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20260311_ZP_Pencatatan Structured Warrant_32053280.pdf
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PENGUMUMAN BURSA
Pencatatan Structured Warrant
PT MAYBANK SEKURITAS INDONESIA - ZP
No. Peng-P-00380/BEI.PP3/03-2026
Bursa memutuskan untuk melakukan pencatatan efek :
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant BREN ZP Exp 30 November 2026
Underlying Asset BREN
Kode Structured Warrant BRENZPCX6A
Securities Number (ISIN) ID4000203304
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 46
Harga Pelaksanaan Structured Warrant 10,000
Jumlah Structured Warrant 500,000,000
Rasio Konversi Structured Warrant 30 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 12 Maret 2026 s/d 30 November 2026
Tanggal Mulai Perdagangan dan Pencatatan 12 Maret 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
25 November 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 27 November 2026
Tanggal Delisiting 30 November 2026
Tanggal Mulai Pelaksanaan Structured Warrant 30 November 2026
Tanggal Akhir Pelaksanaan Structured Warrant 30 November 2026
Rencana Penerbitan SW Tambahan untuk
500.000.000 Unit
memfasilitasi LP
Page 2
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant BTPS ZP Exp 30 November 2026
Underlying Asset BTPS
Kode Structured Warrant BTPSZPCX6A
Securities Number (ISIN) ID4000203403
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 23
Harga Pelaksanaan Structured Warrant 1,250
Jumlah Structured Warrant 500,000,000
Rasio Konversi Structured Warrant 8:1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 12 Maret 2026 s/d 30 November 2026
Tanggal Mulai Perdagangan dan Pencatatan 12 Maret 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
25 November 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 27 November 2026
Tanggal Delisiting 30 November 2026
Tanggal Mulai Pelaksanaan Structured Warrant 30 November 2026
Tanggal Akhir Pelaksanaan Structured Warrant 30 November 2026
Rencana Penerbitan SW Tambahan untuk
500.000.000 Unit
memfasilitasi LP
Page 3
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant ERAA ZP Exp 30 November 2026
Underlying Asset ERAA
Kode Structured Warrant ERAAZPCX6A
Securities Number (ISIN) ID4000203502
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 24
Harga Pelaksanaan Structured Warrant 420
Jumlah Structured Warrant 500,000,000
Rasio Konversi Structured Warrant 4:1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 12 Maret 2026 s/d 30 November 2026
Tanggal Mulai Perdagangan dan Pencatatan 12 Maret 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
25 November 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 27 November 2026
Tanggal Delisiting 30 November 2026
Tanggal Mulai Pelaksanaan Structured Warrant 30 November 2026
Tanggal Akhir Pelaksanaan Structured Warrant 30 November 2026
Rencana Penerbitan SW Tambahan untuk
500.000.000 Unit
memfasilitasi LP
Page 4
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant HRTA ZP Exp 30 November 2026
Underlying Asset HRTA
Kode Structured Warrant HRTAZPCX6A
Securities Number (ISIN) ID4000203601
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 56
Harga Pelaksanaan Structured Warrant 3,300
Jumlah Structured Warrant 500,000,000
Rasio Konversi Structured Warrant 15 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 12 Maret 2026 s/d 30 November 2026
Tanggal Mulai Perdagangan dan Pencatatan 12 Maret 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
25 November 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 27 November 2026
Tanggal Delisiting 30 November 2026
Tanggal Mulai Pelaksanaan Structured Warrant 30 November 2026
Tanggal Akhir Pelaksanaan Structured Warrant 30 November 2026
Rencana Penerbitan SW Tambahan untuk
500.000.000 Unit
memfasilitasi LP
Page 5
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant INCO ZP Exp 30 November 2026
Underlying Asset INCO
Kode Structured Warrant INCOZPCX6A
Securities Number (ISIN) ID4000203700
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 45
Harga Pelaksanaan Structured Warrant 7,400
Jumlah Structured Warrant 500,000,000
Rasio Konversi Structured Warrant 25 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 12 Maret 2026 s/d 30 November 2026
Tanggal Mulai Perdagangan dan Pencatatan 12 Maret 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
25 November 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 27 November 2026
Tanggal Delisiting 30 November 2026
Tanggal Mulai Pelaksanaan Structured Warrant 30 November 2026
Tanggal Akhir Pelaksanaan Structured Warrant 30 November 2026
Rencana Penerbitan SW Tambahan untuk
500.000.000 Unit
memfasilitasi LP
Page 6
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant MAPA ZP Exp 30 November 2026
