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CleanSpark | 8-K: Current report

CleanSpark | 8-K: Current report

CleanSpark | 8-K:重大事件
美股SEC公告 ·  2024/08/05 14:53

Moomoo AI 已提取核心訊息

CleanSpark has amended and restated its Credit Agreement with GRIID Infrastructure Inc., originally dated June 26, 2024, to include a new $40 million delayed draw term loan facility. The agreement builds upon an initial term loan of approximately $55.9 million previously provided to GRIID.The first drawdown of $5 million from the new facility occurred on August 5, 2024. All loans under the agreement bear an interest rate of 8.5% per annum and mature on June 26, 2025, or 90 days following the termination of the related merger agreement between the companies. Any borrowed amounts cannot be reborrowed once repaid.The Credit Agreement contains standard representations, warranties, covenants, and default provisions. The maturity date requires full payment of principal and any accrued but unpaid interest, with the funds restricted to specific purposes as outlined in the agreement.
CleanSpark has amended and restated its Credit Agreement with GRIID Infrastructure Inc., originally dated June 26, 2024, to include a new $40 million delayed draw term loan facility. The agreement builds upon an initial term loan of approximately $55.9 million previously provided to GRIID.The first drawdown of $5 million from the new facility occurred on August 5, 2024. All loans under the agreement bear an interest rate of 8.5% per annum and mature on June 26, 2025, or 90 days following the termination of the related merger agreement between the companies. Any borrowed amounts cannot be reborrowed once repaid.The Credit Agreement contains standard representations, warranties, covenants, and default provisions. The maturity date requires full payment of principal and any accrued but unpaid interest, with the funds restricted to specific purposes as outlined in the agreement.
CleanSpark已經修訂並重述了與GRIID製造行業公司原定於2024年6月26日簽署的信用協議,新增了一個4000萬美元的延期提款定期貸款設施。該協議在先前提供給GRIID的約5590萬美元的初期定期貸款基礎上進行了擴展。新的設施於2024年8月5日首次提款500萬美元。協議下的所有貸款年利率爲8.5%,到期日爲2025年6月26日,或在兩家公司相關併購協議終止後的90天。任何借入金額一旦償還後不能再次借入。該信用協議包含標準的陳述、保證、契約和違約條款。到期日要求全額支付本金及任何未支付的應計利息,資金僅限於協議中規定的特定用途。
CleanSpark已經修訂並重述了與GRIID製造行業公司原定於2024年6月26日簽署的信用協議,新增了一個4000萬美元的延期提款定期貸款設施。該協議在先前提供給GRIID的約5590萬美元的初期定期貸款基礎上進行了擴展。新的設施於2024年8月5日首次提款500萬美元。協議下的所有貸款年利率爲8.5%,到期日爲2025年6月26日,或在兩家公司相關併購協議終止後的90天。任何借入金額一旦償還後不能再次借入。該信用協議包含標準的陳述、保證、契約和違約條款。到期日要求全額支付本金及任何未支付的應計利息,資金僅限於協議中規定的特定用途。
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