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Goldmoney Inc. Announces Second Property Acquisition in the UK

Goldmoney Inc. Announces Second Property Acquisition in the UK

Goldmoney Inc. 宣佈在英國收購第二處房產
newsfile ·  2023/10/06 05:00

Toronto, Ontario--(Newsfile Corp. - October 5, 2023) - Goldmoney Inc. (TSX: XAU) (US: XAUMF) ("Goldmoney" or the "Company"), is pleased to report that further to its press release of June 13, 2023 announcing the Company's real assets investment strategy, the Company's subsidiary Goldmoney Properties Ltd. has completed its second property acquisition in the UK.

安大略省多倫多--(Newsfile Corp.-2023年10月5日)-GoldMoney Inc.(多倫多證券交易所股票代碼:XAU)(美國股票代碼:XAUMF)(以下簡稱“GoldMoney”或“公司”)欣然宣佈,繼其於2023年6月13日發佈新聞稿宣佈公司的不動產投資戰略後,公司的子公司GoldMoney Properties Ltd.已完成其在英國的第二筆房地產收購。

On October 6, 2023, Goldmoney Properties completed the acquisition of Wales Millennium Centre Phase II, also known as BBC Hoddinott Hall and Offices in Cardiff, Wales. The asset is a landmark 62,116 square foot gross internal area (GIA) building which forms a part of the iconic Wales Millennium Centre in Cardiff Bay. Phase II comprises the world-class BBC Hoddinott Hall, home to the National Orchestra of Wales which seats up to 350 people, the Grace Williams Studio which is a state-of-the-art recording studio that can hold up to 60 people, and a 16,114 square foot Class A office building. Phase II was built in 2009 by Sir Robert McAlpine at a cost of over £18 million at the time.

2023年10月6日,GoldMoney Properties完成了對威爾士千禧中心二期的收購,該中心也被稱為BBC Hoddinott Hall和位於威爾士加的夫的辦公室。該資產是一座地標性建築,總面積為62,116平方米英尺,是加的夫灣標誌性的威爾士千年中心的一部分。第二階段包括世界級的BBC Hoddinott Hall,威爾士國家交響樂團的所在地,可容納350人;格雷斯·威廉姆斯工作室,這是一個可容納60人的最先進的錄音棚;以及一座16,114平方米英尺的甲級寫字樓。二期工程由羅伯特·麥克阿爾平爵士於2009年建造,當時耗資超過1800萬GB。

Goldmoney Properties has acquired the building from Aviva Investors Lime Fund for consideration of £17.2 million (approximately CAD $28.7 million) in a transaction that was financed by Barclays PLC at an loan-to-value (LTV) ratio of approximately 44%. The financing rate is a floating rate of Sterling Overnight Interbank Average (SONIA, as set by the Bank of England) + 1.85% and is non-recourse to Goldmoney Properties. The building is majority let to the British Broadcasting Corporation (BBC) under a full repairing and insurance lease producing £1.6 million (approximately CAD $2.62 million) of net rental income per annum. The remaining term on the lease is 10 years through September 2033, with uncapped annual rent increases indexed to the Retail Price Index (RPI). Following this acquisition, Goldmoney has a working capital position of approximately CAD $34 million consisting of cash, precious metals, and precious metal backed on-demand loans (unaudited).

GoldMoney Properties以1,720萬英傑華(1,720萬加元)(約2,870萬加元)的代價從Aviva Investors Lime Fund手中收購該大樓,該交易由巴克萊公司以約44%的貸款與價值比率(LTV)融資。融資利率為英鎊隔夜銀行間平均利率(SONIA,由英格蘭銀行設定)+1.85%的浮動利率,對GoldMoney Properties沒有追索權。根據全面維修和保險租約,該建築大部分出租給英國廣播公司(BBC),每年產生160萬GB(約262萬加元)的淨租金收入。租約的剩餘期限為10年,至2033年9月,年租金漲幅不受上限,與零售物價指數(RPI)掛鉤。本次收購後,GoldMoney擁有約3400萬加元的營運資本頭寸,包括現金、貴金屬和貴金屬支持的按需貸款(未經審計)。

Statement from Roy Sebag, Founder and CEO of Goldmoney Inc.

