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20240115_SMKM_Laporan Penggunaan Dana Hasil Penawaran Umum_31568930.pdf
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Nomor Surat 004-SMK/EKS/I/2024
Nama Perusahaan PT Sumber Mas Konstruksi Tbk
Kode Emiten SMKM
Lampiran 3
Perihal Laporan Penggunaan Dana Hasil Penawaran Umum
Dana yang diperoleh dari Penawaran Umum IDR
Rencana Realisasi
Jumlah
Biaya Hasil Penggunaa Penggunaa
Hasil
Jenis Penawaran Realisasi n Dana n Dana Sisa Dana
Tanggal Penawaran
Penawaran Nama Emisi Umum Bersih Menurut Menurut (satuan
Efektif Umum
Umum (satuan mata (satuan Prospektus Prospektus mata uang)
(satuan
uang) mata uang) (satuan (satuan
mata uang)
mata uang) mata uang)
09 Maret 66.000.000.0 2.785.200.00 63.214.800.0 63.214.800.0 61.480.413.0 1.434.387.0
IPO Saham SMKM
2022 00 0 00 00 00 00
Penempatan Sisa Dana
Jenis
Kode Nama
Penawaran Penempatan List
Efek
Umum
Sisa Dana Hubungan
Tingkat Bunga/ Jangka Waktu
(satuan mata Penempatan dengan
Bagi Hasil Penyimpanan
uang) Perusahaan
CIMB Niaga
13.114.672.668 2,25 % Rekening 1 Bulan pihak Tiga
Tabungan
IPO Saham SMKM CIMB Niaga
52.873.652.142 2 % Rekening 1 Bulan pihak Tiga
Tabungan
CIMB Rekening
127.837.623 2 % 1 Bulan pihak Tiga
Giro USD
67.166.055 0,9 % BCA 1 Bulan pihak Tiga
Rincian Rencana Penawaran Umum
Jenis
Kode Nama
Penawaran Tanggal Efektif Rencana List
Efek
Umum
Hasil
Realisasi Jumlah
Bersih Uraian (satuan mata Persentase
(satuan mata uang)
IPO Saham SMKM 09 Maret 2022 uang)
Research and
63.214.800.000 1.896.444.000 3 %
Development
63.214.800.000 Modal Kerja 61.318.356.000 97 %
Page 2
Rincian Realisasi Penawaran Umum
Jenis
Kode Nama
Penawaran Tanggal Efektif Realisasi List
Efek
Umum
Hasil
Realisasi Jumlah
Bersih Uraian (satuan mata Persentase
(satuan mata uang)
IPO Saham SMKM 09 Maret 2022 uang)
Research and
61.780.413.000 462.057.000 3 %
Development
61.780.413.000 Modal Kerja 61.318.356.000 97 %
Rincian Biaya Penawaran Umum
Jenis Jumlah Jumlah
Tanggal Persenta
Penawaran Kode Efek Hasil Uraian (Satuan Mata
Efektif se
Umum Penawaran Uang)
IPO Saham SMKM 09 Maret 2022 66.000.000.000a. biaya jasa penjaminan
(underwriting fee);
719.400.000 1,09 %
b. biaya jasa
penyelenggaraan
330.000.000 0,5 %
(management fee);
c. biaya jasa penjualan
(selling fee);
297.000.000 0,45 %
d. biaya jasa profesi
penunjang pasar modal;
943.800.000 1,43 %
e. biaya jasa lembaga
penunjang pasar modal;
0 0 %
dan
f. biaya jasa konsultasi
keuangan (financial
0 0 %
advisory fee).
g. Biaya lain-lain yang
dapat diatribusikan
495.000.000 0,75 %
langsung sebagai biaya
emisi***)
Demikian untuk diketahui.
