are trading unchanged at $10.65.