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Firm Capital Apartment REIT Provides Strategic Review Update Including Florida Property Disposition and Early Redemption of Convertible Debenture

Firm Capital Apartment REIT Provides Strategic Review Update Including Florida Property Disposition and Early Redemption of Convertible Debenture

公司资本公寓房地产投资信托基金提供最新战略审查,包括佛罗里达州的财产处置和可转换债券的提前赎回
GlobeNewswire ·  05/22 17:01

All figures in $USD unless otherwise noted.

除非另有说明,否则所有数字均以美元计。

TORONTO, May  22, 2024  (GLOBE NEWSWIRE) -- Firm Capital Apartment Real Estate Investment Trust ("the "Trust"), (TSXV: FCA.U), (TSXV: FCA.UN) is pleased to report the following:

多伦多,2024年5月22日(GLOBE NEWSWIRE)——Firm Capital Apartment 房地产投资信托基金(“信托”)(TSXV:FCA.U)(TSXV:FCA.UN)欣然报告以下内容:

$30.5 MILLION DISPOSITION OF FLORIDA PROPERTY

处置佛罗里达州3,050万美元的房产

The Trust has completed the sale of one of its wholly-owned multi-family assets located in Florida (the "Florida Property") for $30.5 million. The Florida Property had a sales price in line with its IFRS value.

该信托基金已以3,050万美元的价格完成了其位于佛罗里达州的全资多户家庭资产之一(“佛罗里达房产”)的出售。佛罗里达房地产的销售价格与其国际财务报告准则价值一致。

Net of associated mortgage debt and closing costs, the net sale proceeds were approximately $12.0 million. As part of the transaction, the Trust has agreed to provide seller financing for $4 million due in 12 months (with a possible further one time six month extension) that will provide the Trust a possible escalating return on its investment as follows: (i) for the first six months, the interest rate is 9%, (ii) 11% from months 6 -12 and (iii) 15% from months 12 – 18.

扣除相关的抵押贷款债务和交易成本,净销售收益约为1,200万美元。作为交易的一部分,信托已同意向卖方提供12个月内到期的400万美元融资(可能再延长一次六个月),这将为信托提供可能的不断增加的投资回报,具体如下:(i)前六个月的利率为9%,(ii)从第6-12个月起为11%,(iii)从第12至18个月起为15%。

On closing, the Trust received net sale proceeds of approximately $8.0 million which are being used for working capital purposes and debt reduction, which includes the Convertible Debenture (see below).

收盘时,该信托获得了约800万澳元的净销售收益,用于营运资本和债务减免,其中包括可转换债券(见下文)。

EARLY REDEMPTION OF $14.0 MILLION FCA.DB CONVERTIBLE DEBENTURE

提前赎回1400万美元的 FCA.DB 可转换债券

The Trust is pleased to announce that it intends to redeem early all of its outstanding $13.8 million (CAD$18.8 million) aggregate principal amount of 6.25% convertible unsecured subordinated debentures due June 30, 2026 (the "Convertible Debentures") on or about July 2, 2024 (the "Redemption Date"). The Convertible Debentures, which have a maturity date of June 30, 2026, will be redeemed by the Trust early in accordance with the terms of the trust indenture. The Convertible Debentures, which are listed and posted for trading on the TSX Venture Exchange under the symbol FCA.DB, will cease trading on the Redemption Date.

信托很高兴地宣布,它打算在2024年7月2日左右(“赎回日”)提前赎回其未偿还的1,380万美元(合1,880万加元)6.25%的可转换无抵押次级债券(“可转换债券”)的全部未偿还本金。可转换债券的到期日为2026年6月30日,信托将根据信托契约的条款提前赎回。在多伦多证券交易所风险交易所上市和上市交易的可转换债券的代码为 FCA.DB,将在赎回之日停止交易。

On the Redemption Date, the Trust will pay holders of Convertible Debentures a redemption price equal to $1,000 for each $1,000 principal amount of Convertible Debentures and all accrued and unpaid interest up to but excluding the Redemption Date. The Trust intends to use cash on hand to pay the redemption price of the redeemed Convertible Debentures.

