Current report no 6/2024

Current report no 6/2024 - 24 January 2024 / 15:40

Conclusion of annexes to existing credit agreements and ‎conclusion of a new credit agreement

The Management Board of Budimex SA announces that on 24 January 2024 the company concluded annexes to ‎bilateral credit agreements with the banks: Bank Polska Kasa Opieki SA, Credit Agricole Bank Polska SA and ING ‎Bank Śląski SA:‎
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• Under the annex to the credit agreement with Bank Polska Kasa Opieki SA, the conclusion of which was ‎reported by the company in current report No 28/2015 of 15 May 2015, Bank Polska Kasa Opieki SA ‎extended the possible credit utilisation period until 14 May 2027. The credit amount remains unchanged, i.e. ‎PLN 100,000,000 (say: one hundred million zlotys). ‎
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• Under the annex to the credit agreement with Credit Agricole Bank Polska SA, the conclusion of which was ‎reported by the company in current report No 28/2015 of 15 May 2015, Credit Agricole Bank Polska SA ‎extended the possible credit utilisation period until 31 May 2027. The credit amount remains unchanged, i.e. ‎PLN 70,000,000 (say: seventy million zlotys).‎
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• Under the annex to the credit agreement with ING Bank Śląski SA, the conclusion of which was reported by ‎the company in current report No 28/2015 of 15 May 2015, ING Bank Śląski extended the possible credit ‎utilisation period until 31 May 2027. The credit amount remains unchanged, i.e. PLN 60,000,000 (say: sixty ‎million zlotys).‎
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Budimex SA also concluded a new credit agreement with Societe Generale SA Branch in Poland, under which the ‎bank made available to the company a medium-term credit in the amount of PLN 70,000,000 (say: seventy million ‎zlotys) for a period until 31 May 2027. This agreement will replace the credit agreement mentioned by the company ‎in current report No 28/2015 of 15 May 2015, No 82/2027 of 20 November 2017 and No 5/2021 of 20 January 2021.‎
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Additionally, Budimex SA concluded with CaixaBank SA Branch in Poland an understanding to the credit agreement ‎of which the company informed in current report No 05/2021 of 20 January 2021, whereby the credit availability was ‎shortened to 24 January 2024.‎

At the same time, Budimex SA concluded a new credit agreement with PKO Bank Polski SA, under which the bank ‎made available to the company an overdraft facility in the amount of PLN 100,000,000 (say: one hundred million ‎zlotys) for a period until 31 May 2027.‎

The conclusion of the three above described annexes, the two new credit agreements and one understanding to a ‎credit agreement has given the company, for a period of 3.5 years, access to the promised revolving credit facilities, ‎securing the company’s financial liquidity for a total amount of PLN 400,000,000 (say: four hundred million zlotys).‎

For using the credits, the company will pay the banks interest calculated according to the WIBOR base rate ‎applicable to a given interest period, plus a margin.‎
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To secure the repayment of liabilities under the aforementioned credit agreements, Budimex will submit to the banks ‎a declaration of voluntary submission to enforcement, pursuant to the provisions of the Code of Civil Procedure.‎
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The remaining provisions are standard for agreements of this type.‎
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The grounds for providing this information is the conclusion of agreements of a significant total value, exceeding 2% ‎of the company’s revenue from sales.‎