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I C B I
Indonesia Composite Bond Index
285.7203
Previous Change Change (%)
285.3336
0.3867
0.14
Jakarta, 8 Juli 2020
| Juli 2020 ||Matured | SPN12200703 (03-Jul-20), NISP03BCN1 (06-Jul-20), MDLN01BCN1 (07-Jul-20), AGRO01A (07-Jul-20), AKRA01ACN1 (07-Jul-20), IMFI03BCN1 (07-Jul-20), BBTN02BCN1 (08-Jul-20), BBTN03ACN2 (08-Jul-20), PPGD02DCN1 (09-Jul-20), MFIN03ACN2 (09-Jul-20), SMBNII02CN1 (11-Jul-20), BMTP01A (11-Jul-20), CSUL01B (11-Jul-20), PIHC01ACN1 (12-Jul-20), PNMP02ACN1 (12-Jul-20), PJAA02CN1 (12-Jul-20), BBTN03ACN1 (13-Jul-20), BNII03ACN1 (13-Jul-20), ADMF03BCN6 (14-Jul-20), SMFP05ACN1 (14-Jul-20), SMSMFP01CN1 (14-Jul-20), SPN-S 15072020 (15-Jul-20), SPN03200715 (15-Jul-20), BEXI04ACN5 (19-Jul-20), VR0031 (25-Jul-20), SPN03200729 (29-Jul-20).   || IBPA Benchmark Rates (8/7/2020) :FR0080 (14.95 Yr) - Yield 7.5556% Price 99.5000% --  FR0081 (4.94 Yr) - Yield 6.4011% Price 100.4076% --  FR0082 (10.19 Yr) - Yield 7.0642% Price 99.5250% --  FR0083 (19.78 Yr) - Yield 7.5821% Price 99.1489% --  
  
INFO DETAIL OBLIGASI
ISIN Code IDP000003709

Bond ID : PBS025
Bond Type : Fixed Rate Bond
Bond Code : PBS025
ISIN : IDP000003709
Bond Name : SBSN Seri PBS025
Country Code : Indonesia
Issuer Code : INDO
Bond Issue Method : Private Placement
Primary FG : 1.00
Secondary Serial No : 0.00
SNPN : 0.00
ABS Type : Non-ABS/MBS
Bond Seniority : -
Issue Rate : 0.08
Issue Yield : 8.60
Issue Price : 98.19
Issue Date : 29-May-2019
Maturity Date : 15-May-2033
Expected Maturity Date : 15-May-2033
Exchange OTC Code : IDX
Listing Status : Listed
Listed Date : 31-May-2019
Issue Amount : 1,500,000,000,000.00
Custodian Code : KSEI
Payment Agent Code : BI
Scripless : Y
Rating Exempted FG : N
Currency Code : IDR
Interest Currency Code : IDR
Amount Outstanding : 6,000,000,000,000.00
Coupon Nominal : 0.00
Payment at End Period : 6,000,000,000,000.00
Day Count Basis : actual/actual
Irregular Cash Flow : Y
Coupon Payment Method : None
Coupon Rate : 8.38
Coupon Prorated : Y
Coupon Compounding Period : SEMI
Coupon Term Months : 6 Months
Coupon Generation Method : Backward
Fixed Coupon Day : 15.00
First Coupon Date : 15-Nov-2019
Odd Last Coupon Type : Regular
Spread Rate : 0.00
Rate Composition : None
Coupon Prepay : None
Cap Type : Cap
Cap Rate : 0.00
Floor Rate : 0.00
Amortization Type : No Amortization
Amortization Start Date : 01-Jan-1900
Amortization Term Months : 1 Day
Amortization Amount : 0.00
Embeded Option : 0.00
Stock Conversion Type : No Conversions Embedded
Premium at End : 0.00
Guaranteed Yield : 0.00
No Warrants : 0.00
Islamic Concept : SUKUK AL-IJARA
Profit Sharing Ratio : 0.00
Calendar Code : INDONESIA
Instrument Type : BONDS
Issue Tenor : 0.00
Tier : None
Originated Amount : 6,000,000,000,000.00
Bond Class Node : FIXED RATE
Issuer Type : 1.00
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