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EMX Royalty Announces That It Has Entered Into Credit Agreement for a $35 Million Loan With Franco-Nevada Corporation

EMX Royalty Announces That It Has Entered Into Credit Agreement for a $35 Million Loan With Franco-Nevada Corporation

emx royalty宣布已与franco-nevada公司签订了一项3,500万美元贷款授信协议。
newsfile ·  06/20 08:00

Vancouver, British Columbia--(Newsfile Corp. - June 20, 2024) - EMX Royalty Corporation (NYSE American: EMX) (TSXV: EMX) (FSE: 6E9) (the "Company" or "EMX") is pleased to announce it has entered into a credit agreement (the "Credit Agreement") with a wholly-owned subsidiary (the "Lender") of Franco-Nevada Corporation (NYSE: FNV) (TSX: FNV) ("Franco-Nevada") to borrow $35 million (the "Loan"). The Company will use the proceeds of the Loan to repay the $34.66 million outstanding balance of the loan owed to Sprott Private Resource Lending II (Collector), LP ("Sprott") and for general working capital purposes. The Company anticipates that the funding of the Loan will take place in July 2024.

温哥华,不列颠哥伦比亚省- (Newsfile标志-2024年6月20日) -EMX版税公司(纽交所美国:EMX)(TSXV:EMX)(FSE:6E9)(“Acquiror”)宣布其以每个单位0.21美元的价格收购了4,761,905个发行人的单位(“Units”),总认购价格为1,000,000.01美元。每个单位包括一股公司股本中的普通股(一个“Common Shares”)和半个普通股购股权证(每个完整的权证即为“Warrant”),每个权证都使持有者有权以每股0.25美元的价格购买一股普通股,直到2026年5月30日。公司计划议程EMX非常高兴宣布已与Franco-Nevada Corporation(纽交所:FNV)(TSX:FNV)的全资子公司(“ Franco-Nevada ”)签订了一项信贷协议(“授信协议 (Credit Agreement)”),用于一些工作资本的目的。出借人” Franco-NevadaFranco-Nevada借35,000万美元(“贷款”贷款)。该公司将利用贷款的收益偿还欠Sprott Private Resource Lending II(Collector)LP(“Sprott”)的借款余额3466万美元,并用于一些工作资本的目的。公司预计贷款的资金支出将在2024年7月进行。

The Company is pleased to further develop its working relationship with Franco-Nevada. In addition to the Loan arrangement, EMX and Franco-Nevada have jointly syndicated royalty purchases (e.g., Caserones) and are actively engaged in a joint venture seeking new royalty financing opportunities. Franco-Nevada is also a key EMX shareholder.

公司非常高兴进一步与Franco-Nevada建立工作关系。除了贷款安排外,EMX和Franco-Nevada还联合资助了版税购买(例如Caserones),并积极参与了一项寻求新的版税融资机会的合资企业。Franco-Nevada也是EMX的重要股东。

Credit Agreement - The Loan is structured as a $35 million senior secured term loan facility which matures on July 1, 2029. Interest is payable monthly at a rate equal to the three-month SOFR (i.e., Secured Overnight Financing Rate) plus the applicable margin based on the ratio of the Company's net debt to adjusted EBITDA (see table below), adjusted quarterly.

信贷协议 -贷款结构为3500万美元的高级担保期限贷款设施,到期日为2029年7月1日。

Ratio of Net Debt / Adjusted EBITDA: Applicable Interest Rate (per annum):
< 1.00:1 Term SOFR plus 300 basis points
>= 1.00:1 and <1.50:1 Term SOFR plus 325 basis points
>= 1.50:1 and <2.00:1 Term SOFR plus 350 basis points
>= 2.00:1 and <3.00:1 Term SOFR plus 375 basis points
>= 3.00:1 Term SOFR plus 425 basis points
净负债 / EBITDA比率:调整后 适用利率(年利率):
期限SOFR加300个基点 > = 1.00:1且
期限SOFR加325个基点 > = 1.50:1且
>= 1.50:1和 利率 + 350个基点
≥ 2.00:1且 利率 + 375个基点
≥ 3.00:1 利率 + 425个基点

On closing, the Company will pay a commitment fee equal to 1% of the principal amount of the Loan. During each year, up to $10 million of the Loan may be voluntarily prepaid without penalty, on a cumulative basis.

在结款时,公司将支付贷款本金金额的1%作为承诺费用。每年,贷款的最高可累计无违约金主动提前偿还金额为1000万美元。

The Loan will be secured by a general security agreement over the assets of EMX and share pledges by certain of EMX's subsidiaries, with the Lender retaining the ability, at any time, to designate certain material subsidiaries of the Company to be guarantors of the Loan and provide similar security. Certain covenants under the Credit Agreement, including restrictions on incurring indebtedness and encumbrances, shall apply to the Company and its subsidiaries. Closing and the advance of the Loan are subject to customary conditions precedent, including the delivery of the above-noted security.

贷款将以一般财产抵押为担保,由EMX的某些子公司提供股份质押,贷款人保留权力随时指定公司的某些资本子公司作为贷款的担保人并提供类似的担保。信贷协议中的某些契约条款,包括对公司及其子公司债务及限制负担的限制,将适用于此处。结款及贷款预付款是受惯例前提条件的约束,包括上述担保的交付。

All amounts referred to herein are to United States dollars.

