Bond 2022/2026

Issuer BOOSTER Precision Components GmbH
WKN / ISIN A30V3Z / NO0012713520
Issue volume 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 (
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