Underlying Asset MAPA
Kode Structured Warrant MAPAZPCX6A
Securities Number (ISIN) ID4000203809
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 26
Harga Pelaksanaan Structured Warrant 700
Jumlah Structured Warrant 500,000,000
Rasio Konversi Structured Warrant 5:1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 12 Maret 2026 s/d 30 November 2026
Tanggal Mulai Perdagangan dan Pencatatan 12 Maret 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
25 November 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 27 November 2026
Tanggal Delisiting 30 November 2026
Tanggal Mulai Pelaksanaan Structured Warrant 30 November 2026
Tanggal Akhir Pelaksanaan Structured Warrant 30 November 2026
Rencana Penerbitan SW Tambahan untuk
500.000.000 Unit
memfasilitasi LP
Page 7
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant PNLF ZP Exp 30 November 2026
Underlying Asset PNLF
Kode Structured Warrant PNLFZPCX6A
Securities Number (ISIN) ID4000203908
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 19
Harga Pelaksanaan Structured Warrant 330
Jumlah Structured Warrant 500,000,000
Rasio Konversi Structured Warrant 3:1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 12 Maret 2026 s/d 30 November 2026
Tanggal Mulai Perdagangan dan Pencatatan 12 Maret 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
25 November 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 27 November 2026
Tanggal Delisiting 30 November 2026
Tanggal Mulai Pelaksanaan Structured Warrant 30 November 2026
Tanggal Akhir Pelaksanaan Structured Warrant 30 November 2026
Rencana Penerbitan SW Tambahan untuk
500.000.000 Unit
memfasilitasi LP
Page 8
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant PTBA ZP Exp 30 November 2026
Underlying Asset PTBA
Kode Structured Warrant PTBAZPCX6A
Securities Number (ISIN) ID4000204005
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 53
Harga Pelaksanaan Structured Warrant 3,350
Jumlah Structured Warrant 500,000,000
Rasio Konversi Structured Warrant 10 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 12 Maret 2026 s/d 30 November 2026
Tanggal Mulai Perdagangan dan Pencatatan 12 Maret 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
25 November 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 27 November 2026
Tanggal Delisiting 30 November 2026
Tanggal Mulai Pelaksanaan Structured Warrant 30 November 2026
Tanggal Akhir Pelaksanaan Structured Warrant 30 November 2026
Rencana Penerbitan SW Tambahan untuk
500.000.000 Unit
memfasilitasi LP
Page 9
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant PWON ZP Exp 30 November 2026
Underlying Asset PWON
Kode Structured Warrant PWONZPCX6A
Securities Number (ISIN) ID4000204104
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 34
Harga Pelaksanaan Structured Warrant 400
Jumlah Structured Warrant 500,000,000
Rasio Konversi Structured Warrant 1,5 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 12 Maret 2026 s/d 30 November 2026
Tanggal Mulai Perdagangan dan Pencatatan 12 Maret 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
25 November 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 27 November 2026
Tanggal Delisiting 30 November 2026
Tanggal Mulai Pelaksanaan Structured Warrant 30 November 2026
Tanggal Akhir Pelaksanaan Structured Warrant 30 November 2026
Rencana Penerbitan SW Tambahan untuk
500.000.000 Unit
memfasilitasi LP
Page 10
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant RATU ZP Exp 30 November 2026
Underlying Asset RATU
Kode Structured Warrant RATUZPCX6A
Securities Number (ISIN) ID4000204203
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 70
Harga Pelaksanaan Structured Warrant 7,000
Jumlah Structured Warrant 500,000,000
Rasio Konversi Structured Warrant 25 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 12 Maret 2026 s/d 30 November 2026
Tanggal Mulai Perdagangan dan Pencatatan 12 Maret 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
25 November 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 27 November 2026
Tanggal Delisiting 30 November 2026
Tanggal Mulai Pelaksanaan Structured Warrant 30 November 2026
Tanggal Akhir Pelaksanaan Structured Warrant 30 November 2026
Rencana Penerbitan SW Tambahan untuk
500.000.000 Unit
memfasilitasi LP
Page 11
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant SMRA ZP Exp 30 November 2026
Underlying Asset SMRA
Kode Structured Warrant SMRAZPCX6A
Securities Number (ISIN) ID4000204302
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 23
Harga Pelaksanaan Structured Warrant 400
Jumlah Structured Warrant 500,000,000
Rasio Konversi Structured Warrant 3:1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 12 Maret 2026 s/d 30 November 2026
