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20240212_BBKP_Laporan Informasi dan Fakta Material_31577301_lamp1.pdf

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Page 1 OCR 0.931
PT. Bank

»Kb KB Bukopin

Pu
wwsw.kbbukopin.com

Jakarta, 12 Februari 2024

Nomor/Number :02#3 /DIR/I/2024

Kepada Yth./To:
Kepala Eksekutif Pengawasan Pasar Modal

Otoritas Jasa Keuangan/Financial Services Authority (“OJK”)
Gedung Sumitro Djojohadikusumo, Kementerian Keuangan RI Jl.
Lapangan Banteng Timur No.1 - 4 Jakarta 10710

Direktorat Penilaian Perusahaan
Direksi PT Bursa Efek Indonesia
Gedung BEI, Tower 1, Lantai 4
Jalan Jend. Sudirman, Kav.52-53
Jakarta 12190

Perihal : Kesiapan Dana untuk Pelunasan
Efek Bersifat Utang PT Bank KB Bukopin,
Tbk

Dengan hormat,

Sehubungan dengan Efek Bersifat Utang
Perusahaan yaitu Obligasi Subordinasi
Berkelanjutan II Bank Bukopin Tahap II Tahun
2017 yang akan jatuh tempo pada tanggal 28
Februari 2024, dengan ini kami sampaikan
bahwa Perusahaan telah menyediakan dana
untuk melunasi pokok dan bunga Obligasi
tersebut kepada Pemegang Obligasi.

Dana pelunasan pokok dan bunga Obligasi
Subordinasi Berkelanjutan II Bank Bukopin
Tahap II Tahun 2017 dimaksud adalah
sejumlah Rp 1.443.637.500.000,- (Satu
Triliun Empat Ratus Empat Puluh Tiga Miliar
Enam Ratus Tiga Puluh Tujuh Juta Lima
Ratus Ribu Rupiah) yang terdiri dari pokok
Obligasi sebesar Rp 1.405.000.000.000,-
(Satu Triliun Empat Ratus Lima Miliar Rupiah)
dan bunga obligasi ke-28 (gross) sebesar Rp
38.637.500.000,- (Tiga Puluh Delapan Miliar
Enam Ratus Tiga Puluh Tujuh Juta Lima
Ratus Ribu Rupiah).

Pelunasan tersebut akan dilakukan dan
didistribusikan melalui PT Kustodian Sentral
Efek Indonesia sebagai agen pembayaran.

Subject: Fund  Readiness for the
Repayment of Debt Securities of PT Bank
KB Bukopin, Tbk.

Sincerely,

In connection with the Company's Debt
Securities, namely Subordinated Shelf
Registration Bonds II Bank Bukopin Phase II
Year 2017 which will mature on February 28,
2024, we hereby inform you that the Company
has provided funds to pay off the principal and
interest of the Bonds to the Bondholders.

The proceeds from the repayment of principal
and interest of the Shelf Registration Bond II
of Bank Bukopin Phase II Year 2017
amounted to Rp 1,443,637,500,000, - (One
Trillion Four Hundred Forty Three Billion Six
Hundred Thirty Seven Million Five Hundred
Thousand Rupiah) consisting of principal of
Rp 1. 405,000,000,000, - (One Trillion Four
Hundred Five Billion Rupiah) and the 28th
bond interest (gross) amounting to Rp
38,637,500,000, - (Thirty Eight Billion Six
Hundred Thirty Seven Million Five Hundred
Thousand Rupiah).

The repayment will be made and distributed
through PT Kustodian Sentral Efek Indonesia
as payment agent.

hn
Page 2 OCR 0.928
Tbk.

»Kb KB Bukopin

Demikian laporan ini kami sampaikan guna
memenuhi Keputusan Direksi PT Bursa Efek
Indonesia Nomor: Kep-00015/BE!/01-2021
tanggal 29 Januari 2021 perihal Perubahan
Peraturan No. I-E tentang Kewajiban
Penyampaian Informasi.

Atas perhatian dan kerjasamanya kami
Ucapkan terima kasih.

Hormat kami,
PT Bank KB Bukopin, Tbk

President Direcid

Thus we submit this report in order to comply
with the Decision of the Board of Directors of
the Indonesia Stock Exchange Number: Kep-
00015/BEI/01-2021 dated January 29, 2021
regarding Amendments to Regulation No. I-£
concerning Obligation to Submit Information.

Thank you for your attention and cooperation.

File

File Open PDF
Source IDX
Size1.19 MB
Published12 Feb 2024
Pages2
Characters3,248
Text sourceOCR
OCR confidence0.930

Names mentioned 9 people and organisations named in the text · linked when the evidence is strong

linked org PT Bank KB Bukopin p.1 ×5
possible org Otoritas Jasa Keuangan p.1
possible org PT Bursa Efek Indonesia p.1 ×2
unresolved org Financial Services Authority p.1
unresolved org Kementerian Keuangan RI p.1
unresolved org Bank Bukopin Tahap II Tahun p.1 ×2
unresolved org PT Kustodian Sentral Efek Indonesia p.1 ×3
unresolved org Bank Bukopin Phase II Year p.1 ×2
unresolved org Indonesia Stock Exchange p.2

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