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20230714_SMKM_Laporan Penggunaan Dana Hasil Penawaran Umum_31341898.pdf

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 Nomor Surat                              093-SMK/EKS/VII/2023

 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 57.329.145.9 5.885.654.0
IPO Saham            SMKM
                              2022                  00           0           00            00           64          36

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
                                    38.120.424.262          2,25     %      Rekening           1 bulan       pihak Tiga
  IPO Saham             SMKM                                                Tabungan
                                                                           CIMB Niaga
                                    77.566.440.941            2      %                         1 bulan       pihak Tiga
                                                                          Rekening Giro
                                                                           CIMB Niaga
                                     165.135.585              2      %                         1 bulan       pihak Tiga
                                                                            Giro USD
                                                                          BCA Rekening
                                     137.526.459             0,9     %                         1 bulan       pihak Tiga
                                                                               Giro

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
                                                 57.329.145.964                       399.890.000          1        %
                                                                   Development
                                                 57.329.145.964     Modal kerja     56.929.255.964        99        %


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                 14-07-2023 17:28

Lampiran                          1. SMK -BEI- LRPD 30 Juni 2023- P.pdf


                                  2. SMK - Lamp LRPD 30 Juni 2023- P.pdf


                                  3. SMK - OJK-LRPD 30 Juni 2023- P.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                     093-SMK/EKS/VII/2023

 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 57,329,145,9 5,885,654,0
IPO Saham         SMKM
                                                  00            0           00           00           64          36


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
                                   38,120,424,262          2.25     %       Rekening               1 bulan           pihak Tiga
  IPO Saham             SMKM                                                Tabungan
                                                                           CIMB Niaga
                                   77,566,440,941           2       %                              1 bulan           pihak Tiga
                                                                          Rekening Giro
                                                                           CIMB Niaga
                                    165,135,585             2       %                              1 bulan           pihak Tiga
                                                                            Giro USD
                                                                          BCA Rekening
                                    137,526,459             0.9     %                              1 bulan           pihak Tiga
                                                                               Giro

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
                                                        57,329,145,964                        399,890,000           1         %
                                                                           Development
                                                        57,329,145,964      Modal kerja     56,929,255,964          99        %


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                      14-07-2023 17:28

Attachment                        1. SMK -BEI- LRPD 30 Juni 2023- P.pdf


                                  2. SMK - Lamp LRPD 30 Juni 2023- P.pdf


                                  3. SMK - OJK-LRPD 30 Juni 2023- P.pdf


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

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