Prairie Operating Co. Announces $1 Billion Reserve Based Lending Facility With Citibank, N.A.
Prairie Operating Co. Announces $1 Billion Reserve Based Lending Facility With Citibank, N.A.
HOUSTON, TX, Dec. 17, 2024 (GLOBE NEWSWIRE) -- Prairie Operating Co. (Nasdaq: PROP) (the "Company" or "Prairie") today announced it has entered into a multi-year Reserve-Based Lending ("RBL") credit facility. The RBL facility, arranged with Citibank, N.A. ("Citi"), provides for an initial commitment of $44 million with the ability to expand up to $1 billion following production additions.
休斯頓,德克薩斯州,2024年12月17日(全球新聞網)-- 普雷裏運營公司(納斯達克:PROP)("公司"或"普雷裏")今天宣佈已簽訂一項多年的基於儲備的貸款("RBL")信貸設施。該RBL信貸設施由花旗銀行("花旗")安排,提供初始承諾金額爲4400萬美元,之後可在生產增加的情況下擴大至10億美元。
"This facility enhances our financial flexibility and accelerates our development plans," said Edward Kovalik, Chairman and CEO of Prairie Operating Co. "The ability to expand further with Citi underscores the strength of our asset base and our disciplined approach to strategically growing the Company."
"這項設施增強了我們的財務靈活性,加速了我們的開發計劃,"普雷裏運營公司的董事長兼首席執行官愛德華·科瓦利克說道。"與花旗進一步擴展的能力凸顯了我們資產基礎的強大,以及我們在戰略上增長公司時的嚴謹方法。"
The initial $44 million commitment from Citi provides Prairie with a trusted, name-brand financial partner, bolstering confidence in executing our strategic objectives. Additionally, the facility's expansion option offers flexibility to advance the Company's focus on organic development while strategically pursuing accretive asset acquisitions in the DJ Basin.
花旗對4400萬美元的初始承諾爲普雷裏提供了一位值得信賴的品牌金融合作夥伴,增強了我們執行戰略目標的信心。此外,該信貸設施的擴展選項爲公司在有機發展方面提供了靈活性,同時戰略性追求在DJ盆地的增值資產收購。
This credit facility backstops Prairie's ability to secure tailored financial solutions that align with its development milestones, further positioning the Company for sustained growth.
這項信貸設施支持普雷裏確保與其開發里程碑相符的量身定製的金融解決方案,使公司進一步定位於可持續增長。
About Prairie Operating Co.
關於普瑞能源公司。
Prairie Operating Co. is a Houston-based publicly traded independent energy company engaged in the development and acquisition of oil and natural gas resources in the United States. The Company's assets and operations are concentrated in the oil and liquids-rich regions of the Denver-Julesburg (DJ) Basin, with a primary focus on the Niobrara and Codell formations. The Company is committed to the responsible development of its oil and natural gas resources and is focused on maximizing returns through consistent growth, capital discipline, and sustainable cash flow generation. More information about the Company can be found at .
普瑞裏運營公司是一家總部位於休斯頓的公開交易獨立能源公司,專注於在美國開發和收購石油和天然氣資源。公司的資產和運營集中在丹佛-朱爾斯堡(DJ)盆地的石油和液體資源豐富的地區,主要關注尼奧布拉拉和科德爾地層。公司致力於負責任地開發其石油和天然氣資源,專注於通過持續增長、資本紀律和可持續的現金流生成來最大化回報。有關公司的更多信息,請訪問。
Forward-Looking Statement
前瞻性聲明
The information included herein and in any oral statements made in connection herewith include "forward-looking statements" within the meaning of Section 27A of the Securities Act of 1933, as amended, and Section 21E of the Securities Exchange Act of 1934, as amended. All statements, other than statements of present or historical fact included herein, are forward-looking statements. When used herein, including any oral statements made in connection herewith, the words "could," "should," "will," "may," "believe," "anticipate," "intend," "estimate," "expect," "project," the negative of such terms and other similar expressions are intended to identify forward-looking statements, although not all forward-looking statements contain such identifying words. These forward-looking statements are based on the Company's current expectations and assumptions about future events and are based on currently available information as to the outcome and timing of future events. Except as otherwise required by applicable law, the Company disclaims any duty to update any forward-looking statements, all of which are expressly qualified by the statements in this section, to reflect events or circumstances after the date hereof. The Company cautions you that these forward-looking statements are subject to risks and uncertainties, most of which are difficult to predict and many of which are beyond the control of the Company. There may be additional risks not currently known by the Company or that the Company currently believes are immaterial that could cause actual results to differ from those contained in the forward-looking statements. Additional information concerning these and other factors that may impact the Company's expectations can be found in the Company's periodic filings with the Securities and Exchange Commission (the "SEC"), including the Company's Annual Report on Form 10-K/A filed with the SEC on March 20, 2024, and any subsequently filed Quarterly Report and Current Report on Form 8-K. The Company's SEC filings are available publicly on the SEC's website at www.sec.gov.
本文件及與之相關的任何口頭陳述所包含的信息包括《1933年證券法》第27A條修訂版和《1934年證券交易法》第21E條修訂版所定義的「前瞻性陳述」。除了本文件中包含的現在或歷史事實的陳述以外,所有的陳述均爲前瞻性陳述。在此使用的,包括與之相關的任何口頭陳述,單詞「可能」、「應該」、「將」、「或許」、「相信」、「預期」、「打算」、「估計」、「期望」、「項目」、「否定詞」以及其他類似的表述旨在識別前瞻性陳述,儘管並非所有前瞻性陳述都包含此類識別詞。這些前瞻性陳述基於公司對未來事件的當前預期和假設,並基於當前可用的信息,關於未來事件的結果和時機。除非適用法律另有要求,公司對任何前瞻性陳述不承擔任何更新義務,所有前瞻性陳述均受到本節中的聲明的明確限定,以反映本日期之後的事件或情況。公司提醒您,這些前瞻性陳述受風險和不確定性的影響,其中大多數難以預測,並且許多超出了公司的控制範圍。可能還有其他公司目前未知或認爲不重要的風險,可能導致實際結果與前瞻性陳述中的結果有所不同。有關這些以及可能影響公司預期的其他因素的更多信息,可以在公司向證券交易委員會(「SEC」)定期提交的文件中找到,包括公司於2024年3月20日向SEC提交的《10-K/A表格年度報告》,以及稍後提交的《8-K表格季報》和當前報告。公司的SEC文件可以在SEC的網站www.sec.gov上公開獲取。
Investor Relations Contact:
Wobbe Ploegsma
info@prairieopco.com
832.274.3449
投資者關係聯繫:
Wobbe Ploegsma
info@prairieopco.com
832.274.3449
譯文內容由第三人軟體翻譯。