CMPR CIMPRESS PLC Capital Structure Changes 8-K Filing 2024 - Credit Agreement Update Cimpress plc amended its credit agreement to extend the maturity date of its revolving credit facility to September 2029 and issued $525 million in senior notes due 2032 at a 7.375% interest rate, using proceeds to redeem existing notes and cover related expenses.Get access to all SEC 8-K filings of the CIMPRESS PLC