Tanggal Mulai Perdagangan dan Pencatatan 12 Maret 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
25 November 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 27 November 2026
Tanggal Delisiting 30 November 2026
Tanggal Mulai Pelaksanaan Structured Warrant 30 November 2026
Tanggal Akhir Pelaksanaan Structured Warrant 30 November 2026
Rencana Penerbitan SW Tambahan untuk
500.000.000 Unit
memfasilitasi LP
Page 12
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant ADMR ZP Exp 30 November 2026
Underlying Asset ADMR
Kode Structured Warrant ADMRZPCX6A
Securities Number (ISIN) ID4000202801
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 40
Harga Pelaksanaan Structured Warrant 2,200
Jumlah Structured Warrant 500,000,000
Rasio Konversi Structured Warrant 10 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 12 Maret 2026 s/d 30 November 2026
Tanggal Mulai Perdagangan dan Pencatatan 12 Maret 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
25 November 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 27 November 2026
Tanggal Delisiting 30 November 2026
Tanggal Mulai Pelaksanaan Structured Warrant 30 November 2026
Tanggal Akhir Pelaksanaan Structured Warrant 30 November 2026
Rencana Penerbitan SW Tambahan untuk
500.000.000 Unit
memfasilitasi LP
Page 13
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant ANTM ZP Exp 30 November 2026
Underlying Asset ANTM
Kode Structured Warrant ANTMZPCX6A
Securities Number (ISIN) ID4000202900
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 54
Harga Pelaksanaan Structured Warrant 4,500
Jumlah Structured Warrant 500,000,000
Rasio Konversi Structured Warrant 15 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 12 Maret 2026 s/d 30 November 2026
Tanggal Mulai Perdagangan dan Pencatatan 12 Maret 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
25 November 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 27 November 2026
Tanggal Delisiting 30 November 2026
Tanggal Mulai Pelaksanaan Structured Warrant 30 November 2026
Tanggal Akhir Pelaksanaan Structured Warrant 30 November 2026
Rencana Penerbitan SW Tambahan untuk
500.000.000 Unit
memfasilitasi LP
Page 14
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant BBNI ZP Exp 30 November 2026
Underlying Asset BBNI
Kode Structured Warrant BBNIZPCX6A
Securities Number (ISIN) ID4000203007
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 42
Harga Pelaksanaan Structured Warrant 4,750
Jumlah Structured Warrant 500,000,000
Rasio Konversi Structured Warrant 17 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 12 Maret 2026 s/d 30 November 2026
Tanggal Mulai Perdagangan dan Pencatatan 12 Maret 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
25 November 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 27 November 2026
Tanggal Delisiting 30 November 2026
Tanggal Mulai Pelaksanaan Structured Warrant 30 November 2026
Tanggal Akhir Pelaksanaan Structured Warrant 30 November 2026
Rencana Penerbitan SW Tambahan untuk
500.000.000 Unit
memfasilitasi LP
Page 15
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant BBTN ZP Exp 30 November 2026
Underlying Asset BBTN
Kode Structured Warrant BBTNZPCX6A
Securities Number (ISIN) ID4000203106
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 40
Harga Pelaksanaan Structured Warrant 1,550
Jumlah Structured Warrant 500,000,000
Rasio Konversi Structured Warrant 5:1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 12 Maret 2026 s/d 30 November 2026
Tanggal Mulai Perdagangan dan Pencatatan 12 Maret 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
25 November 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 27 November 2026
Tanggal Delisiting 30 November 2026
Tanggal Mulai Pelaksanaan Structured Warrant 30 November 2026
Tanggal Akhir Pelaksanaan Structured Warrant 30 November 2026
Rencana Penerbitan SW Tambahan untuk
500.000.000 Unit
memfasilitasi LP
Page 16
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant BMRI ZP Exp 30 November 2026
Underlying Asset BMRI
Kode Structured Warrant BMRIZPCX6A
Securities Number (ISIN) ID4000203205
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 51
Harga Pelaksanaan Structured Warrant 5,500
Jumlah Structured Warrant 500,000,000
Rasio Konversi Structured Warrant 16 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 12 Maret 2026 s/d 30 November 2026
Tanggal Mulai Perdagangan dan Pencatatan 12 Maret 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
25 November 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 27 November 2026
Tanggal Delisiting 30 November 2026
Tanggal Mulai Pelaksanaan Structured Warrant 30 November 2026
Tanggal Akhir Pelaksanaan Structured Warrant 30 November 2026
Rencana Penerbitan SW Tambahan untuk
500.000.000 Unit
memfasilitasi LP
Demikian untuk diketahui.
