Undisclosed
February 2024
Extending and increasing the existing Debt Financing Facilities
EUR 125.1m December 2024
Raising non-recourse green project financing to finance construction and operational phase of two solar parks
EUR 26m August 2024
Raising financing for the acquisition of Creative Craft Group
EUR 74m July 2024
Extend and increase the Revolving Credit Facility
EUR 427m July 2024
Refinancing of working capital facilities
Undisclosed July 2024
Raising acquisition financing to acquire full ownership of the company
In refinancing and substantial expansion of facilities to facilitate buy & build
Undisclosed June 2024
Refinancing of a shipyard and the financing of additional capex