Signed Jun 29, 2026
- Committed
- $550m
- Matures
- Jun 2031
| Tranche | Size | Matures | Margin |
|---|---|---|---|
| Revolving credit facility | $550m | Jun 2031 | 113–200 bps |
Priced over Term SOFR, floor 0 bps (Revolving credit facility).
| Level | Condition | Margin | Unused fee |
|---|---|---|---|
| Level initial period | from Closing Date to first Business Day after Compliance Certificate for fiscal quarter ending June 30, 2026 | 113 bps | 15 bps |
| Level 1 | < 1.00 to 1.0 | 113 bps | 15 bps |
| Level 2 | > 1.00 to 1.0 but < 1.75 to 1.0 | 125 bps | 18 bps |
| Level 3 | > 1.75 to 1.0 but < 2.50 to 1.0 | 150 bps | 20 bps |
| Level 4 | > 2.50 to 1.0 but < 3.25 to 1.0 | 175 bps | 23 bps |
| Level 5 | > 3.25 to 1.0 | 200 bps | 25 bps |
Lenders: BOFA SECURITIES, INC., JPMORGAN CHASE BANK, N.A., HSBC SECURITIES (USA) INC., PNC CAPITAL MARKETS LLC, WELLS FARGO SECURITIES, LLC