INVESTISSEURS

GFL Environmental Inc. est une société privée soutenue par des actionnaires actifs.

Parmi nos principaux actionnaires, l’on retrouve :

BC Partners
BC Partners est une société d’investissement internationale de premier plan qui gère un actif de 20 milliards de dollars américains en capital-investissement et en crédit privé. Fondé en 1986, BC Partners joue un rôle actif dans le développement du marché européen des opérations de rachat depuis trois décennies. Aujourd’hui, les dirigeants de BC Partners forment une équipe intégrée qui opère sur tous les marchés à partir des bureaux de la société situés en Amérique du Nord et en Europe. Depuis sa création, BC Partners a réalisé 102 investissements en capital-investissement dans diverses sociétés pour une valeur totale de 145 milliards de dollars US et elle investit actuellement dans un dixième fonds de capital-investissement. Pour plus d’informations, visitez le site www.bcpartners.com.

Régime de retraite des enseignantes et des enseignants de l’Ontario
Le Régime de retraite des enseignantes et des enseignants de l’Ontario (RREO) est le plus important régime de retraite au Canada pour une profession unique. Au 31 décembre 2017, son actif net était de 189,5 milliards de dollars. Il détient un portefeuille mondial d’actifs diversifiés, dont environ 80% sont gérés en interne, et, depuis la création du régime en 1990, il affiche un rendement annualisé moyen de 9,9%. Le RREO est une organisation indépendante dont le siège social se trouve à Toronto. Son bureau régional pour l’Asie-Pacifique est situé à Hong Kong et son bureau régional pour l’Europe, le Moyen-Orient et l’Afrique se trouve à Londres. Le régime à prestations déterminées, entièrement capitalisé, investit et administre les pensions des 323 000 enseignants actifs et retraités de la province de l’Ontario. Pour plus d’informations, visitez http://otpp.com et suivez-nous sur Twitter en tapant le mot-clic @OtppInfo.

Patrick Dovigi
Fondateur, président et PDG de GFL.

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Existing holder or prospective purchaser of the Company's outstanding 5.625% senior unsecured notes due 2022.

USE RESTRICTION ON INFORMATION CONTAINED IN THIS WEBSITE

THE INFORMATION CONTAINED IN THIS WEBSITE IS BEING MADE AVAILABLE PURSUANT TO THE INDENTURE DATED AS OF MAY 12, 2017, AS AMENDED AND SUPPLEMENTED, GOVERNING THE COMPANY’S OUTSTANDING 5.625% SENIOR SECURED NOTES DUE 2022 (THE “2022 NOTES”), THE INDENTURE DATED AS OF FEBRUARY 26, 2018, GOVERNING THE COMPANY'S OUTSTANDING 5.375% SENIOR UNSECURED NOTES DUE 2023 (THE "2023 NOTES") and THE INDENTURE DATED AS OF MAY 14, 2018 GOVERNING THE COMPANY’S OUTSTANDING 7.00% SENIOR UNSECURED NOTES DUE 2026 (THE “2026 NOTES”). THE INDENTURES REQUIRE THE COMPANY TO MAKE THE INFORMATION CONTAINED HEREIN AVAILABLE TO THE HOLDERS OF THE 2022 NOTES, THE 2023 NOTES AND THE 2026 NOTES AND TO PROSPECTIVE PURCHASERS OF THE 2022 NOTES, 2023 NOTES AND/OR THE 2026 NOTES. ONLY SUCH HOLDERS AND PROSPECTIVE PURCHASERS ARE AUTHORIZED TO HAVE ACCESS TO THIS WEBSITE, AND BY CLICKING "AGREE" BELOW YOU ARE AGREEING THAT YOU ARE EITHER A CURRENT HOLDER OR PROSPECTIVE PURCHASER OF THE 2022 NOTES, THE 2023 NOTES OR THE 2026 NOTES. THE INFORMATION CONTAINED IN THIS WEBSITE MAY NOT BE USED TO EVALUATE A PROSPECTIVE PURCHASE OF ANY OF THE COMPANY'S INDEBTEDNESS OTHER THAN THE 2022 NOTES, THE 2023 NOTES OR THE 2026 NOTES. BY CLICKING "AGREE" BELOW YOU WILL ALSO BE AGREEING NOT TO USE ANY OF THE INFORMATION CONTAINED IN THIS WEBSITE TO EVALUATE ANY INDEBTEDNESS OF THE COMPANY OTHER THAN THE 2022 NOTES, THE 2023 NOTES OR THE 2026 NOTES.

AND / OR

Existing holder or prospective purchaser of the Company’s outstanding 5.375% senior unsecured notes due 2023.

