ARTIS REAL ESTATE INVESTMENT TRUST CONCLUDES STRATEGIC REVIEW ANNOUNCES $520 MILLION SENIOR SECURED CREDIT FACILITIES
ARTIS REAL ESTATE INVESTMENT TRUST CONCLUDES STRATEGIC REVIEW ANNOUNCES $520 MILLION SENIOR SECURED CREDIT FACILITIES
WINNIPEG, MB, Dec. 12, 2024 /CNW/ - Artis Real Estate Investment Trust ("Artis" or the "REIT") (TSX: AX.UN) announced today that it has concluded the strategic review process, first announced on August 2, 2023 (the "Strategic Review").
明尼苏达州温尼伯,2024年12月12日 /CNW/——阿蒂斯房地产投资信托基金(“Artis” 或 “房地产投资信托基金”)(多伦多证券交易所股票代码:AX.UN)今天宣布,它已经结束了2023年8月2日首次宣布的战略审查程序(“战略审查”)。
The Strategic Review was overseen by a special committee of trustees (the "Special Committee") and its external advisors and was initiated for the purpose of considering and evaluating strategic alternatives available to the REIT to unlock and maximize value for unitholders.
战略审查由受托人特别委员会(“特别委员会”)及其外部顾问监督,启动的目的是考虑和评估房地产投资信托基金可用的战略替代方案,为单位持有人释放和实现价值最大化。
"Since announcing the strategic review in August 2023, we have been navigating a very challenging interest rate environment," said Samir Manji, President and Chief Executive Officer of Artis. "Despite the significant headwinds we faced, the quality and resilience of Artis's portfolio enabled us to monetize $1.1 billion of real estate and, through this active disposition exercise, we have been able to materially reduce leverage and de-risk Artis's balance sheet. We are very pleased with what we have achieved during this time on behalf of our owners with the guidance and efforts of the Special Committee and Board."
Artis总裁兼首席执行官萨米尔·曼吉表示:“自2023年8月宣布战略审查以来,我们一直在非常艰难的利率环境中度过难关。”“尽管我们面临重大阻力,但Artis投资组合的质量和弹性使我们能够将11亿美元的房地产货币化,通过这种积极的处置活动,我们得以大幅降低杠杆率并降低Artis资产负债表的风险。我们对这段时间在特别委员会和董事会的指导和努力下代表业主取得的成就感到非常满意。”
As part of the Strategic Review, the Special Committee considered external macroeconomic factors, including rising interest rates, combined with Artis's near-term debt profile. A key area of focus during this time was improving the REIT's balance sheet and enhancing liquidity. Since the initiation of the Strategic Review, Artis sold $1.1 billion of assets at sale prices in line with the REIT's IFRS values and used the proceeds from these dispositions primarily to reduce debt. As a result, Artis has significantly improved its balance sheet, reporting that total debt to gross book value had decreased to 39.8% at September 30, 2024, compared to 47.2% at June 30, 2023.
作为战略审查的一部分,特别委员会审议了外部宏观经济因素,包括利率上升,以及阿蒂斯的短期债务概况。在此期间,一个关键的关注领域是改善房地产投资信托基金的资产负债表和增加流动性。自战略审查启动以来,Artis根据房地产投资信托基金的国际财务报告准则价值以出售价格出售了11亿美元的资产,并将这些处置的收益主要用于减少债务。结果,Artis显著改善了资产负债表,报告称,截至2024年9月30日,总债务占账面总值的比例已降至39.8%,而2023年6月30日为47.2%。
Further, as part of the Strategic Review, the Special Committee considered Artis's upcoming debt obligations. To refinance debt and improve the REIT's risk profile, Artis finalized terms on new three-year senior secured credit facilities in an aggregate amount of $520 million Canadian dollars (the "Facilities"), which include a $350 million revolving credit facility and a $170 million non-revolving credit facility. BMO Capital Markets and Canadian Imperial Bank of Commerce acted as Co-Lead Arrangers. At closing, the Facilities will bear interest at a rate of Canadian prime rate plus 110 basis points, and thereafter the REIT has the option to convert to a rate of adjusted CORRA plus 210 basis points. The Facilities will replace the existing senior unsecured revolving and non-revolving credit facilities. The Facilities can be utilized for general corporate purposes, including the acquisition or development of additional income producing properties and can be drawn in Canadian or US dollars.
