Revolving Credit Facility ($50M)
Riot Platforms Inc.
Notes
- Variable rate: SOFR + 1.25%; 5.5% as of Sep 30, 2025
- $34.3M drawn as of Sep 30, 2025
- Secured by $50M cash collateral
Outstanding
$34.30M
Issue date
2024-07-15
Principal
$50.00M
Coupon
—
Maturity
2026-07-15
Conversion price
—
Terms sources(1)
- SourceForm 10-Q (Q3 2025)Note 12 — DebtRiot Platforms Inc. — 2025-10-30