IN BRIEF: ICG Enterprise Trust extends EUR240 million debt facility
ICG Enterprise Trust PLC - London-based investor in "profitable, cash-generative" private companies, primarily in Europe and the US - Extends maturity of its EUR240 million revolving credit facility by one year to May 2028 from May 2027. At May 31, ICG had total available liquidity of GBP166 million, this comprised of GBP9 million and GBP157 million undrawn on its RCF. Read More