Press Release / 09 Nov 2021
Issuance of Shelf Registration Bond VI Sarana Multigriya Finansial 2nd Tranche Year 2021 (“Bond” With a Principal Amount of Rp2.800.000.000.000,-
(Two Triliion and Eight Hundred Billion Rupiah)
SMF issued Shelf Registration Bond VI Sarana Multigriya Finansial 2nd Tranche Year with a Principal Amount of Rp2.800.000.000 (two trillion and eight hundred billion Rupiah) which is guaranteed in Full Commitment. This Bond is issued without script with tenor 60 (sixty) months since the Issuance Date. This Bond provides following Bond offered:
The principal amount of the Bond offered is of Rp2.800.000.000.000,- (two trillion and eight hundred billion Rupiah) with a fixed coupon rate of 6,00% (six point zero percent) per year. The tenor of Bond is 5 (five) Years. The Bond Principal amount will be paid fully (bullet payment) on the maturity date. |
This Bond is issued without script except for a Jumbo Certificate issued and registered under the name of KSEI as an evidence of indebtedness for the interest of Bond and they are offered at 100% (one hundred percent) of the Bond Principal Amount. Coupon and Returns will be paid quarterly in accordance with the Coupon Payment Schedule. The First Coupon will be paid on 17 Februari 2022 and the last Coupon and Returns of the bonds will be paid in the maturity dates, which is 17 November 2026.
For more information can be downloaded here.