Strawberry Fields REIT Inc. has announced the issuance of approximately $87.6 million in Series B Bonds, following an offering exclusively conducted in Israel and traded on the Tel Aviv Stock Exchange. The company is committed to making four principal reduction payments from 2026 to 2029, with the first three payments constituting 4% of the principal and the final payment making up 88%. An annual interest rate of 6.70% will be applied to the unpaid principal, with payments scheduled bi-annually until 2029. The proceeds from this issuance will be utilized for ongoing operations, repaying existing debts, and acquiring new properties.
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