Gray Television Makes Significant Progress on Debt Reduction and Replenishes Authorization for Additional Debt Reduction
Gray Television Makes Significant Progress on Debt Reduction and Replenishes Authorization for Additional Debt Reduction
ATLANTA, Nov. 20, 2024 (GLOBE NEWSWIRE) -- Gray Television, Inc. ("Gray," "Gray Media," the "Company," "we," "us" or "our") (NYSE: GTN) has completed a series of transactions that collectively reduced the Company's principal amount of debt outstanding by $278 million since October 1, 2024, bringing the Company's total principal debt reduction to $519 million since January 1, 2024. Accordingly, our Board of Directors today has authorized an increase in our previously announced debt repurchase authorization, replenishing the authorization to a total of $250 million of available liquidity to repurchase our outstanding indebtedness. We anticipate that the meaningful reduction in our outstanding debt this year will result in a significant reduction of cash interest expense going forward.
亞特蘭大,2024年11月20日(環球新聞)-- 格雷電視公司(「格雷」,「格雷媒體」,「公司」,「我們」或「我們的」)(紐交所:GTN)已經完成了一系列交易,累計減少了自2024年10月1日起公司的未償債務本金金額27800萬,從而使公司自2024年1月1日起的總本金債務減少額達到51900萬。因此,我們的董事會今天已授權增加我們之前宣佈的債務回購授權,將授權補充至可用於回購公司未償債務的總額25000萬。我們預計,今年顯著減少的未償債務將導致未來現金利息支出的顯著減少。
Through various recently completed transactions since November 8, 2024, we have used approximately $204 million of cash on hand to repurchase and retire approximately $239 million of principal amount of debt consisting of:
通過自2024年11月8日以來完成的各種交易,我們已經使用了大約20400萬的現金來回購和註銷大約23900萬的債務本金,包括:
(a) $5 million of outstanding principal of Term Loan D due December 1, 2028,
(b) $143 million of outstanding principal of 2027 Notes,
(c) $10 million of outstanding principal of 2030 Notes, and
(d) $81 million of outstanding principal of 2031 Notes.
(a) 2028年12月1日到期的D類定期貸款未償本金500萬,
(b) 2027年票據未償本金14300萬,
(c) 2030年票據未償本金1000萬,以及
(d) 2031年票據未償本金8100萬。
As a result of these transactions, the Company currently has outstanding debt in the following principal amounts:
由於這些交易,公司當前有以下本金金額的未償還債務:
Principal Amount Outstanding ($ in millions) |
December 31, 2023 Actual |
September 30, 2024 Actual |
November 20, 2024 Actual |
|||
Revolving Credit Facility due 12/31/2027 ($680 million commitment) | - | - | ||||
2021 Term Loan due 12/1/2028 (S + 300) | $1,439 | $1,395 | ||||
2024 Term Loan due 6/4/2029 (S + 525) | 499 | 499 | ||||
10.5% Senior Secured Notes due 7/15/2029 | 1,250 | 1,250 | ||||
Total outstanding principal secured by a first lien | $2,660 | $3,188 | $3,144 | |||
5.875% Senior Unsecured Notes due 7/15/2026 | 10 | 10 | ||||
7.000% Senior Unsecured Notes due 5/15/2027 | 671 | 528 | ||||
4.750% Senior Unsecured Notes due 10/15/2030 | 800 | 790 | ||||
5.375% Senior Unsecured Notes due 11/15/2031 | 1,300 | 1,219 | ||||
Total outstanding principal, including current portion | $6,210 | $5,969 | $5,691 |
未償本金額 ($ in millions) |
2023年12月31日 實際 |
2024年9月30日 實際 |
2024年11月20日 實際 |
|||
循環信貸額度到期於2027年12月31日(68000萬美元承諾) | - | - | ||||
2021年定期貸款到期於2028年12月1日(S + 300) | $1,439 | $1,395 | ||||
2024年定期貸款到期日期爲2029年6月4日(S + 525) | 499 | 499 | ||||
10.5% 高級擔保票據,到期日爲2029年7月15日 | 1,250 | 1,250 | ||||
由第一留置權擔保的總未償本金 | $2,660 | $3,188 | $3,144 | |||
5.875% 無擔保高級票據到期日爲2026年7月15日 | 10 | 10 | ||||
7.000% 無擔保高級票據到期日爲2027年5月15日 | 671 | 528 | ||||
4.750% 到期於2030年10月15日的高級無擔保債券 | 800 | 790 | ||||
5.375% 2023年11月15日到期的無擔保高級票據 | 1,300 | 1,219 | ||||
總未償本金,包括當前部分 | $6,210 | $5,969 | $5,691 |
The extent of future repurchases, including the amount and timing of any repurchases, will depend on general market conditions, regulatory requirements, alternative investment opportunities and other considerations. This repurchase program supersedes any previous repurchase authorization, does not require us to repurchase a minimum amount of debt, and it may be modified, suspended or terminated at any time without prior notice.
