AS Tallinna Sadam signed an unsecured loan agreement with AS Swedbank in the amount of EUR 20 million and a maturity of 3 years. The interest rate of the loan is 6-month Euribor plus interest margin. The loan was drawn in full on May 14, 2024 and the final maturity date is May 14, 2027.

The funding will be used to finance the company's general business needs, including as bridge financing for investments.