Hormat Kami,
PT Bursa Efek Indonesia
Lidia M. Panjaitan Pande Made Kusuma Ari A
Kadiv Penilaian Perusahaan 3 Kadiv Pengaturan & Operasional Perdagangan
PT. Bursa Efek Indonesia
Gedung Bursa Efek Indonesia Tower 1 lantai 6,
Jl. Jendral Sudirman Kav 52-53 Jakarta Selatan 12190, Indonesia
Phone (+6221) 5150515, Fax (+6221) 5150330, Toll Free: 0800-100-9000, www.idx.co.id
Page 17
Tanggal dan Waktu 12-03-2026 19:46
Lampiran 1. Term Sheet Final ZP 12.pdf
Dokumen ini merupakan dokumen resmi PT Bursa Efek Indonesia yang tidak memerlukan tandatangan karena
dihasilkan secara elektronik oleh sistem pelaporan secara elektronik. PT Bursa Efek Indonesia bertanggung jawab
penuh atas informasi yang tertera didalam dokumen ini.
Page 18
Go To Indonesian Page
EXCHANGE ANNOUNCEMENT
Structured Warrant Listing
PT MAYBANK SEKURITAS INDONESIA - ZP
No. Peng-P-00380/BEI.PP3/03-2026
The Exchange hereby announce the following :
Registration of Structured Warrants
Name of Structured Warrant Call Warrant BREN ZP Exp 30 November 2026
Underlying Asset BREN
Code Of Structured Warrant BRENZPCX6A
Securities Number (ISIN) ID4000203304
Type Of Structured Warrant CALL
Structured Warrant Offering Price 46
Structured Warrant Execution Price 10,000
Amount of Structured Warrant 500,000,000
Structured Warrant Conversion Ratio 30 : 1
Structured Warranty Information COLLATERALIZED
Structured Warrant Settlement Type TUNAI
Structured Warrant Validity Period 12 March 2026 until 30 November 2026
Trading and Listing Start Date 12 March 2026
Trading End Dates in Regular and Negotiated Markets 25 November 2026
Trading End Date in Cash Market 27 November 2026
Delisiting Date 30 November 2026
Start Date for Implementation of Structured Warrant 30 November 2026
End Date for Implementation of Structured Warrant 30 November 2026
Publication Plan 500.000.000 Unit
Page 19
Registration of Structured Warrants Name of Structured Warrant Call Warrant BTPS ZP Exp 30 November 2026 Underlying Asset BTPS Code Of Structured Warrant BTPSZPCX6A Securities Number (ISIN) ID4000203403 Type Of Structured Warrant CALL Structured Warrant Offering Price 23 Structured Warrant Execution Price 1,250 Amount of Structured Warrant 500,000,000 Structured Warrant Conversion Ratio 8:1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 12 March 2026 until 30 November 2026 Trading and Listing Start Date 12 March 2026 Trading End Dates in Regular and Negotiated Markets 25 November 2026 Trading End Date in Cash Market 27 November 2026 Delisiting Date 30 November 2026 Start Date for Implementation of Structured Warrant 30 November 2026 End Date for Implementation of Structured Warrant 30 November 2026 Publication Plan 500.000.000 Unit
Page 20
Registration of Structured Warrants Name of Structured Warrant Call Warrant ERAA ZP Exp 30 November 2026 Underlying Asset ERAA Code Of Structured Warrant ERAAZPCX6A Securities Number (ISIN) ID4000203502 Type Of Structured Warrant CALL Structured Warrant Offering Price 24 Structured Warrant Execution Price 420 Amount of Structured Warrant 500,000,000 Structured Warrant Conversion Ratio 4:1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 12 March 2026 until 30 November 2026 Trading and Listing Start Date 12 March 2026 Trading End Dates in Regular and Negotiated Markets 25 November 2026 Trading End Date in Cash Market 27 November 2026 Delisiting Date 30 November 2026 Start Date for Implementation of Structured Warrant 30 November 2026 End Date for Implementation of Structured Warrant 30 November 2026 Publication Plan 500.000.000 Unit
Page 21
Registration of Structured Warrants Name of Structured Warrant Call Warrant HRTA ZP Exp 30 November 2026 Underlying Asset HRTA Code Of Structured Warrant HRTAZPCX6A Securities Number (ISIN) ID4000203601 Type Of Structured Warrant CALL Structured Warrant Offering Price 56 Structured Warrant Execution Price 3,300 Amount of Structured Warrant 500,000,000 Structured Warrant Conversion Ratio 15 : 1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 12 March 2026 until 30 November 2026 Trading and Listing Start Date 12 March 2026 Trading End Dates in Regular and Negotiated Markets 25 November 2026 Trading End Date in Cash Market 27 November 2026 Delisiting Date 30 November 2026 Start Date for Implementation of Structured Warrant 30 November 2026 End Date for Implementation of Structured Warrant 30 November 2026 Publication Plan 500.000.000 Unit