USE RESTRICTION ON INFORMATION CONTAINED IN THIS WEBSITE

THE INFORMATION CONTAINED IN THIS WEBSITE IS BEING MADE AVAILABLE PURSUANT TO THE INDENTURE DATED AS OF MAY 12, 2017, AS AMENDED AND SUPPLEMENTED, GOVERNING THE COMPANY’S OUTSTANDING 5.625% SENIOR SECURED NOTES DUE 2022 (THE “2022 NOTES”), THE INDENTURE DATED AS OF FEBRUARY 26, 2018, GOVERNING THE COMPANY'S OUTSTANDING 5.375% SENIOR UNSECURED NOTES DUE 2023 (THE "2023 NOTES") and THE INDENTURE DATED AS OF MAY 14, 2018 GOVERNING THE COMPANY’S OUTSTANDING 7.00% SENIOR UNSECURED NOTES DUE 2026 (THE “2026 NOTES”). THE INDENTURES REQUIRE THE COMPANY TO MAKE THE INFORMATION CONTAINED HEREIN AVAILABLE TO THE HOLDERS OF THE 2022 NOTES, THE 2023 NOTES AND THE 2026 NOTES AND TO PROSPECTIVE PURCHASERS OF THE 2022 NOTES, 2023 NOTES AND/OR THE 2026 NOTES. ONLY SUCH HOLDERS AND PROSPECTIVE PURCHASERS ARE AUTHORIZED TO HAVE ACCESS TO THIS WEBSITE, AND BY CLICKING "AGREE" BELOW YOU ARE AGREEING THAT YOU ARE EITHER A CURRENT HOLDER OR PROSPECTIVE PURCHASER OF THE 2022 NOTES, THE 2023 NOTES OR THE 2026 NOTES. THE INFORMATION CONTAINED IN THIS WEBSITE MAY NOT BE USED TO EVALUATE A PROSPECTIVE PURCHASE OF ANY OF THE COMPANY'S INDEBTEDNESS OTHER THAN THE 2022 NOTES, THE 2023 NOTES OR THE 2026 NOTES. BY CLICKING "AGREE" BELOW YOU WILL ALSO BE AGREEING NOT TO USE ANY OF THE INFORMATION CONTAINED IN THIS WEBSITE TO EVALUATE ANY INDEBTEDNESS OF THE COMPANY OTHER THAN THE 2022 NOTES, THE 2023 NOTES OR THE 2026 NOTES.

AND / OR

Existing holder or prospective purchaser of the Company’s outstanding 7.00% senior unsecured notes due 2026.

USE RESTRICTION ON INFORMATION CONTAINED IN THIS WEBSITE

THE INFORMATION CONTAINED IN THIS WEBSITE IS BEING MADE AVAILABLE PURSUANT TO THE INDENTURE DATED AS OF MAY 12, 2017, AS AMENDED AND SUPPLEMENTED, GOVERNING THE COMPANY’S OUTSTANDING 5.625% SENIOR SECURED NOTES DUE 2022 (THE “2022 NOTES”), THE INDENTURE DATED AS OF FEBRUARY 26, 2018, GOVERNING THE COMPANY'S OUTSTANDING 5.375% SENIOR UNSECURED NOTES DUE 2023 (THE "2023 NOTES") and THE INDENTURE DATED AS OF MAY 14, 2018 GOVERNING THE COMPANY’S OUTSTANDING 7.00% SENIOR UNSECURED NOTES DUE 2026 (THE “2026 NOTES”). THE INDENTURES REQUIRE THE COMPANY TO MAKE THE INFORMATION CONTAINED HEREIN AVAILABLE TO THE HOLDERS OF THE 2022 NOTES, THE 2023 NOTES AND THE 2026 NOTES AND TO PROSPECTIVE PURCHASERS OF THE 2022 NOTES, 2023 NOTES AND/OR THE 2026 NOTES. ONLY SUCH HOLDERS AND PROSPECTIVE PURCHASERS ARE AUTHORIZED TO HAVE ACCESS TO THIS WEBSITE, AND BY CLICKING "AGREE" BELOW YOU ARE AGREEING THAT YOU ARE EITHER A CURRENT HOLDER OR PROSPECTIVE PURCHASER OF THE 2022 NOTES, THE 2023 NOTES OR THE 2026 NOTES. THE INFORMATION CONTAINED IN THIS WEBSITE MAY NOT BE USED TO EVALUATE A PROSPECTIVE PURCHASE OF ANY OF THE COMPANY'S INDEBTEDNESS OTHER THAN THE 2022 NOTES, THE 2023 NOTES OR THE 2026 NOTES. BY CLICKING "AGREE" BELOW YOU WILL ALSO BE AGREEING NOT TO USE ANY OF THE INFORMATION CONTAINED IN THIS WEBSITE TO EVALUATE ANY INDEBTEDNESS OF THE COMPANY OTHER THAN THE 2022 NOTES, THE 2023 NOTES OR THE 2026 NOTES.

I AGREE TO ALL THE USE RESTRICTIONS SET FORTH ABOVE *