Nov 20 (Reuters) - Berry Corporation (Bry) BRY.O:
BERRY CORPORATION $(BRY)$: ON NOV 15, SCHEDULED SEMI-ANNUAL REDETERMINATION OF BORROWING BASE OCCURRED UNDER CREDIT AGREEMENT DATED AUG 26, 2021
BERRY CORP: UNDER REDETERMINATION, BORROWER'S BORROWING BASE & AGGREGATE ELECTED COMMITTED AMOUNT UNDER REVOLVING CREDIT AGREEMENT ARE EACH $95 MILLION
BERRY CORP (BRY) - ACTIVELY EVALUATING NEW RESERVE-BASED CREDIT FACILITY
Source text: [https://tinyurl.com/bdhx28md]
Further company coverage: BRY.O
免责声明:投资有风险,本文并非投资建议,以上内容不应被视为任何金融产品的购买或出售要约、建议或邀请,作者或其他用户的任何相关讨论、评论或帖子也不应被视为此类内容。本文仅供一般参考,不考虑您的个人投资目标、财务状况或需求。TTM对信息的准确性和完整性不承担任何责任或保证,投资者应自行研究并在投资前寻求专业建议。