GoldMoney Inc.創始人兼首席執行官羅伊·塞巴格的聲明。

"We are pleased to have acquired our second building from Aviva, one of the premier institutional property investors. The BBC Hoddinott Hall is a world-class asset where some of the most beautiful music in the world comes to life. We are honored to be the new owners of this cultural landmark. Goldmoney Properties now owns two landmark buildings totaling over 280,000 square feet which produce circa $7 million of net rental income per annum which is indexed to inflation. We remain focused on growing our property investment business. The strength of our balance sheet, health of our precious metals businesses, and new cash flow streams provides us with a unique opportunity to further capitalise on the generational shift in interest rates by acquiring world-class real assets."

我們很高興從英傑華手中收購了我們的第二棟建築,英傑華是一家主要的機構房地產投資者。BBC霍迪諾特音樂廳是世界級的資產,世界上一些最美麗的音樂在這裡變得栩栩如生。我們很榮幸成為這座文化地標的新主人。GoldMoney Properties現在擁有兩座地標性建築,總面積超過28萬平方米英尺,每年產生約700萬美元的淨租金收入,這是根據通脹指數計算的。我們仍然專注於發展我們的房地產投資業務。我們強大的資產負債表、我們貴金屬業務的健康狀況以及新的現金流為我們提供了一個獨特的機會,通過收購世界級的實物資產來進一步利用利率的代際變化。“

About Goldmoney Inc.

關於GoldMoney公司

Founded in 2001, Goldmoney (TSX: XAU) is a TSX listed company invested in the real economy. The leading custodians and traders of precious metals, Goldmoney Inc. also owns and operates businesses in jewelry manufacturing, and property investment. For more information about Goldmoney, visit goldmoney.com.

金錢網(多倫多證券交易所股票代碼:XAU)成立於2001年,是一家投資實體經濟的多倫多證券交易所上市公司。作為貴金屬的主要託管人和交易商,GoldMoney Inc.還擁有和經營珠寶製造和房地產投資業務。欲瞭解有關GoldMoney的更多資訊,請訪問Goldmoney.com。

Media and Investor Relations inquiries:

媒體和投資者關係諮詢:

Mark Olson
Chief Financial Officer
Goldmoney Inc.
+1 647 250 7098

梅克·奧爾森
首席財務官
GoldMoney公司
+1 647 250 7098

Forward-Looking Statements

前瞻性陳述

This news release contains or refers to certain forward-looking information. Forward-looking information can often be identified by forward-looking words such as "anticipate", "believe", "expect", "plan", "intend", "estimate", "may", "potential" and "will" or similar words suggesting future outcomes, or other expectations, beliefs, plans, objectives, assumptions, intentions or statements about future events or performance. All information other than information regarding historical fact, which addresses activities, events or developments that the Goldmoney Inc. believes, expects or anticipates will or may occur in the future, is forward-looking information. Forward-looking information does not constitute historical fact but reflects the current expectations the Company regarding future results or events based on information that is currently available. By their nature, forward-looking statements involve numerous assumptions, known and unknown risks and uncertainties, both general and specific, that contribute to the possibility that the predictions, forecasts, projections and other forward-looking information will not occur. Such forward-looking information in this release speak only as of the date hereof.

本新聞稿包含或提及某些前瞻性資訊。前瞻性資訊通常可以通過“預期”、“相信”、“預期”、“計劃”、“打算”、“估計”、“可能”、“潛在”和“將”等前瞻性詞語或類似詞語來識別,這些詞語暗示未來的結果,或關於未來事件或業績的其他預期、信念、計劃、目標、假設、意圖或陳述。除有關歷史事實的資訊外,所有資訊均為前瞻性資訊,涉及GoldMoney公司相信、預期或預期未來將發生或可能發生的活動、事件或發展。前瞻性資訊不構成歷史事實,但反映了公司基於目前可獲得的資訊對未來結果或事件的當前預期。就其性質而言,前瞻性陳述涉及許多假設、已知和未知的風險和不確定因素,既有一般性的,也有具體的,這些風險和不確定性導致預測、預測、預測和其他前瞻性資訊不會發生的可能性。本新聞稿中的此類前瞻性資訊僅說明截至本新聞稿發佈之日。

