Synchrony Announces Class A(2026-2) Terms Document and Risk Retention Agreement
Synchrony Card Issuance Trust entered into the Class A(2026-2) Terms Document with The Bank of New York Mellon on August 12, 2026, and entered into the Class A(2026-2) Risk Retention Agreement. This filing marks the arrangement of terms for the related securities offering.
View filing at SEC.gov →