debt
confidence high
sentiment neutral
materiality 0.55
Enova amends ODR 2021-1 securitization facility to $246.7M total commitment
Enova International, Inc.
- Total facility commitment $246.7M: Class A $193.33M, Class B $53.33M.
- Class A borrowing rate CP Rate + 2.00%; Class B SOFR + 6.00%.
- Revolving period through Nov 2027; maturity Nov 2028.
- Amendment with JPMorgan Chase as administrative agent and Deutsche Bank as paying agent.