在赎回日,信托将向可转换债券的持有人支付相当于每1,000美元的可转换债券本金以及截至但不包括赎回日的所有应计和未付利息的赎回价格,相当于1,000美元。信托打算使用手头现金来支付已赎回的可转换债券的赎回价格。

Formal notice of redemption is being delivered to the Convertible Debenture holders through the Debenture Trustee, TSX Trust Company, in accordance with the trust indenture. Beneficial holders of the Convertible Debentures are encouraged to contact their investment dealer to coordinate the surrender of their Convertible Debentures or if they have any questions about the redemption. No action is required to be taken by holders of the Convertible Debentures in connection with the redemption.

根据信托契约,将通过债券受托人多伦多证券交易所信托公司向可转换债券持有人发出正式的赎回通知。鼓励可转换债券的受益持有人联系其投资交易商,协调可转换债券的退出事宜,或者如果他们对赎回有任何疑问。可转换债券的持有人无需就赎回采取任何行动。

STRATEGIC REVIEW UPDATE

战略审查更新

As a result of the Florida Property sale, the Trust has the following remaining Real Estate Investments:

由于佛罗里达州房地产的出售,该信托基金有以下剩余的房地产投资:

  • Wholly Owned: Two actively-managed properties located in Houston, Texas comprised of 485 multi-family units;

  • Joint Ventures: Four joint venture investment properties managed by our partners located in Connecticut, Georgia, Maryland and New York comprised of 614 multi-family units; and

  • Preferred Capital: Three preferred capital investments located in South Dakota, Texas and Florida.

  • 全资拥有:位于德克萨斯州休斯敦的两处积极管理的房产,由485套多户住宅单元组成;

  • 合资企业:由我们的合作伙伴管理的四处合资投资物业,分别位于康涅狄格州、乔治亚州、马里兰州和纽约州,由614套多户住宅单元组成;以及

  • 优先资本:位于南达科他州、德克萨斯州和佛罗里达州的三项优先资本投资。

Currently, the remaining Wholly Owned properties are listed for sale, while the Trust is working with the various Joint Venture sponsors in either various sale processes or to hold for longer periods of time until unitholder value is realized. In the interim, the Trust has ample liquidity in dealing with the Convertible Debenture two years prior to maturity and has made the decision to repay early given its current cash position. Post repayment of the Convertible Debenture, the Trust will only have conventional, non-recourse mortgages secured against its various Wholly Owned and Joint Venture Real Estate Investments.

目前,剩余的全资房产已上市出售,而信托基金正在与各合资企业发起人合作,进行各种出售流程,或者延长持有时间,直到单位持有人价值实现为止。在此期间,该信托拥有充足的流动性,可以在到期前两年处理可转换债券,并且鉴于其当前的现金状况,已决定提前还款。偿还可转换债券后,该信托将仅以其各种全资和合资房地产投资为担保的常规无追索权抵押贷款。

The Board will continue to assess matters on a quarterly basis and determine if the Trust should: (i) distribute excess income; (ii) distribute net proceeds from asset sales, after debt repayment; (iii) reinvest net proceeds into other investments; (iv) distribute proceeds as a return of capital or special distribution; and/or (v) use excess proceeds to repurchase Trust units in the marketplace. It is the Trust's current intention not to disclose developments with respect to the Strategic Review unless and until it is determined that disclosure is necessary or appropriate, or as required under applicable securities laws.

董事会将继续按季度评估事宜,并确定信托是否应:(i)分配超额收益;(ii)在偿还债务后分配资产出售的净收益;(iii)将净收益再投资于其他投资;(iv)将收益作为资本回报或特别分配进行分配;和/或(v)使用超额收益在市场上回购信托单位。信托目前的意图是,除非确定披露是必要或适当的,或者根据适用的证券法的要求,否则不披露战略审查的进展情况。

声明:本内容仅用作提供资讯及教育之目的,不构成对任何特定投资或投资策略的推荐或认可。 更多信息
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