Hormat Kami,
PT Sumber Mas Konstruksi Tbk
Budi Aris
Corporate Secretary
Page 3
PT Sumber Mas Konstruksi Tbk
Gedung Graha Mustika Ratu, Lantai 5, Jalan Jend. Gatot Subroto, Kav 74-75,
Telepon : (021) 8250095, Fax : (021) 83707143, www.konstruksimas.co.id
Nama Pengirim Budi Aris
Jabatan Corporate Secretary
Tanggal dan Waktu 15-01-2024 17:03
Lampiran 1. SMK - Surat Pengantar LRPD_BEI.pdf
2. SMK - Surat Pengantar LRPD_OJK.pdf
3. SMK - Lampiran LRPD 31 des 2023.pdf
Dokumen ini merupakan dokumen resmi PT Sumber Mas Konstruksi Tbk yang tidak memerlukan tanda tangan
karena dihasilkan secara elektronik oleh sistem pelaporan elektronik. PT Sumber Mas Konstruksi Tbk bertanggung
jawab penuh atas informasi yang tertera didalam dokumen ini.
Page 4
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Announcement Number 004-SMK/EKS/I/2024
Issuer Name PT Sumber Mas Konstruksi Tbk
Issuer Code SMKM
Attachment 3
Subject Laporan Penggunaan Dana Hasil Penawaran Umum
Fund received form the public offering IDR
Amount of Plan for use Realized
Proceed Cost of of proceed Use of Fund
Type of Net Remaining
Name of from the Public according to according to
public Listing Date Realization Fund (in
Issuance Public Offering (in the the
offering (in Currency) Currency)
Offering (in Currency) Prospectus Prospectus
Currency) (in Currency) (in Currency)
66,000,000,0 2,785,200,00 63,214,800,0 63,214,800,0 61,480,413,0 1,434,387,0
IPO Saham SMKM
00 0 00 00 00 00
Allocation of Remaining Fund
Type of public Name / Code of
List of allocation
offering Securities
Remaining Fund Interest/Yield Relationship with
Allocation Retention Period
(in Currency) Rate the company
CIMB Niaga
13,114,672,668 2.25 % Rekening 1 Bulan pihak Tiga
Tabungan
IPO Saham SMKM CIMB Niaga
52,873,652,142 2 % Rekening 1 Bulan pihak Tiga
Tabungan
CIMB Rekening
127,837,623 2 % 1 Bulan pihak Tiga
Giro USD
67,166,055 0.9 % BCA 1 Bulan pihak Tiga
Details of Public Offering Plan
Type of public Name / Code of
Listing date List of plans
offering Securities
Net Realization Amount (in
Description Percentage
(in Currency) Currency)
IPO Saham SMKM
Research and
63,214,800,000 1,896,444,000 3 %
Development
63,214,800,000 Modal Kerja 61,318,356,000 97 %
Page 5
Details of Public Offering Realization
Type of Public Name / Code of
Listing Date Realization Plan
Offering Securities
Net Realization Amount (in
Description Percentage
(in Currency) Currency)
IPO Saham SMKM
Research and
61,780,413,000 462,057,000 3 %
Development
61,780,413,000 Modal Kerja 61,318,356,000 97 %
Details of Cost of Public Offering
Amount of
Type of Public Amount (in Percenta
Securities Code Listing Date Proceed for the Description
Offering Currency) ge
Public Offering
IPO Saham SMKM 66,000,000,000a. Underwriting fee
719,400,000 1.09 %
b. Management fee
330,000,000 0.5 %
c. Selling fee
297,000,000 0.45 %
d. Capital Market
Supporting Profession
943,800,000 1.43 %
fee
e. Capital Market
Supporting Institution fee
0 0 %
f. Financial advisory fee
0 0 %
g. Other fees which can
be directly attributed as
495,000,000 0.75 %
securities issuance fees
Thus to be informed accordingly.
Respectfully,
PT Sumber Mas Konstruksi Tbk
Budi Aris
Corporate Secretary
Page 6
PT Sumber Mas Konstruksi Tbk
Gedung Graha Mustika Ratu, Lantai 5, Jalan Jend. Gatot Subroto, Kav 74-75,
Phone : (021) 8250095, Fax : (021) 83707143, www.konstruksimas.co.id
Sender Name Budi Aris
Function Corporate Secretary
Date and Time 15-01-2024 17:03
Attachment 1. SMK - Surat Pengantar LRPD_BEI.pdf
2. SMK - Surat Pengantar LRPD_OJK.pdf
3. SMK - Lampiran LRPD 31 des 2023.pdf
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