Signed Jun 2, 2026
- Committed
- $15m
- Matures
- Jun 2027
| Tranche | Size | Matures | Margin |
|---|---|---|---|
| Revolving credit facility | $15m | Jun 2027 | 300 bps |
Priced over Term SOFR, floor 300 bps (Revolving credit facility).
| Level | Condition | Margin | Unused fee |
|---|---|---|---|
| Level all | all times | 300 bps | n/a |
Lenders: CITY NATIONAL BANK OF FLORIDA