$200m Term Loan

The facility has a final maturity of five years. Repayment is in three annual equal instalments after three years' grace. It pays an interest margin of 70 basis points over the three-month London Interbank Offered Rate. Arrangement fees are 40 basis points. Proceeds will be used for expanding the company's container fleet capacity.
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First Published: Feb 24 1997 | 12:00 AM IST