此外,作为战略审查的一部分,特别委员会审议了阿蒂斯即将承担的债务义务。为了再融资债务和改善房地产投资信托基金的风险状况,Artis最终确定了总额为5.2亿加元的新三年期优先担保信贷额度(“设施”)的条款,其中包括3.5亿加元的循环信贷额度和1.7亿加元的非循环信贷额度。BMO Capital Markets和加拿大帝国商业银行担任联席牵头安排人。收盘时,这些设施将按加拿大最优惠利率加110个基点的利率支付利息,此后,房地产投资信托基金可以选择转换为调整后的CORRA加上210个基点的利率。这些融资机制将取代现有的优先无抵押循环和非循环信贷额度。这些设施可用于一般公司用途,包括收购或开发额外的创收房产,可以用加元或美元提款。
Since the announcement of the Strategic Review, Artis has made substantial progress with its disposition strategy, strengthening its balance sheet and improving its risk profile related to upcoming debt obligations. At a macro level, the interest rate environment has improved significantly in recent months. In light of these factors, the Board believes it is in the best interest of Artis and its unitholders to continue to pursue the REIT's existing business strategy. With the REIT's near-term debt maturities satisfied, Artis is well positioned to pursue opportunities that are aligned with the REIT's long-term goal of growing net asset value per unit.
自战略审查发布以来,Artis在处置战略、加强资产负债表和改善与即将到来的债务相关的风险状况方面取得了实质性进展。在宏观层面上,利率环境在最近几个月显著改善。鉴于这些因素,董事会认为,继续推行房地产投资信托基金的现有业务战略符合Artis及其单位持有人的最大利益。随着房地产投资信托基金的短期债务到期日得到满足,Artis完全有能力寻找与房地产投资信托基金单位净资产价值增长的长期目标相一致的机会。
"With the tide turning on interest rates and a healthy level of liquidity, we can now turn our attention to growth opportunities that we believe will produce above average risk-adjusted returns and will grow net asset value per unit for Artis's unitholders," added Samir Manji. "We remain committed to our strategy and confident about the road ahead. We want to thank the members of the Special Committee for their hard work, time and effort over the past 16 months and the Board for their continued guidance and support. The Artis Board and management team is excited to shift this attention now to pursuing growth opportunities and remain grateful to our loyal unitholders for their continued confidence and trust."
萨米尔·曼吉补充说:“随着利率潮流的转向和健康的流动性,我们现在可以将注意力转向增长机会,我们认为这些机会将产生高于平均水平的风险调整后回报,并将增加Artis单位持有人的单位净资产价值。”“我们仍然致力于我们的战略,对前进的道路充满信心。我们要感谢特别委员会成员在过去16个月中付出的辛勤工作、时间和精力,也要感谢理事会继续给予的指导和支持。Artis董事会和管理团队很高兴现在将注意力转移到追求增长机会上,并感谢我们忠实的单位持有人一直以来的信心和信任。”
Artis is a diversified Canadian real estate investment trust with a portfolio of industrial, office and retail properties in Canada and the United States. Artis's vision is to become a best-in-class real estate asset management and investment platform focused on value investing.
Artis是一家多元化的加拿大房地产投资信托基金,在加拿大和美国拥有工业、办公和零售物业组合。Artis的愿景是成为专注于价值投资的一流房地产资产管理和投资平台。
Cautionary Statements
警示声明
This press release contains forward-looking statements. For this purpose, any statements contained herein that are not statements of historical fact may be deemed to be forward-looking statements. Without limiting the foregoing, the words "expects", "anticipates", "intends", "estimates", "projects", "seeks", and similar expressions or variations of such words and phrases or state that certain actions, events or results ''may'', ''would'' or ''will'' occur or be achieved are intended to identify forward-looking statements. Particularly, statements regarding building Artis into a best-in-class asset management and investment platform focused on value investing, the REIT's ability to strengthen its balance sheet, enhance its liquidity and grow net asset value are forward-looking statements. Forward-looking statements are based on a number of factors and assumptions which have been used to develop such statements, but which may prove to be incorrect. Artis cannot assure investors that actual results will be consistent with any forward-looking statements and Artis assumes no obligation to update or revise such forward-looking statements to reflect actual events or new circumstances. All forward-looking statements contained in this press release are qualified by this cautionary statement.
本新闻稿包含前瞻性陈述。为此,此处包含的任何非历史事实陈述的陈述均可被视为前瞻性陈述。在不限制前述内容的前提下,“期望”、“预期”、“打算”、“估计”、“项目”、“寻求” 等词语以及此类词语和短语的类似表述或变体,或声明 “可能”、“将” 或 “将” 发生或实现的某些行动、事件或结果,旨在识别前瞻性陈述。特别是,关于将Artis打造成专注于价值投资的一流资产管理和投资平台、房地产投资信托基金加强资产负债表、增强流动性和增加净资产价值的能力的声明均为前瞻性陈述。前瞻性陈述基于许多因素和假设,这些因素和假设已被用来制定此类陈述,但这些因素和假设可能被证明是不正确的。阿蒂斯无法向投资者保证实际业绩将与任何前瞻性陈述一致,阿蒂斯没有义务更新或修改此类前瞻性陈述以反映实际事件或新情况。本新闻稿中包含的所有前瞻性陈述均受本警示声明的限制。
SOURCE Artis Real Estate Investment Trust
来源 Artis 房地产投资信托基金
译文内容由第三方软件翻译。