← Ares Management Corp

CREDIT AGREEMENT

Signed Mar 27, 2026

Committed
n/a
Matures
Mar 2029
TrancheSizeMaturesMargin
Term Loan Facilityn/aMar 202975–125 bps

Priced over Term SOFR, floor 0 bps (Delayed draw term loan).

LevelConditionMarginUnused fee
Level I> A+/A+/A175 bpsn/a
Level II> A/A/A288 bpsn/a
Level III> A-/A-/A3100 bpsn/a
Level IV> BBB+/BBB+/Baa1113 bpsn/a
Level V≤ BBB/BBB/Baa2125 bpsn/a

Lenders: BofA Securities, Inc.

Tested quarterlyHeadroom not yet measured4.00x
Permit the ratio of (i) the total outstanding amount of Debt of the Loan Parties and the Restricted Subsidiaries on a Stand Alone Basis as of the last day of any four fiscal quarter period of Ares Parent, commencing with the four fiscal quarter period ending March 31, 2026, to (ii) the Adjusted EBITDA of the Loan Parties and the Restricted Subsidiaries on a Stand Alone Basis for such period, to be greater than 4.00:1.00.
Read the filing on sec.gov ↗
Tested otherHeadroom not yet measured179,825,526,099
Permit Assets Under Management at any time to be less than $179,825,526,099.
Read the filing on sec.gov ↗

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