Forward-looking information in this release includes, but is not limited to, statements with respect to: the expected value and return on investment in the Company's real estate acquisitions, and the properties described herein (the "Properties") in particular, the ability of the current tenants on the Properties to meet their rental obligations, the future state of the Properties and the environment surrounding it, the ability of the Company to maintain and service the indebtedness incurred to acquire the Properties, including any future refinancings, and the ability of the Company to return value from the Properties to shareholders. This forward-looking information is based on reasonable assumptions and estimates of management of the Company at the time it was made, and involves known and unknown risks, uncertainties and other factors which may cause the actual results, performance or achievements of the Company to be materially different from any future results, performance or achievements expressed or implied by such forward-looking information. Such factors include, among others: the global inflationary environment and its effect on real estate prices, interest rates, and the Properties in particular; the ability of the Company to integrate the Properties into its current operations; the anticipated value and income growth in connection with the Properties; the ability to maintain current and procure future commercial tenants for the Properties; the surrounding environment and infrastructure of the Properties remaining suitable; the anticipated variable interest rate for the loan used to finance the acquisition of the Properties, and the effect on this interest rate from the SONIA as set by the Bank of England; the Company's operating history; history of operating losses; future capital needs and uncertainty of additional financing; fluctuations in the market price of the Company's common shares; the effect of government regulation and compliance on the Company and the industry; legal and regulatory change and uncertainty; jurisdictional factors associated with international operations; foreign restrictions on the Company's operations; product development and rapid technological change; dependence on technical infrastructure; protection of intellectual property; use and storage of personal information and compliance with privacy laws; network security risks; risk of system failure or inadequacy; the Company's ability to manage rapid growth; competition; the ability to identify opportunities for growth internally and through acquisitions and strategic relationships on terms which are economic or at all; effectiveness of the Company's risk management and internal controls; use of the Company's services for improper or illegal purposes; uninsured, uninsurable, and underinsured losses; theft & risk of physical harm to personnel; precious metal trading risks; and volatility of precious metals prices & public interest in precious metals investment; and those risks set out in the Company's most recently filed annual information form, available on SEDAR+ at . Although the Company has attempted to identify important factors that could cause actual results to differ materially, there may be other factors that cause results not to be as anticipated, estimated or intended. There can be no assurance that such statements will prove to be accurate as actual results and future events could differ materially from those anticipated in such statements. Accordingly, readers should not place undue reliance on forward-looking information. The Company undertakes no obligation to update or revise any forward-looking information, except as required by law.

本新聞稿中的前瞻性資訊包括但不限於以下陳述:公司房地產收購的預期價值和投資回報,特別是本文所述物業(“物業”)的預期價值和投資回報,物業現有租戶履行租金義務的能力,物業及其周圍環境的未來狀態,公司維持和償還因收購物業而產生的債務的能力,包括任何未來的再融資,以及公司從物業向股東返還價值的能力。該前瞻性資訊基於對當時公司管理層的合理假設和估計,涉及已知和未知的風險、不確定性和其他因素,可能導致公司的實際結果、業績或成就與該前瞻性資訊明示或暗示的任何未來結果、業績或成就大不相同。這些因素包括但不限於:全球通脹環境及其對房地產價格、利率,特別是對物業的影響;公司將物業整合到當前業務中的能力;與物業相關的預期價值和收入增長;維持現有和為物業爭取未來商業租戶的能力;物業的周圍環境和基礎設施保持合適;用於為收購物業融資的貸款的預期浮動利率,以及英格蘭銀行設定的SONIA利率對這一利率的影響;公司的經營歷史;經營虧損的歷史;未來資本需求和額外融資的不確定性;公司普通股市場價格的波動;政府監管和合規對公司和行業的影響;法律和監管變化和不確定性;與國際業務有關的司法因素;外國對公司運營的限制;產品開發和快速技術變化;對技術基礎設施的依賴;知識產權保護;個人資訊的使用和存儲以及對隱私法的遵守;網路安全風險;系統故障或不充分的風險;公司管理快速增長的能力;競爭;能夠在內部和通過以經濟條款或完全符合經濟條款的收購和戰略關係發現增長機會;公司風險管理和內部控制的有效性;將公司服務用於不正當或非法目的;未投保、不可投保和保險不足的損失;竊盜和人身傷害風險;貴金屬交易風險;貴金屬價格波動和貴金屬投資的公共利益;以及公司最近提交的年度資訊表格中列出的風險,可在SEDAR+上查閱。儘管該公司試圖確定可能導致實際結果大不相同的重要因素,但可能還有其他因素導致結果與預期、估計或預期的不同。不能保證這些陳述將被證明是準確的,因為實際結果和未來事件可能與這些陳述中預期的大不相同。因此,讀者不應過分依賴前瞻性資訊。除法律要求外,公司不承擔更新或修改任何前瞻性資訊的義務。

To view the source version of this press release, please visit

要查看本新聞稿的源版本,請訪問

譯文內容由第三人軟體翻譯。


以上內容僅用作資訊或教育之目的,不構成與富途相關的任何投資建議。富途竭力但無法保證上述全部內容的真實性、準確性和原創性。
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