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Illumina | 8-K: Current report

Illumina | 8-K: Current report

Illumina | 8-K:重大事件
美股SEC公告 ·  06/17 20:35

牛牛AI助理已提取核心訊息

On June 17, 2024, Illumina, Inc. entered into a 364-day delayed draw credit agreement with lenders and JPMorgan Chase Bank, N.A. as the administrative agent. The agreement provides Illumina with a senior unsecured term loan credit facility of up to $750 million, available for drawdown until May 5, 2025, or earlier under certain conditions related to the GRAIL Transactions. The credit facility, which may be drawn in full on June 20, 2024, carries a variable interest rate and is intended to fund the company's planned divestment of GRAIL, LLC. Illumina is subject to financial and operating covenants, including a maximum total leverage ratio and restrictions on subsidiary indebtedness, asset liens, and asset disposition. The company can prepay the loan without penalty, and as of the report date, no borrowings were outstanding. The credit facility is expected to mature on June 19, 2025.
On June 17, 2024, Illumina, Inc. entered into a 364-day delayed draw credit agreement with lenders and JPMorgan Chase Bank, N.A. as the administrative agent. The agreement provides Illumina with a senior unsecured term loan credit facility of up to $750 million, available for drawdown until May 5, 2025, or earlier under certain conditions related to the GRAIL Transactions. The credit facility, which may be drawn in full on June 20, 2024, carries a variable interest rate and is intended to fund the company's planned divestment of GRAIL, LLC. Illumina is subject to financial and operating covenants, including a maximum total leverage ratio and restrictions on subsidiary indebtedness, asset liens, and asset disposition. The company can prepay the loan without penalty, and as of the report date, no borrowings were outstanding. The credit facility is expected to mature on June 19, 2025.
2024年6月17日,illumina公司與貸款人和摩根大通銀行作爲行政代理簽訂了一項爲期364天的延遲提款信貸協議。該協議爲illumina提供高級無抵押期限貸款額度爲7.5億美元的信貸設施,可用於抽取,直到2025年5月5日或在與GRAIL交易相關的某些條件下提前。可在2024年6月20日全額抽取的信貸設施具有可變利率,旨在資助公司計劃中的GRAIL,LLC的剝離。illumina受制於財務和運營條款,包括最大總槓桿率、子公司負債、資產抵押和資產處置的限制。公司可在無罰款的情況下提前償還貸款,截至報告日期,無未償還借款。該信貸設施預計於2025年6月19日到期。
2024年6月17日,illumina公司與貸款人和摩根大通銀行作爲行政代理簽訂了一項爲期364天的延遲提款信貸協議。該協議爲illumina提供高級無抵押期限貸款額度爲7.5億美元的信貸設施,可用於抽取,直到2025年5月5日或在與GRAIL交易相關的某些條件下提前。可在2024年6月20日全額抽取的信貸設施具有可變利率,旨在資助公司計劃中的GRAIL,LLC的剝離。illumina受制於財務和運營條款,包括最大總槓桿率、子公司負債、資產抵押和資產處置的限制。公司可在無罰款的情況下提前償還貸款,截至報告日期,無未償還借款。該信貸設施預計於2025年6月19日到期。

譯文內容由第三人軟體翻譯。


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