Murray International Trust PLC Repayment of Fixed Rate Loan Facility
16 Maggio 2024 - 3:34PM
RNS Regulatory News
RNS Number : 7792O
Murray International Trust PLC
16 May 2024
Murray International Trust PLC (the
"Company")
Legal Entity Identifier (LEI):
549300BP77JO5Y8LM553
Repayment of Fixed Rate Loan Facility
16
May 2024
The Company announces that it has
repaid its maturing £30 million 5 year fixed rate loan with The
Royal Bank of Scotland International Limited, London
Branch.
Following the repayment of this loan,
the Company's borrowings will consist of £50 million in unsecured
loan notes, maturing in May 2031 and £60 million in unsecured loan
notes maturing in May 2037. The weighted cost of borrowing based on
these borrowings will be 2.56%.
For further information please
contact:
Charles Mearns
abrdn Holdings Limited
Secretaries
Tel: 0131 372 9368
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