As of December 31, 2023, the group held cash credit lines of EUR 810,504 thousand (previous year: EUR 914,902 thousand), of which EUR 100,504 thousand had been utilized (previous year: EUR 204,902 thousand). The cash credit lines are composed of the following items:
(EUR thousand) | Maturity | 12/31/2023 approved | 12/31/2023 utilized |
---|---|---|---|
Borrower‘s note loan (2025) | February 2025 | 100,000 | 100,000 |
Bilateral credit lines | until further notice | 60,504 | 504 |
Syndicated credit line („Club Deal“)* | August 2025 | 650,000 | - |
Total | 810,504 | 100,504 |