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Financing

Interest-bearing liabilities as at 31 December 2023

  • Interest-bearing net debt EUR 912 (679) million
  • Gearing 57% (40)
  • Equity ratio 47% (52)
Our credit facilities on 31 December Amount Matures
Bond EUR 100 million 2024
Bond EUR 300 million 2025
Loan from European Investment Bank EUR 52.3 million 2021-2027
Revolving Credit Facility EUR 250 million 2024
Syndicated Term Loan EUR 208.3 million 2027
Team Loan Facility EUR 180 million 2028
Commercial Paper Programme EUR 250 million  

 

Bond 2018 - 2024
Listing prospectus

Bond 2020 - 2025
Listing prospectus

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