March 28 (Reuters) - xReality Group Ltd XRG.AX:
ENTERED BINDING TERM SHEET WITH CAUSEWAY ASSET MANAGEMENT FOR REFINANCING OF EXISTING DEBT FACILITIES ON EXCLUSIVE BASIS
REFINANCING INCLUDES A$6M FACILITY WITH INITIAL DRAWDOWN OF A$5M AND AN ADDITIONAL A$1M
Further company coverage: XRG.AX
((Reuters.Briefs@thomsonreuters.com;))