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6-K: Report of foreign private issuer (related to financial reporting)

6-K: Report of foreign private issuer (related to financial reporting)

6-K:外國發行人報告(業績相關)
美股SEC公告 ·  2024/12/30 19:35

牛牛AI助理已提取核心訊息

SMX entered into a Loan Agreement with Abri Advisors Ltd on December 27, 2024, borrowing $1 million with a maturity date of June 30, 2025. The loan carries an original issue discount of 28.57% with a 15% interest rate, requiring repayment of $1.4 million at maturity.The agreement includes restrictions on issuing senior or pari passu debt without lender consent. Additionally, if SMX undertakes any equity financing while the loan is outstanding, it must repay 25% of the loan balance within three business days, though this doesn't reduce the final maturity amount.In case of default, subject to a three-day cure period, the outstanding balance plus any refinancing repayment will be multiplied by 150% and become immediately due, with a 5% monthly compound interest rate until full payment.
SMX entered into a Loan Agreement with Abri Advisors Ltd on December 27, 2024, borrowing $1 million with a maturity date of June 30, 2025. The loan carries an original issue discount of 28.57% with a 15% interest rate, requiring repayment of $1.4 million at maturity.The agreement includes restrictions on issuing senior or pari passu debt without lender consent. Additionally, if SMX undertakes any equity financing while the loan is outstanding, it must repay 25% of the loan balance within three business days, though this doesn't reduce the final maturity amount.In case of default, subject to a three-day cure period, the outstanding balance plus any refinancing repayment will be multiplied by 150% and become immediately due, with a 5% monthly compound interest rate until full payment.
SMX於2024年12月27日與Abri Advisors Ltd簽訂了貸款協議,借款金額爲100萬美元,到期日爲2025年6月30日。該貸款的原始發行折扣爲28.57%,利率爲15%,到期需償還140萬美元。協議包括在未經貸方同意的情況下禁止發行高級或平級債務的限制。此外,如果SMX在貸款未償還期間進行任何股權融資,必須在三天內償還貸款餘額的25%,但這並不減少最終到期金額。在違約情況下,經過三天的寬限期後,未償還餘額加任何再融資償還金額將乘以150%並立即到期,直到全額支付將按5%的月複利計算利息。
SMX於2024年12月27日與Abri Advisors Ltd簽訂了貸款協議,借款金額爲100萬美元,到期日爲2025年6月30日。該貸款的原始發行折扣爲28.57%,利率爲15%,到期需償還140萬美元。協議包括在未經貸方同意的情況下禁止發行高級或平級債務的限制。此外,如果SMX在貸款未償還期間進行任何股權融資,必須在三天內償還貸款餘額的25%,但這並不減少最終到期金額。在違約情況下,經過三天的寬限期後,未償還餘額加任何再融資償還金額將乘以150%並立即到期,直到全額支付將按5%的月複利計算利息。

譯文內容由第三人軟體翻譯。


牛牛AI助手部分由第三方人工智慧模型基於資訊內容自動產生。


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