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20230818_HEAL_Laporan Informasi dan Fakta Material_31372150.pdf

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 Nomor Surat                           4625/DIR/MH/VIII/2023

 Nama Perusahaan                       PT Medikaloka Hermina Tbk.

 Kode Emiten                           HEAL

 Lampiran                              1
                                       Laporan Informasi atau Fakta Material Laporan Kesiapan Dana Pelunasan
 Perihal
                                       (HEAL01ACN1)


Dengan ini kami untuk dan atas nama perusahaan menyampaikan Laporan Informasi atau Fakta Material sebagai
berikut:

 Nama Emiten atau Perusahaan Publik            PT Medikaloka Hermina Tbk.

 Bidang Usaha                                  Aktivitas Rumah Sakit Swasta

 Telepon                                       021 - 8572525

 Faksimili                                     021 - 8560601

 Alamat Surat Elektronik (email)               corporate.secretary@herminahospitals.com


 Tanggal Kejadian                              18 Agustus 2023
 Jenis Informasi atau Fakta Material           Laporan Kesiapan Dana Pelunasan (HEAL01ACN1)



 Uraian Informasi atau Fakta Material          Merujuk Peraturan I-E terkait Laporan Insidentil bagian IV.2.11
                                               PT Bursa Efek Indonesia, dengan ini disampaikan Laporan
                                               Kesiapan Dana Pelunasan Obligasi Berkelanjutan I
                                               Medikaloka Hermina Tahap I Tahun 2020 Seri A sebagai
                                               berikut:

                                               1.      Obligasi Berkelanjutan I Medikaloka Hermina Tahap I
                                               Tahun 2020 Seri A akan jatuh tempo pada tanggal 8
                                               September 2023.

                                               2.       Jumlah pokok Obligasi Berkelanjutan I Medikaloka
                                               Hermina Tahap I Tahun 2020 sebesar Rp425.500.000.000
                                               (empat ratus dua puluh lima miliar lima ratus juta rupiah) siap
                                               untuk dilunasi sesuai dengan tanggal jatuh tempo.

                                               3.        Perusahaan berencana untuk membayar pokok
                                               tersebut dengan kombinasi kas internal Perusahaan sebesar
                                               Rp125.500.000.000 (seratus dua puluh lima miliar lima ratus
                                               juta rupiah), yang saat ini berada dalam posisi kas dan bank
                                               Perusahaan, serta pinjaman dari bank Rp300.000.000.000
                                               (tiga ratus miliar rupiah), yang sudah mendapatkan
                                               persetujuan dan siap dicairkan untuk keperluan tersebut.

 Dampak kejadian, informasi atau fakta
 material tersebut terhadap kegiatan
 operasional, hukum, kondisi keuangan,
 atau kelangsungan usaha Emiten atau
 Perusahaan Publik



 Demikian untuk diketahui.


 Hormat Kami,
Page 2
PT Medikaloka Hermina Tbk.




Yulisar Khiat

Direktur Perusahaan




PT Medikaloka Hermina Tbk.
Jalan Raya Jatinegara Barat No. 126
Telepon : 021 - 8572525, Fax : 021 - 8560601, www.herminahospitals.com



Nama Pengirim                     Yulisar Khiat

Jabatan                           Direktur Perusahaan
Tanggal dan Waktu                 18-08-2023 16:36

Lampiran                         1. Lap Kesiapan Dana Pelunasan Obligasi.pdf


Dokumen ini merupakan dokumen resmi PT Medikaloka Hermina Tbk. yang tidak memerlukan tanda tangan karena
  dihasilkan secara elektronik oleh sistem pelaporan elektronik. PT Medikaloka Hermina Tbk. bertanggung jawab
                              penuh atas informasi yang tertera didalam dokumen ini.
Page 3
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 Letter / Announcement No.            4625/DIR/MH/VIII/2023

 Issuer Name                          PT Medikaloka Hermina Tbk.

 Issuer Code                          HEAL

 Attachment                           1

 Subject                              Material Information or Facts Report Fund Readiness of the Bond Repayment
                                      Report (HEAL01ACN1)

The company hereby announce the Material Information or Facts Report as follows

 Name of Issuer or Public Company             PT Medikaloka Hermina Tbk.

 Business Activities                          Aktivitas Rumah Sakit Swasta

 Telephone                                    021 - 8572525

 Faximile                                     021 - 8560601

 Email Address                                corporate.secretary@herminahospitals.com


 Date of Event                                18 August 2023

                                              Fund Readiness of the Bond Repayment Report
 Type of Material Information or Facts        (HEAL01ACN1)

 Description of Material Information or       Referring to Regulation I-E regarding Incidental Reports
 Facts                                        section IV.2.11 of the Indonesia Stock Exchange, we hereby
                                              submit the Fund Readiness of the Bond Repayment Report of
                                              Medikaloka Hermina Sustainable Continuity Bonds I Trance I
                                              Year 2020 Series A as follows:

                                              1. Medikaloka Hermina Sustainable Continuity Bonds I Trance
                                              I Year 2020 Series A will mature on September 8th, 2023.

                                              2. The principal amount of Medikaloka Hermina Sustainable
                                              Continuity Bonds I Trance I Year 2020 Series A is IDR
                                              425,500,000,000 (four hundred twenty five billion five hundred
                                              million rupiah) and is ready to be repaid on the maturity date.

                                              3. The Company plans to pay the principal with a combination
                                              of the Company's internal cash of IDR 125,500,000,000 (one
                                              hundred twenty five billion five hundred million rupiah), which is
                                              currently in the Company's cash and bank position, as well as
                                              loans from banks of IDR 300,000,000.000 (three hundred
                                              billion rupiah), which has been approved by the bank and is
                                              ready to be disbursed for this purpose.

 Impact of event, material information or
 facts towards Issuers or Public
 Company’s operational activities, legal,
 financial condition, or going concern




Thus to be informed accordingly.


Respectfully,
PT Medikaloka Hermina Tbk.
Page 4
Yulisar Khiat

Direktur Perusahaan




PT Medikaloka Hermina Tbk.
Jalan Raya Jatinegara Barat No. 126
Phone : 021 - 8572525, Fax : 021 - 8560601, www.herminahospitals.com



Sender Name                        Yulisar Khiat

Function                           Direktur Perusahaan

Date and Time                      18-08-2023 16:36

Attachment                         1. Lap Kesiapan Dana Pelunasan Obligasi.pdf


  This is an official document of PT Medikaloka Hermina Tbk. that does not require a signature as it was generated
      electronically by the electronic reporting system. PT Medikaloka Hermina Tbk. is fully responsible for the
                                      information contained within this document.

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