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XS Financial Amends Unsecured Convertible Notes, Extends Maturity Date

XS Financial Amends Unsecured Convertible Notes, Extends Maturity Date

XS Financial修改無抵押可轉換票據,延長到期日
Benzinga ·  2023/06/12 10:28

XS Financial Inc. (OTCQB:XSHLF) (CSE:XSF) has amended its unsecured convertible notes in the aggregate principal amount of $43.5 million, which were originally issued on October 28, 2021 and October 10, 2022.

XS金融公司(OTCQB:XSHLF)(CSE:XSF)有修改其無擔保可轉換票據,本金總額為4350萬美元,最初於2021年10月28日和2022年10月10日發行。

The notes were originally scheduled to mature on October 28, 2023, subject to a one-year extension in certain circumstances. Pursuant to the terms of the amendment, the notes will now mature on either December 31, 2024 if the company secures a written commitment by one or more third party lenders prior to December 31, 2023, providing for the advance of senior indebtedness to the company in an aggregate minimum principal amount of $50 million; or otherwise, June 30, 2024. The company has the option of extending the December maturity date for an additional one-year period to December 31, 2025, by providing written notice to the note holders and making a cash payment equal to 1% of the aggregate principal amount of the notes outstanding at the date of such notice.

這些票據原定於2023年10月28日到期,在某些情況下可延期一年。根據修正案的條款,如果公司在2023年12月31日之前獲得一個或多個第三方貸款人的書面承諾,規定提前墊付欠公司的優先債務,則票據將於2024年12月31日到期;否則,票據將於2024年6月30日到期。該公司可以選擇將12月到期日再延長一年至2025年12月31日,方法是向票據持有人發出書面通知,並支付相當於通知日期未償還票據本金總額1%的現金。

In addition, the amendments provide that the principal and interest outstanding under the notes may be converted by the holders into subordinate voting shares of the company at a conversion price equal to the lesser of: CA$0.12 per share; or 80% of the offering price per security in a "qualified offering" as defined therein; provide that interest on the notes will accrue at the rate of 9.50%per annum, of which 7.00% shall be payable in cash and the remaining 2.50% shall be payable in kind by the issuance of additional notes, subject to adjustment in certain circumstances; remove a restriction providing that the ratio of total indebtedness to tangible net worth of the company, shall not be greater than 4.25 to 1.0, all as further detailed therein; and and give effect to certain other housekeeping amendments.

此外,修訂規定,票據下已發行的本金及利息可由持有人轉換為公司的附屬有表決權股份,轉換價格相等於以下兩者中較低者:每股0.12加元;或其中所界定的“合資格發售”中每種證券發行價的80%;規定票據的利息將按9.50%的年利率累算,其中7.00%以現金支付,其餘2.50%則以發行額外票據的方式以實物支付,但須在某些情況下作出調整;取消規定總負債與公司有形淨值之比不得大於4.25至1.0的限制,所有詳情均如上文所述;並實施某些其他內務管理修訂。

Photo: Benzinga edit with photo by Kindel Media on Pexels

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