Page 22
Registration of Structured Warrants Name of Structured Warrant Call Warrant INCO ZP Exp 30 November 2026 Underlying Asset INCO Code Of Structured Warrant INCOZPCX6A Securities Number (ISIN) ID4000203700 Type Of Structured Warrant CALL Structured Warrant Offering Price 45 Structured Warrant Execution Price 7,400 Amount of Structured Warrant 500,000,000 Structured Warrant Conversion Ratio 25 : 1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 12 March 2026 until 30 November 2026 Trading and Listing Start Date 12 March 2026 Trading End Dates in Regular and Negotiated Markets 25 November 2026 Trading End Date in Cash Market 27 November 2026 Delisiting Date 30 November 2026 Start Date for Implementation of Structured Warrant 30 November 2026 End Date for Implementation of Structured Warrant 30 November 2026 Publication Plan 500.000.000 Unit
Page 23
Registration of Structured Warrants Name of Structured Warrant Call Warrant MAPA ZP Exp 30 November 2026 Underlying Asset MAPA Code Of Structured Warrant MAPAZPCX6A Securities Number (ISIN) ID4000203809 Type Of Structured Warrant CALL Structured Warrant Offering Price 26 Structured Warrant Execution Price 700 Amount of Structured Warrant 500,000,000 Structured Warrant Conversion Ratio 5:1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 12 March 2026 until 30 November 2026 Trading and Listing Start Date 12 March 2026 Trading End Dates in Regular and Negotiated Markets 25 November 2026 Trading End Date in Cash Market 27 November 2026 Delisiting Date 30 November 2026 Start Date for Implementation of Structured Warrant 30 November 2026 End Date for Implementation of Structured Warrant 30 November 2026 Publication Plan 500.000.000 Unit
Page 24
Registration of Structured Warrants Name of Structured Warrant Call Warrant PNLF ZP Exp 30 November 2026 Underlying Asset PNLF Code Of Structured Warrant PNLFZPCX6A Securities Number (ISIN) ID4000203908 Type Of Structured Warrant CALL Structured Warrant Offering Price 19 Structured Warrant Execution Price 330 Amount of Structured Warrant 500,000,000 Structured Warrant Conversion Ratio 3:1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 12 March 2026 until 30 November 2026 Trading and Listing Start Date 12 March 2026 Trading End Dates in Regular and Negotiated Markets 25 November 2026 Trading End Date in Cash Market 27 November 2026 Delisiting Date 30 November 2026 Start Date for Implementation of Structured Warrant 30 November 2026 End Date for Implementation of Structured Warrant 30 November 2026 Publication Plan 500.000.000 Unit
Page 25
Registration of Structured Warrants Name of Structured Warrant Call Warrant PTBA ZP Exp 30 November 2026 Underlying Asset PTBA Code Of Structured Warrant PTBAZPCX6A Securities Number (ISIN) ID4000204005 Type Of Structured Warrant CALL Structured Warrant Offering Price 53 Structured Warrant Execution Price 3,350 Amount of Structured Warrant 500,000,000 Structured Warrant Conversion Ratio 10 : 1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 12 March 2026 until 30 November 2026 Trading and Listing Start Date 12 March 2026 Trading End Dates in Regular and Negotiated Markets 25 November 2026 Trading End Date in Cash Market 27 November 2026 Delisiting Date 30 November 2026 Start Date for Implementation of Structured Warrant 30 November 2026 End Date for Implementation of Structured Warrant 30 November 2026 Publication Plan 500.000.000 Unit
Page 26
