HFIS
PT. SARANA MULTIGRIYA FINANSIAL (PERSERO)

News / 16 May 2018

Annoucement of Shelf Registration Bond IV Sarana Multigriya Finansial 4th Tranche Year 2018 With a Fixed Coupon Rate

Based on OJK regulation number 31 / POJK.04 / 2015 concerning Information Disclosure or Material Facts by Issuers or Public Companies an in connection with completion of the process of Public Offering of Sustainable Bond IV IV Multigriya Financing Facility Phase IV 2018 With Fixed Interest Rate (“Bonds”) we hereby announce that company will issue Shelf Registration Bond IV Sarana Multigriya Finansial 4th Tranche Year 2018 With A Fixed Coupon Rate.

This Bond is issued script less and is offered at 100% of the principal amount of the Bond. Bond Offered in the amount of Rp1.163.000.000.000,- (one trillion one hundred sixty three billion Rupiah) comprised of the following 2 (Two) series:

Series A  : Principal amount of Series A Bond offered is to the amount of Rp755.000.000.000 (seven hundred fifty five billion Rupiah) with a fixed coupon rate of 6,05% (six point zero five percent) per year, with a 370 (three hundred seventy) Calendar Days tenor from the Issuance Date. 100% (one hundred percent) of the Bonds Issuer Payment of the Series A Bond on the maturity date.
Series B  : Principal amount of Series B Bond offered is to the amount of Rp408.000.000.000 (four hundred eight billion Rupiah) with a fixed coupon rate of 6,95% (six point nine five percent) per year, with a 3 (three) years tenor from the Issuance Date. 100% (one hundred percent) of the Bonds Issuer Payment of the Series B Bond on the maturity date.

Coupon payments will be done quarterly, with first coupon payment on 18 August 2018, the last coupon payment will be done on the maturity date of each Bond Series. Full repayment of the bond will be done on the maturity date (bullet payment).


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