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Page 1
Nomor/Number               : 144/VII/CS/2023                                                       Jakarta, 17 Juli 2023
Lampiran/Attachment        : 1 (satu/One) Materi Publikasi/Publication Material

Kepada Yth.
Otoritas Jasa Keuangan
Gedung Soemitro Djojohadikusumo
Jl. Lapangan Banteng Timur No. 2-4
Jakarta 10710
Up.      Kepala Eksekutif Pengawas Pasar Modal
         Executive Chief of the Capital Market Supervisory

Kepada Yth.
PT Bursa Efek Indonesia
Gedung Bursa Efek Indonesia Tower 1 Lantai 4
Jl. Jend. Sudirman Kav. 52-53, Jakarta 12910
Up.       Kepala Divisi Penilaian Perusahaan Group 1
          Corporate Valuation Division Group 1

 Perihal : Laporan Keterbukaan Informasi atau               Subjects : Information Disclosure Report or
           Fakta Material atas Jumlah Dana Yang                        Material Facts on the Amount of Funds
           Dihimpun Dalam Penawaran Umum                               Raised in the Shelf Public Offering of Bonds
           Berkelanjutan IV PT Wahana                                  IV PT Wahana Ottomitra Multiartha Tbk
           Ottomitra Multiartha Tbk


 Dengan Hormat,                                             With due respects,

 Merujuk Pasal 11 Peraturan Otoritas Jasa Keuangan          Referring to Article 11 of the Financial Services
 Nomor 36/POJK.04/2014 tentang Penawaran Umum               Authority Regulation Number 36/POJK.04/2014
                                                            concerning Continuing Public Offerings of Debt
 Berkelanjutan Efek Bersifat Utang Dan/Atau Sukuk,
                                                            Securities and/or Sukuk, PT Wahana Ottomitra
 dengan ini PT Wahana Ottomitra Multiartha Tbk              Multiartha Tbk (the "Company") hereby informs that
 ("Perseroan") menginformasikan bahwa Perseroan             the Company has raised funds through the issuance
 telah menghimpun dana melalui penerbitan Obligasi          of Shelf Public Offering of Bond IV WOM Finance.
 Berkelanjutan IV WOM Finance yang dilaksanakan             WOM Finance which is carried out in several stages
                                                            in the period 2020 to 2023, as follows:
 beberapa tahap pada periode tahun 2020 sampai
 dengan 2023, sebagai berikut:


                                               Dana Terhimpun/Collected                       Dana Tidak
             Target Dana/Fund Targets
    No                                                   Funds                       Terhimpun/Uncollected Funds
               PUB IV WOM Finance
                                                 PUB IV WOM Finance                      PUB IV WOM Finance
     1               Rp 5 triliun                    Rp 2,3 triliun                         Rp 2,7 triliun




 Surat Nomor 144/VII/CS/2023, perihal Laporan Keterbukaan   Letter number 144/VII/CS/2023, subjects Information Disclosure
 Informasi atas Jumlah Total Dana Yang Dihimpun Dalam       Report or Material Facts on the Amount of Funds Raised in the
 Penawaran Umum Berkelanjutan III PT Wahana Ottomitra       Shelf Public Offering of Bonds IV PT Wahana Ottomitra Multiartha
 Multiartha Tbk                                             Tbk
Page 2
Adapun alasan tidak terpenuhinya dana yang                 The reason for the non-fulfillment of the funds raised
dihimpun dari target dikarenakan kondisi pasar,            from the target was due to considerations of market
khususnya pasar obligasi yang terdampak pandemi            conditions especially the bond market which was
Covid-19 yang melanda sejak awal tahun 2020.               affected by the Covid-19 pandemic which has hit
                                                           since early 2020.

Demikian yang bisa kami sampaikan,                 atas    Thank you for kind attentions.
perhatiannya kami ucapkan terima kasih.

Hormat kami / Sincerely yours,
PT Wahana Ottomitra Multiartha Tbk




Cincin Lisa Hadi
Direktur/Sekretaris Perusahaan
Director/Corporate Secretary

Tembusan:                                                  Cc :
1. PT Bursa Efek Indonesia, Divisi Penilaian               1. PT Bursa Efek Indonesia, Service Sector
   Perusahaan Sektor Jasa                                       Company Assessment Division
2. Otoritas Jasa Keuangan – Kepala Eksekutif               2. Financial Services Authority – Executive Chief of
   Pengawas Sektor IKNB                                         IKNB Supervisory
3. PT Kustodian Sentral Efek Indonesia                     3. PT Kustodian Sentral Efek Indonesia
4. PT Bank Rakyat Indonesia Tbk – Wali Amanat              4. PT Bank Rakyat Indonesia Tbk (Persero) -
                                                                Trustee




Surat Nomor 144/VII/CS/2023, perihal Laporan Keterbukaan   Letter number 144/VII/CS/2023, subjects Information Disclosure
Informasi atas Jumlah Total Dana Yang Dihimpun Dalam       Report or Material Facts on the Amount of Funds Raised in the
Penawaran Umum Berkelanjutan III PT Wahana Ottomitra       Shelf Public Offering of Bonds IV PT Wahana Ottomitra Multiartha
Multiartha Tbk                                             Tbk
Page 3
                                                  PENGUMUMAN
Dalam rangka memenuhi ketentuan POJK No. 36/POJK.04/2014 tentang Penawaran Umum Berkelanjutan Efek
Bersifat Utang Dan/Atau Sukuk, bersama ini Perseroan memberitahukan bahwa Penawaran Umum Berkelanjutan
Obligasi Berkelanjutan IV WOM Finance Dengan Tingkat Bunga Tetap (“PUB IV”) yang telah menjadi efektif pada
tanggal 16 Juli 2021 dengan target dana yang direncanakan dihimpun sebesar Rp5.000.000.000.000,00 (lima
triliun Rupiah), masa penawaran sampai dengan 2 (dua) tahun telah berakhir pada tanggal 16 Juli 2023.