Registration of Structured Warrants Name of Structured Warrant Call Warrant PWON ZP Exp 30 November 2026 Underlying Asset PWON Code Of Structured Warrant PWONZPCX6A Securities Number (ISIN) ID4000204104 Type Of Structured Warrant CALL Structured Warrant Offering Price 34 Structured Warrant Execution Price 400 Amount of Structured Warrant 500,000,000 Structured Warrant Conversion Ratio 1,5 : 1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 12 March 2026 until 30 November 2026 Trading and Listing Start Date 12 March 2026 Trading End Dates in Regular and Negotiated Markets 25 November 2026 Trading End Date in Cash Market 27 November 2026 Delisiting Date 30 November 2026 Start Date for Implementation of Structured Warrant 30 November 2026 End Date for Implementation of Structured Warrant 30 November 2026 Publication Plan 500.000.000 Unit
Page 27
Registration of Structured Warrants Name of Structured Warrant Call Warrant RATU ZP Exp 30 November 2026 Underlying Asset RATU Code Of Structured Warrant RATUZPCX6A Securities Number (ISIN) ID4000204203 Type Of Structured Warrant CALL Structured Warrant Offering Price 70 Structured Warrant Execution Price 7,000 Amount of Structured Warrant 500,000,000 Structured Warrant Conversion Ratio 25 : 1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 12 March 2026 until 30 November 2026 Trading and Listing Start Date 12 March 2026 Trading End Dates in Regular and Negotiated Markets 25 November 2026 Trading End Date in Cash Market 27 November 2026 Delisiting Date 30 November 2026 Start Date for Implementation of Structured Warrant 30 November 2026 End Date for Implementation of Structured Warrant 30 November 2026 Publication Plan 500.000.000 Unit
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Registration of Structured Warrants Name of Structured Warrant Call Warrant SMRA ZP Exp 30 November 2026 Underlying Asset SMRA Code Of Structured Warrant SMRAZPCX6A Securities Number (ISIN) ID4000204302 Type Of Structured Warrant CALL Structured Warrant Offering Price 23 Structured Warrant Execution Price 400 Amount of Structured Warrant 500,000,000 Structured Warrant Conversion Ratio 3:1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 12 March 2026 until 30 November 2026 Trading and Listing Start Date 12 March 2026 Trading End Dates in Regular and Negotiated Markets 25 November 2026 Trading End Date in Cash Market 27 November 2026 Delisiting Date 30 November 2026 Start Date for Implementation of Structured Warrant 30 November 2026 End Date for Implementation of Structured Warrant 30 November 2026 Publication Plan 500.000.000 Unit
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Registration of Structured Warrants Name of Structured Warrant Call Warrant ADMR ZP Exp 30 November 2026 Underlying Asset ADMR Code Of Structured Warrant ADMRZPCX6A Securities Number (ISIN) ID4000202801 Type Of Structured Warrant CALL Structured Warrant Offering Price 40 Structured Warrant Execution Price 2,200 Amount of Structured Warrant 500,000,000 Structured Warrant Conversion Ratio 10 : 1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 12 March 2026 until 30 November 2026 Trading and Listing Start Date 12 March 2026 Trading End Dates in Regular and Negotiated Markets 25 November 2026 Trading End Date in Cash Market 27 November 2026 Delisiting Date 30 November 2026 Start Date for Implementation of Structured Warrant 30 November 2026 End Date for Implementation of Structured Warrant 30 November 2026 Publication Plan 500.000.000 Unit
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Registration of Structured Warrants Name of Structured Warrant Call Warrant ANTM ZP Exp 30 November 2026 Underlying Asset ANTM Code Of Structured Warrant ANTMZPCX6A Securities Number (ISIN) ID4000202900 Type Of Structured Warrant CALL Structured Warrant Offering Price 54 Structured Warrant Execution Price 4,500 Amount of Structured Warrant 500,000,000 Structured Warrant Conversion Ratio 15 : 1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 12 March 2026 until 30 November 2026 Trading and Listing Start Date 12 March 2026 Trading End Dates in Regular and Negotiated Markets 25 November 2026 Trading End Date in Cash Market 27 November 2026 Delisiting Date 30 November 2026 Start Date for Implementation of Structured Warrant 30 November 2026 End Date for Implementation of Structured Warrant 30 November 2026 Publication Plan 500.000.000 Unit