此处提到的所有金额均为美元。

About EMX - EMX is a precious and base metals royalty company. EMX's investors are provided with discovery, development, and commodity price optionality, while limiting exposure to risks inherent to operating companies. The Company's common shares are listed on the NYSE American Exchange and TSX Venture Exchange under the symbol "EMX". Please see for more information.

关于EMX - EMX是一家贵金属和基金属的回报公司。EMX的投资者可获得发现,开发和商品价格选择性,同时限制暴露于运营公司固有的风险。该公司的普通股在纽交所美国交易所和tsvx易所上以“EMX”符号进行交易。请参见获取更多的信息。

About Franco-Nevada - Franco-Nevada Corporation is the leading gold-focused royalty and streaming company with the most diversified portfolio of cash-flow producing assets. Its business model provides investors with gold price and exploration optionality while limiting exposure to cost inflation. Franco-Nevada is debt free and uses its free cash flow to expand its portfolio and pay dividends. It trades under the symbol "FNV" on both the Toronto and New York stock exchanges.

关于Franco-Nevada -Franco-Nevada Corporation是以黄金为中心的回报和流媒体公司,拥有最多样化的现金流生产资产组合。该公司的商业模型为投资者提供了金价和勘探选择性,同时限制了成本通胀的风险。Franco-Nevada是没有债务负担的,使用其自由现金流扩大其投资组合并支付股息。它在多伦多和纽约证券交易所上以“FNV”符号交易。

For further information contact:

有关更多信息,请联系:

David M. Cole
President and CEO
Phone: (303) 973-8585
Dave@EMXroyalty.com

David M. Cole
总裁和首席执行官
电话:(303) 973-8585
Dave@EMXroyalty.com

Isabel Belger
Investor Relations
Phone: +49 178 4909039
IBelger@EMXroyalty.com

Isabel Belger
投资者关系
电话:+49 178 4909039
IBelger@EMXroyalty.com

Neither the TSX Venture Exchange nor its Regulation Services Provider (as that term is defined in policies of the TSX Venture Exchange) accepts responsibility for the adequacy or accuracy of this release

TSX Venture交易所及其监管服务提供者(如TSX Venture交易所政策所定义)不对此消息发布的充分性或准确性负责。

Forward-Looking Statements

前瞻性声明

This news release may contain "forward-looking statements" that reflect the Company's current expectations and projections about its future results. These forward-looking statements may include statements regarding the expected timing for the closing of the Loan, the satisfaction of the conditions of closing of the Loan and the expected use of proceeds from the Loan, or other statements that are not statements of fact. When used in this news release, words such as "estimate," "intend," "expect," "anticipate," "will", "believe", "potential" and similar expressions are intended to identify forward-looking statements, which, by their very nature, are not guarantees of the Company's future operational or financial performance, and are subject to risks and uncertainties and other factors that could cause the Company's actual results, performance, prospects or opportunities to differ materially from those expressed in, or implied by, these forward-looking statements. These risks, uncertainties and factors may include, but are not limited to the Company being unable to satisfy the conditions of closing of the Loan or being unable comply with the covenants under the Credit Agreement, including the repayment of any amounts owing under the Loan, and other factors.

本新闻稿可能包含反映公司当前期望和预期的“前瞻性声明”。这些前瞻性声明可能包括有关贷款结束的预期时间,满足贷款结束条件的情况以及贷款的预期使用收益的声明,或其他不是事实陈述的声明。使用如“估计”,“期望”,“意图”,“预测”,“将”,“相信”,“潜在”等词语来识别前瞻性声明,这些声明本质上并不能保证公司未来的经营或财务绩效,并受到风险和不确定因素以及可能导致公司实际结果,绩效,前景或机会与此处表达的不同的其他因素或暗示的约束。这些风险、不确定性和因素可能包括,但不仅限于,公司无法满足贷款结束条件或无法遵守信贷协议中的契约条款,包括偿还贷款下的任何金额,以及其他因素。

Readers are cautioned not to place undue reliance on these forward-looking statements, which speak only as of the date of this news release or as of the date otherwise specifically indicated herein. Due to risks and uncertainties, including the risks and uncertainties identified in this news release, and other risk factors and forward-looking statements listed in the Company's MD&A for the quarter ended March 31, 2024 (the "MD&A"), and the most recently filed Annual Information Form ("AIF") for the year ended December 31, 2023, actual events may differ materially from current expectations. More information about the Company, including the MD&A, the AIF and financial statements of the Company, is available on SEDAR+ at and on the SEC's EDGAR website at www.sec.gov.

读者应该注意不要过分依赖这些前瞻性声明,这些声明仅代表本新闻发布日的状态或特别指明的日期状态。由于存在风险和不确定性,包括在本新闻发布中确定的风险和不确定性,以及在公司截至2024年3月31日的管理讨论与分析报告(“MD&A”)和公司最近提交的截至2023年12月31日年度信息表(“AIF”)中列出的其他风险因素和前瞻性声明,实际事件可能与当前预期有所不同。更多关于公司的信息,包括MD&A、AIF和公司的财务报表,可在SEDAR+上获取。 并且此外,在美国证券交易委员会("SEC")的EDGAR网站上也可以获取有关公司的更多信息。www.sec.gov.

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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