| Issuer |
BOOSTER Precision Components GmbH |
| WKN / ISIN |
A30V3Z / NO0012713520 |
| Issue volume |
EUR 53 million (after tap 05/2024, originally EUR 35 million) |
| Interest rate |
3 months EURIBOR + 900 bps (EURIBOR floor at 0.0%) |
| Interest payment |
Quarterly, first payment as of 28 February 2023 |
| Term |
4 years |
| Minimum investment / denomination |
EUR 1,000 |
| Issue / value date |
28 November 2022 |
| Issue / redemption price |
Nominal value (100%) |
| Maturity |
30 November 2026 |
| Use of proceeds |
Repay refinancing debt, pay transaction costs and finance general corporate purposes of the Group |
| Covenants |
Quarterly reporting and other standard obligations (including limitation on incurring further indebtedness, negative pledge, change of control, cross default) |
| Paying Agent |
Nordic Trustee (nordictrustee.com) |
| Trustee |
Nordic Trustee and Agency AB |
| Stock exchange |
Frankfurt Open Market, Nasdaq First North Bond Market |
| Documents |
Bond Terms and Conditions, Company Description, Notice of Written Procedure |