新闻稿
Kraton Corporation Announces Successful Closing of Term Loan Refinancing
HOUSTON, March 8, 2018 /PRNewswire/ — Kraton Corporation (NYSE: KRA) (the “Company”) and certain of its wholly owned subsidiaries today announced the closing of an amendment to its existing senior secured term loan facility (“Term Loan Facility”) that:
- increased borrowing under the Euro-denominated tranche of the Term Loan Facility (the “Euro Tranche”) by 150 million Euros to 315 million Euros;
- re-priced the Euro Tranche from EURIBOR plus 2.50% to EURIBOR plus 2.00%, with a 0.75% floor, and re-priced the U.S. dollar denominated tranche of the Term Loan Facility from LIBOR plus 3.00% to LIBOR plus 2.50%, with a 1.00% floor; and
- extended the maturity date of the Term Loan Facility from January 6, 2022 to March 8, 2025.
Proceeds from the additional borrowings under the Euro Tranche, plus available cash on hand, were used prepay $185 million of the then outstanding $485 million balance under the USD Tranche.
“The success of this most recent refinancing reflects the ongoing optimization of our capital structure and credit profile. the refinancing represents annualized cash interest savings of approximately $5.9 million,” said Stephen E. Tremblay, the Company’s Executive Vice President and Chief Financial Officer. “We are focused on other near-term opportunities to improve our capital structure and we remain fully-committed to closing fiscal year 2018 with our consolidated net debt leverage below four turns,” said Tremblay.
J.P. Morgan, Deutsche Bank, and Credit Suisse were joint lead arrangers and joint bookrunners for the transaction.
Kraton Corporation关于
科腾公司(Kraton Corporation)是全球领先的特种聚合物和高价值高性能产品生产商,产品均源自可再生资源。科腾的聚合物应用广泛,包括粘合剂、涂料、消费品和个人护理产品、密封剂和润滑剂,以及医疗、包装、汽车、铺路和屋顶产品。作为松脂化工行业的全球最大供应商,该公司的松脂特种产品销往粘合剂、道路和建筑以及轮胎市场,并生产并销售各种高性能化学品,包括燃料添加剂、油田化学品、涂料、金属加工液和润滑剂、油墨和采矿。Kraton为全球70多个国家的不同客户提供产品。
*Kraton、Kraton标识和设计是Kraton Corporation或其子公司或附属公司在一个或多个国家(但并非全部国家)的商标。

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媒体联系人: Mariam Stevens; 346.435.8042; [email protected]
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