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Registration of Structured Warrants Name of Structured Warrant Call Warrant BBNI ZP Exp 30 November 2026 Underlying Asset BBNI Code Of Structured Warrant BBNIZPCX6A Securities Number (ISIN) ID4000203007 Type Of Structured Warrant CALL Structured Warrant Offering Price 42 Structured Warrant Execution Price 4,750 Amount of Structured Warrant 500,000,000 Structured Warrant Conversion Ratio 17 : 1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 12 March 2026 until 30 November 2026 Trading and Listing Start Date 12 March 2026 Trading End Dates in Regular and Negotiated Markets 25 November 2026 Trading End Date in Cash Market 27 November 2026 Delisiting Date 30 November 2026 Start Date for Implementation of Structured Warrant 30 November 2026 End Date for Implementation of Structured Warrant 30 November 2026 Publication Plan 500.000.000 Unit
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Registration of Structured Warrants Name of Structured Warrant Call Warrant BBTN ZP Exp 30 November 2026 Underlying Asset BBTN Code Of Structured Warrant BBTNZPCX6A Securities Number (ISIN) ID4000203106 Type Of Structured Warrant CALL Structured Warrant Offering Price 40 Structured Warrant Execution Price 1,550 Amount of Structured Warrant 500,000,000 Structured Warrant Conversion Ratio 5:1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 12 March 2026 until 30 November 2026 Trading and Listing Start Date 12 March 2026 Trading End Dates in Regular and Negotiated Markets 25 November 2026 Trading End Date in Cash Market 27 November 2026 Delisiting Date 30 November 2026 Start Date for Implementation of Structured Warrant 30 November 2026 End Date for Implementation of Structured Warrant 30 November 2026 Publication Plan 500.000.000 Unit
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Registration of Structured Warrants
Name of Structured Warrant Call Warrant BMRI ZP Exp 30 November 2026
Underlying Asset BMRI
Code Of Structured Warrant BMRIZPCX6A
Securities Number (ISIN) ID4000203205
Type Of Structured Warrant CALL
Structured Warrant Offering Price 51
Structured Warrant Execution Price 5,500
Amount of Structured Warrant 500,000,000
Structured Warrant Conversion Ratio 16 : 1
Structured Warranty Information COLLATERALIZED
Structured Warrant Settlement Type TUNAI
Structured Warrant Validity Period 12 March 2026 until 30 November 2026
Trading and Listing Start Date 12 March 2026
Trading End Dates in Regular and Negotiated Markets 25 November 2026
Trading End Date in Cash Market 27 November 2026
Delisiting Date 30 November 2026
Start Date for Implementation of Structured Warrant 30 November 2026
End Date for Implementation of Structured Warrant 30 November 2026
Publication Plan 500.000.000 Unit
Thus to be informed accordingly.
Respectfully,
Indonesia Stock Exchange
Lidia M. Panjaitan Pande Made Kusuma Ari A
Kadiv Penilaian Perusahaan 3 Kadiv Pengaturan & Operasional Perdagangan
Indonesia Stock Exchange
Indonesia Stock Exchange Building Tower 1, 6th Floor
Jl. Jendral Sudirman Kav 52-53 Jakarta Selatan 12190, Indonesia
Phone (+6221) 5150515, Fax (+6221) 5150330, Toll Free: 0800-100-9000, www.idx.co.id
Page 34
Date and Time 12-03-2026 19:46
Attachment 1. Term Sheet Final ZP 12.pdf
This is an official document of the Indonesia Stock Exchange that does not require a signature as it was generated
electronically by the electronic reporting system. Indonesia Stock Exchange is fully responsible for the information
contained within this document.
Names mentioned 4 people and organisations named in the text · linked when the evidence is strong
unresolved
org
PT Bursa Efek Indonesia Lidia M. Panjaitan
p.16
unresolved
org
Indonesia Stock Exchange
p.33 ×5
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