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DigitalBridge子公司为3亿美元的融资安排定价

2026-05-04 16:28

  • DigitalBridge Group (DBRG) subsidiaries, DigitalBridge Issuer and DigitalBridge Co-Issuer, have priced an offering of $300M aggregate principal amount of Series 2026-1 6.326% Secured Fund Fee Revenue Notes, Class A-2.
  • Interest payments on the notes are payable on a quarterly basis. The anticipated repayment date is June 2031.
  • The proceeds from the sale, net of the payment of certain offering expenses and the deposits into certain reserve accounts, will be used to repay the outstanding securitization notes of the co-issuers.
  • Additionally, and concurrent with the issuance of the Class A-2 Notes, the co-issuers expect to issue Series 2026-1 Secured Fund Fee Revenue Variable Funding Notes, Class A-1 Notes, which will allow the co-issuers to borrow up to $100M on a revolving basis.

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