HFIS
PT. SARANA MULTIGRIYA FINANSIAL (PERSERO)

News / 14 February 2020

Shelf Registration Bond V Sarana Multigriya Financial Phase III Year 2020 With A Fixed Coupon Rate (“Bond”) With A Principal Amount Of Rp4.001.000.000.000,- (Four Trillion And One Billion Rupiah)

These bonds are issued with a Principal Amount of Rp4,001,000,000,000.- (four trillion and one billion rupiah). This Bond is scriptless with period of 1 (one) to 5 (five) years since the Issuance Date. This Bond provides the options for public to choose the 2 (two) following Bond series offered:

Series A : The principal amount of Series A Bond offered is Rp1,460,000,000,000.- (one trillion and four hundred sixty billion Rupiah) with a fixed coupon rate of 6.00% (six point zero zero percent) per year. The period of Series A Bond is 370 (three hundred seventy) days. The Series A Bond principal will be fully paid (bullet payment) on 28th February 2021.
Series B : The principal amount of Series B Bond offered is Rp2,541,000,000,000.- (two trillion and five hundred and forty one billion Rupiah) with a fixed coupon rate of 7.50% (seven point five zero percent) per year. The period of Series B Bond is 5 (five) years. The Series B Bond principal will be paid fully at maturity date on 18th February 2025.

 

This Bond is offered with 100% (one hundred percent) value of Bond principle. Coupon are paid quarterly in accordance with the Coupon Payment Schedule, starting form issuance date. First coupon will be paid on 18th May 2020, and the last coupon will be paid on each Series maturity dates.

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