HFIS
PT. SARANA MULTIGRIYA FINANSIAL (PERSERO)

News & Event / 26 August 2019

Shelf Registration Bond V Sarana Multigriya Finansial 2nd Tranche Year 2019 With Fixed Coupon Rate (Bond) With Principal Amount of Rp2.202.500.000.000,- (Two Trilion and Two Hundred Two Billion and Five Hundred Million Rupiah)

These bonds are issued with a Principal Amount of Rp2.202.500.000.000,- (two trillion and two hundred two billion and five hundred  million rupiah). This Bond is issued scripless with period from 3 (three) years up 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 Serie A Bond offered is to the amount of Rp1.422.500.000.000,- (one trillion and four hundred twenty two billion and five hundred million Rupiah) with a fixed coupon rate of 7.80% (seven point eighty percent) per year. The period of Series A Bond is 3 (three) years. The Series A Bond will be paid fully (bullet payment), 100% of the Series A Bond Principal amount, on 28 August 2022.
Series B : The principal amount of Series B Bond offered is to the amount of Rp780.000.000.000,- (seven hundred billion and eighty million Rupiah) with a fixed coupon rate of 8.10% (eight point ten percent) per year. The period of Series B Bond is 5 (five) years. The Series B Bond will be paid fully (bullet payment), 100% of the Series B Bond Principal amount, on 28 August 2024.

 

This Bond is issued without certificate except for a jumbo certificate issued and registered under the name of KSEI as anevidence of indebtedness for the interest of bondholders  and this bond is offered at 100% (one hundred percent) of the Bond Principal Amount. Coupon will be paid quarterly in accordance with the Coupon Payment Schedule. The First Coupon will be paid on 28 November 2019 and the last Coupon Payment as well as the maturity date of each Series.

 

×