Brookfield Renewable announced that it has agreed to issue CAD 400 million aggregate principal amount of medium-term notes (the ?Notes?), comprised of CAD 100 million aggregate principal amount of Series 17 Notes (the ?Series 17 Notes?), due January 10, 2054, with an effective interest rate1 of 5.417% and CAD 300 million aggregate principal amount of Series 18 Notes (the ?Series 18 Notes?), due October 20, 2034, which will bear interest at a rate of 4.959% per annum. The Series 17 Notes will be issued as a re-opening on identical terms, other than issue date and the price to the public, to the CAD 400 million principal amount of 5.318% Series 17 Notes that were issued in January 2024. The Series 17 Notes will be issued at a price of CAD 98.549, plus accrued interest.