Selama periode PUB IV PT Wahana Ottomitra Multiartha Tbk telah melaksanakan penerbitan Obligasi dalam 3
(tiga) tahap yaitu :


                                     Total Nilai              Tingkat       Jangka             Jatuh           Nilai Emisi
 Tahap        Nama Obligasi                         Seri
                                     Emisi (Rp)               Bunga         Waktu             Tempo           per Seri (Rp)

          Obligasi                                                                          8 Agustus
                                                     A        5,50%        370 hari                             302 miliar
          Berkelanjutan IV                                                                    2022
    I                                500 miliar
          WOM Finance Tahap I
          Tahun 2021                                 B        7,00%        36 bulan        28 Juli 2024         198 miliar

          Obligasi                                                                           18 April
                                                     A        4,25%        370 hari                             335 miliar
          Berkelanjutan IV                                                                    2023
   II                                800 miliar
          WOM Finance Tahap
          II Tahun 2022                              B        6,30%        36 bulan        8 April 2025         465 miliar

                                                                                             21 April
          Obligasi                                   A        5,95%        370 hari                             221 miliar
                                                                                              2024
          Berkelanjutan IV
   III                                1 triliun
          WOM Finance Tahap
                                                                                             11 April
          III Tahun 2023                             B        7,00%        36 bulan                             779 miliar
                                                                                              2026


Dengan demikian jumlah dana yang dihimpun dalam rangka PUB IV tersebut seluruhnya berjumlah
Rp2.300.000.000.000,0 (dua triliun tiga ratus miliar Rupiah). Adapun sisa dana yang tidak dihimpun pada PUB IV
adalah sebesar Rp2.700.000.000.000,0 (dua triliun tujuh ratus miliar Rupiah) yang tidak diterbitkan melalui PUB
IV, karena kondisi pasar, khususnya pasar obligasi yang terdampak pandemi Covid-19 yang melanda sejak awal
tahun 2020.
                                              Jakarta, 17 Juli 2023
                                     PT Wahana Ottomitra Multiartha Tbk
                                                     Direksi




   Surat Nomor 144/VII/CS/2023, perihal Laporan Keterbukaan    Letter number 144/VII/CS/2023, subjects Information Disclosure
   Informasi atas Jumlah Total Dana Yang Dihimpun Dalam        Report or Material Facts on the Amount of Funds Raised in the
   Penawaran Umum Berkelanjutan III PT Wahana Ottomitra        Shelf Public Offering of Bonds IV PT Wahana Ottomitra Multiartha
   Multiartha Tbk                                              Tbk
Page 4
                                             ANNOUNCEMENT
In order to comply with POJK No. 36/POJK.04/2014 concerning the Shelf Public Offering of Securities and/or
Sukuk, the Company hereby informs the Shelf Public Offering of Bonds IV WOM Finance with a fixed interest rate
("PUB IV") which has become effective on 16 July 2021 with a target fund that planned to be collected in the
amount of Rp5.000.000.000.000,00 (five trillion rupiah), the offering period up to 2 (two) years has ended on 16
July 2023.

During the PUB IV period PT Wahana Ottomitra Multiartha Tbk has carried out bond issuance in 3 (three) stages,
namely :


                                     Total                                                                      Emission
                                                             Interest
 Phase        BOND Name             Emission      Series                    Period              Due             Value per
                                                               Rate
                                   Value (Rp)                                                                  Series (Rp)

          Shelf Public Offering                                                              8 August
                                                     A       5.50%         370 days                            302 billion
           of Bond IV WOM                                                                      2022
    I                              500 billion
            Finance Phase
               I Year 2021                           B       7.00%       36 months         28 July 2024        198 billion

          Shelf Public Offering                                                               18 April
                                                     A       4.25%         370 days                            335 billion
           of Bond IV WOM                                                                      2023
   II                              800 billion
            Finance Phase
              II Year 2022                           B       6.30%       36 months         8 April 2025        465 billion

                                                                                              21 April
          Shelf Public Offering                      A       5.95%         370 days                            221 billion
                                                                                               2024
           of Bond IV WOM
   III                              1 trillion
            Finance Phase
                                                                                              11 April
              III Year 2023                          B       7.00%       36 months                             779 billion
                                                                                               2026


The funds raised in the framework of PUB IV has a total amount of Rp2,300,000,000,000.- (two trillion three
hundred billion Rupiah). The remaining funds were not raised at PUB IV with the amount Rp2,700,000,000,000.-.
(two trillion seven hundred billion Rupiah) which were not issued through PUB IV due to considerations of
market conditions especially the bond market which was affected by the Covid-19 pandemic which has hit since
early 2020.
                                             Jakarta, July 17 2023
                                    PT Wahana Ottomitra Multiartha Tbk
                                               Board of Director




  Surat Nomor 144/VII/CS/2023, perihal Laporan Keterbukaan   Letter number 144/VII/CS/2023, subjects Information Disclosure
  Informasi atas Jumlah Total Dana Yang Dihimpun Dalam       Report or Material Facts on the Amount of Funds Raised in the
  Penawaran Umum Berkelanjutan III PT Wahana Ottomitra       Shelf Public Offering of Bonds IV PT Wahana Ottomitra Multiartha
  Multiartha Tbk                                             Tbk

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