Clariane announced that it has renewed the drawdown of its RCF (Revolving Credit Facility) for a period of 6 months (expiring on 3 November 2024) for an amount of ?492.5 million, in accordance with the terms of the contract signed in 2019 and extended on 25 July 2023. In addition to the usual conditions, the Group points out that the drawdown and renewal of its RCF line are subject to a minimum liquidity level of 300 million euros on the day of the drawdown or renewal, which includes the RCF drawn down. the financing structure currently in place, including in particular the syndicated loan for which the early renegotiation of an "amend & extend" was finalised in July 2023 (the term tranche of 500 million euros was due to expire in May 2024), and the drawdown by the Group on 3 November 2023 of its RCF (Revolving Credit Facility) for an amount of 500 million euros for a period of six months, in a context of deteriorated market conditions and access to financing; the ?1.5 billion refinancing plan announced on 14 November 2023, which includes a ?300 million capital increase and a ?1 billion asset disposal plan.