OUE Commercial REIT - Annual Report 2021
S$540 million Maiden Sustainability-Linked Loan S$150 million 5-Year 3.95% Fixed Rate Notes REINFORCING FOUNDATIONS TO POSITION FOR GROWTH Prudent and proactive capital management efforts, including the repayment and early refinancing of borrowings, have resulted in a stronger balance sheet, extended debt maturity profile and stable borrowing costs. The increased financial flexibility places OUE C-REIT in a stronger position for growth. 15 A N N U A L R E P O R T 2 0 2 1
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