Today's Information

Provided by: FX HOTELS GROUP INC.
SEQ_NO 1 Date of announcement 2022/04/11 Time of announcement 19:18:49
Subject
 March 2022 credit facility and drawn
portion reporting with upcoming 3 month cash
revenue and expenditure forecast
Date of events 2022/04/11 To which item it meets paragraph 53
Statement
1.Date of occurrence of the event: 2022/04/11
2.Company name: FX Hotels Group Inc.
3.Relationship to the Company (please enter "head office" or
  "subsidiaries"):head office
4.Reciprocal shareholding ratios: N/A
5.Name of the reporting media: N/A
6.Content of the report: N/A
7.Cause of occurrence:
Compliance to Taipei Exchange Supervisory Correspondence #10600073792
(1)Credit facility and drawn portion: (Unit:New Taiwan Dollars in thousands)
Item              credit facility    drawn portion (credit facility drawn)
March 2022              0                 0
(2)upcoming 3 months cash revenue and expenditure and fund dispatching
condition:(unit:New Taiwan Dollars in thousands)
Item/Month                          April 2022    May 2022      June 2022
Beginning balance of cash            272,956       272,884        272,888
Cash inflow                           11,733        11,909         11,909
Cash outflow                          11,805        11,905         11,705
Balance of cash available            272,884       272,888        273,092
before financing
Loan from financial facilities             -             -              -
Loan from shareholders                     -             -              -
Loan payments to financial facilities      -             -              -
 Ending balance of cash              272,884       272,888        273,092
8.Countermeasures: N/A
9.Any other matters that need to be specified: nil

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FX Hotels Group Inc. published this content on 11 April 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 11 April 2022 11:20:07 UTC.