未來回購的規模,包括回購的金額和時機,將取決於一般市場條件、監管要求、替代投資機會和其他考慮因素。此回購計劃取代任何以前的回購授權,不要求我們回購最低金額的債務,並且可以在任何時候修改、暫停或終止,恕不另行通知。
Forward-Looking Statements:
前瞻性聲明:
This press release contains certain forward-looking statements that are based largely on Gray's current expectations and reflect various estimates and assumptions by Gray. These statements are statements other than those of historical fact and may be identified by words such as "estimates," "expect," "anticipate," "will," "implied," "intend," "assume" and similar expressions. Forward-looking statements are subject to certain risks, trends and uncertainties that could cause actual results and achievements to differ materially from those expressed in such forward-looking statements. Such risks, trends and uncertainties, which in some instances are beyond Gray's control, include Gray's ability to complete its debt repurchasing efforts on the terms and within the timeframe currently contemplated, the reduction of cash interest expenses, and other future events. Gray is subject to additional risks and uncertainties described in Gray's quarterly and annual reports filed with the Securities and Exchange Commission from time to time, including in the "Risk Factors," and management's discussion and analysis of financial condition and results of operations sections contained therein, which reports are made publicly available via its website, . Any forward-looking statements in this communication should be evaluated in light of these important risk factors. This press release reflects management's views as of the date hereof. Except to the extent required by applicable law, Gray undertakes no obligation to update or revise any information contained in this communication beyond the date hereof, whether as a result of new information, future events or otherwise.
本新聞稿包含某些前瞻性聲明,這些聲明主要基於Gray當前的期望,並反映了Gray的各種估計和假設。這些聲明除了歷史事實外,可能會用如"估計"、"期待"、"預期"、"將要"、"暗示"、"打算"、"假設"以及類似的表達方式來識別。前瞻性聲明受到某些風險、趨勢和不確定性的影響,這可能導致實際結果和成就與這些前瞻性聲明中所表達的內容之間存在重大差異。這些風險、趨勢和不確定性在某些情況下超出了Gray的控制,包括Gray按照目前考慮的條款和時間框架完成其債務回購工作的能力、現金利息費用的減少以及其他未來事件。Gray還面臨額外的風險和不確定性,這些風險和不確定性在Gray不時向證券交易委員會提交的季度和年度報告中進行了描述,包括"風險因素"和管理層對財務狀況與經營成果的討論與分析部分,這些報告通過其網站公開提供。任何在本通信中所包含的前瞻性聲明應根據這些重要風險因素進行評估。本新聞稿反映了管理層截至本日期的觀點。除法律要求的範圍外,Gray不承擔更新或修訂本通信中包含的任何信息的義務,無論是由於新信息、未來事件還是其他原因。
About Gray:
關於格雷:
Gray Media, or Gray, is a multimedia company headquartered in Atlanta, Georgia, formally known as Gray Television, Inc. The company is the nation's largest owner of top-rated local television stations and digital assets serving 113 television markets that collectively reach approximately 36 percent of US television households. The portfolio includes 77 markets with the top-rated television station and 100 markets with the first and/or second highest rated television station, as well as the largest Telemundo Affiliate group with 43 markets totaling nearly 1.5 million Hispanic TV Households. The company also owns Gray Digital Media, a full-service digital agency offering national and local clients digital marketing strategies with the most advanced digital products and services. Gray's additional media properties include video production companies Raycom Sports, Tupelo Media Group, and PowerNation Studios, and studio production facilities Assembly Atlanta and Third Rail Studios. Gray owns a majority interest in Swirl Films. For more information, please visit .
Gray Media,或稱Gray,是一家總部位於喬治亞州亞特蘭大的多媒體公司,正式名稱爲Gray Television, Inc. 該公司是美國最大的本地電視臺和數字資產的所有者,服務於113個電視市場, collectively reach approximately 36 percent of US television households. 該組合包括77個頂級電視臺市場和100個第一和/或第二高評級電視臺的市場,以及擁有43個市場的大型Telemundo附屬集團,總計近150萬西班牙裔家庭。該公司還擁有Gray Digital Media,一家提供國家和地方客戶最先進的數字產品和服務的全方位數字營銷策略的數字代理商。Gray的其他媒體財產包括視頻製作公司Raycom Sports、Tupelo Media Group和PowerNation Studios,以及製作設施Assembly Atlanta和Third Rail Studios。Gray擁有Swirl Films的多數股權。有關更多信息,請訪問。
Gray Contacts:
灰色聯繫方式:
Jeff Gignac, Executive Vice President and Chief Financial Officer, 404-504-9828
Kevin P. Latek, Executive Vice President, Chief Legal and Development Officer, 404-266-8333
傑夫·吉納克,執行副總裁兼首席財務官,404-504-9828
Kevin P. Latek,執行副總裁,首席法律和開發官,電話:404-266-8333
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譯文內容由第三人軟體翻譯。