March 29 (Reuters) - Patterson Companies Inc:
* PATTERSON COMPANIES SAYS ENTERED NOTE PURCHASE AGREEMENT DATED AS OF MARCH 29, 2018 - SEC FILING
* PATTERSON COMPANIES - UNDER AGREEMENT, CO ISSUED $150 MILLION FIXED RATE SENIOR NOTES AT AN INTEREST RATE OF 3.79% PER ANNUM, DUE MARCH 30, 2028
* PATTERSON COMPANIES INC - PROCEEDS FROM ISSUANCE WILL BE USED TO REPAY AMOUNTS OUTSTANDING UNDER COMPANY'S 2008 SENIOR NOTES Source text: (bit.ly/2H0f7EZ) Further company coverage: