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20260119_DR_Pencatatan Structured Warrant_32020798.pdf
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PENGUMUMAN BURSA
Pencatatan Structured Warrant
RHB SEKURITAS INDONESIA (DR) - DR
No. Peng-P-00110/BEI.PP3/01-2026
Bursa memutuskan untuk melakukan pencatatan efek :
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant ANTM DR Exp 02 Juli 2026
Underlying Asset ANTM
Kode Structured Warrant ANTMDRCN6A
Securities Number (ISIN) ID4000192101
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 121
Harga Pelaksanaan Structured Warrant 5,525
Jumlah Structured Warrant 100,000,000
Rasio Konversi Structured Warrant 4,5 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 20 Januari 2026 s/d 02 Juli 2026
Tanggal Mulai Perdagangan dan Pencatatan 20 Januari 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
29 Juni 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 01 Juli 2026
Tanggal Delisiting 02 Juli 2026
Tanggal Mulai Pelaksanaan Structured Warrant 02 Juli 2026
Tanggal Akhir Pelaksanaan Structured Warrant 02 Juli 2026
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Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant BMRI DR Exp 02 Juli 2026
Underlying Asset BMRI
Kode Structured Warrant BMRIDRCN6A
Securities Number (ISIN) ID4000192200
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 72
Harga Pelaksanaan Structured Warrant 6,300
Jumlah Structured Warrant 100,000,000
Rasio Konversi Structured Warrant 8:1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 20 Januari 2026 s/d 02 Juli 2026
Tanggal Mulai Perdagangan dan Pencatatan 20 Januari 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
29 Juni 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 01 Juli 2026
Tanggal Delisiting 02 Juli 2026
Tanggal Mulai Pelaksanaan Structured Warrant 02 Juli 2026
Tanggal Akhir Pelaksanaan Structured Warrant 02 Juli 2026
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Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant BRMS DR Exp 02 Juli 2026
Underlying Asset BRMS
Kode Structured Warrant BRMSDRCN6A
Securities Number (ISIN) ID4000192309
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 88
Harga Pelaksanaan Structured Warrant 1,625
Jumlah Structured Warrant 100,000,000
Rasio Konversi Structured Warrant 3:1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 20 Januari 2026 s/d 02 Juli 2026
Tanggal Mulai Perdagangan dan Pencatatan 20 Januari 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
29 Juni 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 01 Juli 2026
Tanggal Delisiting 02 Juli 2026
Tanggal Mulai Pelaksanaan Structured Warrant 02 Juli 2026
Tanggal Akhir Pelaksanaan Structured Warrant 02 Juli 2026
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Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant CPIN DR Exp 02 Juli 2026
Underlying Asset CPIN
Kode Structured Warrant CPINDRCN6A
Securities Number (ISIN) ID4000192408
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 66
Harga Pelaksanaan Structured Warrant 5,475
Jumlah Structured Warrant 100,000,000
Rasio Konversi Structured Warrant 9:1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 20 Januari 2026 s/d 02 Juli 2026
Tanggal Mulai Perdagangan dan Pencatatan 20 Januari 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
29 Juni 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 01 Juli 2026
Tanggal Delisiting 02 Juli 2026
Tanggal Mulai Pelaksanaan Structured Warrant 02 Juli 2026
Tanggal Akhir Pelaksanaan Structured Warrant 02 Juli 2026
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Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant ENRG DR Exp 02 Juli 2026
Underlying Asset ENRG
Kode Structured Warrant ENRGDRCN6A
Securities Number (ISIN) ID4000192507
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 99
Harga Pelaksanaan Structured Warrant 2,100
Jumlah Structured Warrant 100,000,000
Rasio Konversi Structured Warrant 3:1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 20 Januari 2026 s/d 02 Juli 2026
Tanggal Mulai Perdagangan dan Pencatatan 20 Januari 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
29 Juni 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 01 Juli 2026
Tanggal Delisiting 02 Juli 2026
Tanggal Mulai Pelaksanaan Structured Warrant 02 Juli 2026
Tanggal Akhir Pelaksanaan Structured Warrant 02 Juli 2026
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Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant GOTO DR Exp 02 Juli 2026
Underlying Asset GOTO
Kode Structured Warrant GOTODRCN6A
Securities Number (ISIN) ID4000192606
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 21
Harga Pelaksanaan Structured Warrant 62
Jumlah Structured Warrant 300,000,000
Rasio Konversi Structured Warrant 1,2 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 20 Januari 2026 s/d 02 Juli 2026
Tanggal Mulai Perdagangan dan Pencatatan 20 Januari 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
29 Juni 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 01 Juli 2026
Tanggal Delisiting 02 Juli 2026
Tanggal Mulai Pelaksanaan Structured Warrant 02 Juli 2026
Tanggal Akhir Pelaksanaan Structured Warrant 02 Juli 2026
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Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant INKP DR Exp 02 Juli 2026
Underlying Asset INKP
Kode Structured Warrant INKPDRCN6A
Securities Number (ISIN) ID4000192705
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 144
Harga Pelaksanaan Structured Warrant 12,200
Jumlah Structured Warrant 100,000,000
Rasio Konversi Structured Warrant 13 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 20 Januari 2026 s/d 02 Juli 2026
Tanggal Mulai Perdagangan dan Pencatatan 20 Januari 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
29 Juni 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 01 Juli 2026
Tanggal Delisiting 02 Juli 2026
Tanggal Mulai Pelaksanaan Structured Warrant 02 Juli 2026
Tanggal Akhir Pelaksanaan Structured Warrant 02 Juli 2026
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Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant ISAT DR Exp 02 Juli 2026
Underlying Asset ISAT
Kode Structured Warrant ISATDRCN6A
Securities Number (ISIN) ID4000192804
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 52
Harga Pelaksanaan Structured Warrant 2,790
Jumlah Structured Warrant 150,000,000
Rasio Konversi Structured Warrant 5:1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 20 Januari 2026 s/d 02 Juli 2026
Tanggal Mulai Perdagangan dan Pencatatan 20 Januari 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
29 Juni 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 01 Juli 2026
Tanggal Delisiting 02 Juli 2026
Tanggal Mulai Pelaksanaan Structured Warrant 02 Juli 2026
Tanggal Akhir Pelaksanaan Structured Warrant 02 Juli 2026
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Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant KLBF DR Exp 02 Juli 2026
Underlying Asset KLBF
Kode Structured Warrant KLBFDRCN6A
Securities Number (ISIN) ID4000192903
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 32
Harga Pelaksanaan Structured Warrant 1,600
Jumlah Structured Warrant 250,000,000
Rasio Konversi Structured Warrant 4:1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 20 Januari 2026 s/d 02 Juli 2026
Tanggal Mulai Perdagangan dan Pencatatan 20 Januari 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
29 Juni 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 01 Juli 2026
Tanggal Delisiting 02 Juli 2026
Tanggal Mulai Pelaksanaan Structured Warrant 02 Juli 2026
Tanggal Akhir Pelaksanaan Structured Warrant 02 Juli 2026
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Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant MBMA DR Exp 02 Juli 2026
Underlying Asset MBMA
Kode Structured Warrant MBMADRCN6A
Securities Number (ISIN) ID4000193000
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 63
Harga Pelaksanaan Structured Warrant 1,160
Jumlah Structured Warrant 150,000,000
Rasio Konversi Structured Warrant 2:1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 20 Januari 2026 s/d 02 Juli 2026
Tanggal Mulai Perdagangan dan Pencatatan 20 Januari 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
29 Juni 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 01 Juli 2026
Tanggal Delisiting 02 Juli 2026
Tanggal Mulai Pelaksanaan Structured Warrant 02 Juli 2026
Tanggal Akhir Pelaksanaan Structured Warrant 02 Juli 2026
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Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant PANI DR Exp 02 Juli 2026
Underlying Asset PANI
Kode Structured Warrant PANIDRCN6A
Securities Number (ISIN) ID4000193109
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 62
Harga Pelaksanaan Structured Warrant 16,100
Jumlah Structured Warrant 100,000,000
Rasio Konversi Structured Warrant 35 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 20 Januari 2026 s/d 02 Juli 2026
Tanggal Mulai Perdagangan dan Pencatatan 20 Januari 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
29 Juni 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 01 Juli 2026
Tanggal Delisiting 02 Juli 2026
Tanggal Mulai Pelaksanaan Structured Warrant 02 Juli 2026
Tanggal Akhir Pelaksanaan Structured Warrant 02 Juli 2026
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Page 12
Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant PGAS DR Exp 02 Juli 2026
Underlying Asset PGAS
Kode Structured Warrant PGASDRCN6A
Securities Number (ISIN) ID4000193208
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 106
Harga Pelaksanaan Structured Warrant 2,540
Jumlah Structured Warrant 100,000,000
Rasio Konversi Structured Warrant 2,5 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 20 Januari 2026 s/d 02 Juli 2026
Tanggal Mulai Perdagangan dan Pencatatan 20 Januari 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
29 Juni 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 01 Juli 2026
Tanggal Delisiting 02 Juli 2026
Tanggal Mulai Pelaksanaan Structured Warrant 02 Juli 2026
Tanggal Akhir Pelaksanaan Structured Warrant 02 Juli 2026
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Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant PTBA DR Exp 02 Juli 2026
Underlying Asset PTBA
Kode Structured Warrant PTBADRCN6A
Securities Number (ISIN) ID4000193307
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 29
Harga Pelaksanaan Structured Warrant 3,050
Jumlah Structured Warrant 250,000,000
Rasio Konversi Structured Warrant 10 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 20 Januari 2026 s/d 02 Juli 2026
Tanggal Mulai Perdagangan dan Pencatatan 20 Januari 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
29 Juni 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 01 Juli 2026
Tanggal Delisiting 02 Juli 2026
Tanggal Mulai Pelaksanaan Structured Warrant 02 Juli 2026
Tanggal Akhir Pelaksanaan Structured Warrant 02 Juli 2026
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Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant PTRO DR Exp 02 Juli 2026
Underlying Asset PTRO
Kode Structured Warrant PTRODRCN6A
Securities Number (ISIN) ID4000193406
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 173
Harga Pelaksanaan Structured Warrant 18,600
Jumlah Structured Warrant 100,000,000
Rasio Konversi Structured Warrant 14 : 1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 20 Januari 2026 s/d 02 Juli 2026
Tanggal Mulai Perdagangan dan Pencatatan 20 Januari 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
29 Juni 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 01 Juli 2026
Tanggal Delisiting 02 Juli 2026
Tanggal Mulai Pelaksanaan Structured Warrant 02 Juli 2026
Tanggal Akhir Pelaksanaan Structured Warrant 02 Juli 2026
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Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant SCMA DR Exp 02 Juli 2026
Underlying Asset SCMA
Kode Structured Warrant SCMADRCN6A
Securities Number (ISIN) ID4000193505
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 36
Harga Pelaksanaan Structured Warrant 454
Jumlah Structured Warrant 150,000,000
Rasio Konversi Structured Warrant 1:1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 20 Januari 2026 s/d 02 Juli 2026
Tanggal Mulai Perdagangan dan Pencatatan 20 Januari 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
29 Juni 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 01 Juli 2026
Tanggal Delisiting 02 Juli 2026
Tanggal Mulai Pelaksanaan Structured Warrant 02 Juli 2026
Tanggal Akhir Pelaksanaan Structured Warrant 02 Juli 2026
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Pencatatan Structurred Warrant
Nama Structurred Warrant Call Warrant SMGR DR Exp 02 Juli 2026
Underlying Asset SMGR
Kode Structured Warrant SMGRDRCN6A
Securities Number (ISIN) ID4000193604
Jenis Structured Warrant CALL
Harga Penawaran Structured Warrant 39
Harga Pelaksanaan Structured Warrant 3,400
Jumlah Structured Warrant 150,000,000
Rasio Konversi Structured Warrant 7:1
Informasi Jaminan Structured Warrant COLLATERALIZED
Jenis Penyelesaian Structured Warrant TUNAI
Masa Berlaku Structured Warrant 20 Januari 2026 s/d 02 Juli 2026
Tanggal Mulai Perdagangan dan Pencatatan 20 Januari 2026
Tanggal Akhir Perdagangan di Pasar Reguler dan
29 Juni 2026
Negosiasi
Tanggal Akhir Perdagangan di Pasar Tunai 01 Juli 2026
Tanggal Delisiting 02 Juli 2026
Tanggal Mulai Pelaksanaan Structured Warrant 02 Juli 2026
Tanggal Akhir Pelaksanaan Structured Warrant 02 Juli 2026
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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 19-01-2026 19:37
Lampiran 1. Term Sheet WT SCMADRCN6A.pdf
2. Term Sheet WT SMGRDRCN6A.pdf
3. Term Sheet WT BRMSDRCN6A.pdf
4. Term Sheet WT GOTODRCN6A.pdf
5. Term Sheet Final RHB 27.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
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EXCHANGE ANNOUNCEMENT
Structured Warrant Listing
RHB SEKURITAS INDONESIA (DR) - DR
No. Peng-P-00110/BEI.PP3/01-2026
The Exchange hereby announce the following :
Registration of Structured Warrants
Name of Structured Warrant Call Warrant ANTM DR Exp 02 Juli 2026
Underlying Asset ANTM
Code Of Structured Warrant ANTMDRCN6A
Securities Number (ISIN) ID4000192101
Type Of Structured Warrant CALL
Structured Warrant Offering Price 121
Structured Warrant Execution Price 5,525
Amount of Structured Warrant 100,000,000
Structured Warrant Conversion Ratio 4,5 : 1
Structured Warranty Information COLLATERALIZED
Structured Warrant Settlement Type TUNAI
Structured Warrant Validity Period 20 January 2026 until 02 July 2026
Trading and Listing Start Date 20 January 2026
Trading End Dates in Regular and Negotiated Markets 29 June 2026
Trading End Date in Cash Market 01 July 2026
Delisiting Date 02 July 2026
Start Date for Implementation of Structured Warrant 02 July 2026
End Date for Implementation of Structured Warrant 02 July 2026
Publication Plan 0.0
Page 19
Registration of Structured Warrants Name of Structured Warrant Call Warrant BMRI DR Exp 02 Juli 2026 Underlying Asset BMRI Code Of Structured Warrant BMRIDRCN6A Securities Number (ISIN) ID4000192200 Type Of Structured Warrant CALL Structured Warrant Offering Price 72 Structured Warrant Execution Price 6,300 Amount of Structured Warrant 100,000,000 Structured Warrant Conversion Ratio 8:1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 20 January 2026 until 02 July 2026 Trading and Listing Start Date 20 January 2026 Trading End Dates in Regular and Negotiated Markets 29 June 2026 Trading End Date in Cash Market 01 July 2026 Delisiting Date 02 July 2026 Start Date for Implementation of Structured Warrant 02 July 2026 End Date for Implementation of Structured Warrant 02 July 2026 Publication Plan 0.0
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Registration of Structured Warrants Name of Structured Warrant Call Warrant BRMS DR Exp 02 Juli 2026 Underlying Asset BRMS Code Of Structured Warrant BRMSDRCN6A Securities Number (ISIN) ID4000192309 Type Of Structured Warrant CALL Structured Warrant Offering Price 88 Structured Warrant Execution Price 1,625 Amount of Structured Warrant 100,000,000 Structured Warrant Conversion Ratio 3:1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 20 January 2026 until 02 July 2026 Trading and Listing Start Date 20 January 2026 Trading End Dates in Regular and Negotiated Markets 29 June 2026 Trading End Date in Cash Market 01 July 2026 Delisiting Date 02 July 2026 Start Date for Implementation of Structured Warrant 02 July 2026 End Date for Implementation of Structured Warrant 02 July 2026 Publication Plan 0.0
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Registration of Structured Warrants Name of Structured Warrant Call Warrant CPIN DR Exp 02 Juli 2026 Underlying Asset CPIN Code Of Structured Warrant CPINDRCN6A Securities Number (ISIN) ID4000192408 Type Of Structured Warrant CALL Structured Warrant Offering Price 66 Structured Warrant Execution Price 5,475 Amount of Structured Warrant 100,000,000 Structured Warrant Conversion Ratio 9:1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 20 January 2026 until 02 July 2026 Trading and Listing Start Date 20 January 2026 Trading End Dates in Regular and Negotiated Markets 29 June 2026 Trading End Date in Cash Market 01 July 2026 Delisiting Date 02 July 2026 Start Date for Implementation of Structured Warrant 02 July 2026 End Date for Implementation of Structured Warrant 02 July 2026 Publication Plan 0.0
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Registration of Structured Warrants Name of Structured Warrant Call Warrant ENRG DR Exp 02 Juli 2026 Underlying Asset ENRG Code Of Structured Warrant ENRGDRCN6A Securities Number (ISIN) ID4000192507 Type Of Structured Warrant CALL Structured Warrant Offering Price 99 Structured Warrant Execution Price 2,100 Amount of Structured Warrant 100,000,000 Structured Warrant Conversion Ratio 3:1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 20 January 2026 until 02 July 2026 Trading and Listing Start Date 20 January 2026 Trading End Dates in Regular and Negotiated Markets 29 June 2026 Trading End Date in Cash Market 01 July 2026 Delisiting Date 02 July 2026 Start Date for Implementation of Structured Warrant 02 July 2026 End Date for Implementation of Structured Warrant 02 July 2026 Publication Plan 0.0
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Registration of Structured Warrants Name of Structured Warrant Call Warrant GOTO DR Exp 02 Juli 2026 Underlying Asset GOTO Code Of Structured Warrant GOTODRCN6A Securities Number (ISIN) ID4000192606 Type Of Structured Warrant CALL Structured Warrant Offering Price 21 Structured Warrant Execution Price 62 Amount of Structured Warrant 300,000,000 Structured Warrant Conversion Ratio 1,2 : 1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 20 January 2026 until 02 July 2026 Trading and Listing Start Date 20 January 2026 Trading End Dates in Regular and Negotiated Markets 29 June 2026 Trading End Date in Cash Market 01 July 2026 Delisiting Date 02 July 2026 Start Date for Implementation of Structured Warrant 02 July 2026 End Date for Implementation of Structured Warrant 02 July 2026 Publication Plan 0.0
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Registration of Structured Warrants Name of Structured Warrant Call Warrant INKP DR Exp 02 Juli 2026 Underlying Asset INKP Code Of Structured Warrant INKPDRCN6A Securities Number (ISIN) ID4000192705 Type Of Structured Warrant CALL Structured Warrant Offering Price 144 Structured Warrant Execution Price 12,200 Amount of Structured Warrant 100,000,000 Structured Warrant Conversion Ratio 13 : 1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 20 January 2026 until 02 July 2026 Trading and Listing Start Date 20 January 2026 Trading End Dates in Regular and Negotiated Markets 29 June 2026 Trading End Date in Cash Market 01 July 2026 Delisiting Date 02 July 2026 Start Date for Implementation of Structured Warrant 02 July 2026 End Date for Implementation of Structured Warrant 02 July 2026 Publication Plan 0.0
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Registration of Structured Warrants Name of Structured Warrant Call Warrant ISAT DR Exp 02 Juli 2026 Underlying Asset ISAT Code Of Structured Warrant ISATDRCN6A Securities Number (ISIN) ID4000192804 Type Of Structured Warrant CALL Structured Warrant Offering Price 52 Structured Warrant Execution Price 2,790 Amount of Structured Warrant 150,000,000 Structured Warrant Conversion Ratio 5:1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 20 January 2026 until 02 July 2026 Trading and Listing Start Date 20 January 2026 Trading End Dates in Regular and Negotiated Markets 29 June 2026 Trading End Date in Cash Market 01 July 2026 Delisiting Date 02 July 2026 Start Date for Implementation of Structured Warrant 02 July 2026 End Date for Implementation of Structured Warrant 02 July 2026 Publication Plan 0.0
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Registration of Structured Warrants Name of Structured Warrant Call Warrant KLBF DR Exp 02 Juli 2026 Underlying Asset KLBF Code Of Structured Warrant KLBFDRCN6A Securities Number (ISIN) ID4000192903 Type Of Structured Warrant CALL Structured Warrant Offering Price 32 Structured Warrant Execution Price 1,600 Amount of Structured Warrant 250,000,000 Structured Warrant Conversion Ratio 4:1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 20 January 2026 until 02 July 2026 Trading and Listing Start Date 20 January 2026 Trading End Dates in Regular and Negotiated Markets 29 June 2026 Trading End Date in Cash Market 01 July 2026 Delisiting Date 02 July 2026 Start Date for Implementation of Structured Warrant 02 July 2026 End Date for Implementation of Structured Warrant 02 July 2026 Publication Plan 0.0
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Registration of Structured Warrants Name of Structured Warrant Call Warrant MBMA DR Exp 02 Juli 2026 Underlying Asset MBMA Code Of Structured Warrant MBMADRCN6A Securities Number (ISIN) ID4000193000 Type Of Structured Warrant CALL Structured Warrant Offering Price 63 Structured Warrant Execution Price 1,160 Amount of Structured Warrant 150,000,000 Structured Warrant Conversion Ratio 2:1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 20 January 2026 until 02 July 2026 Trading and Listing Start Date 20 January 2026 Trading End Dates in Regular and Negotiated Markets 29 June 2026 Trading End Date in Cash Market 01 July 2026 Delisiting Date 02 July 2026 Start Date for Implementation of Structured Warrant 02 July 2026 End Date for Implementation of Structured Warrant 02 July 2026 Publication Plan 0.0
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Registration of Structured Warrants Name of Structured Warrant Call Warrant PANI DR Exp 02 Juli 2026 Underlying Asset PANI Code Of Structured Warrant PANIDRCN6A Securities Number (ISIN) ID4000193109 Type Of Structured Warrant CALL Structured Warrant Offering Price 62 Structured Warrant Execution Price 16,100 Amount of Structured Warrant 100,000,000 Structured Warrant Conversion Ratio 35 : 1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 20 January 2026 until 02 July 2026 Trading and Listing Start Date 20 January 2026 Trading End Dates in Regular and Negotiated Markets 29 June 2026 Trading End Date in Cash Market 01 July 2026 Delisiting Date 02 July 2026 Start Date for Implementation of Structured Warrant 02 July 2026 End Date for Implementation of Structured Warrant 02 July 2026 Publication Plan 0.0
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Registration of Structured Warrants Name of Structured Warrant Call Warrant PGAS DR Exp 02 Juli 2026 Underlying Asset PGAS Code Of Structured Warrant PGASDRCN6A Securities Number (ISIN) ID4000193208 Type Of Structured Warrant CALL Structured Warrant Offering Price 106 Structured Warrant Execution Price 2,540 Amount of Structured Warrant 100,000,000 Structured Warrant Conversion Ratio 2,5 : 1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 20 January 2026 until 02 July 2026 Trading and Listing Start Date 20 January 2026 Trading End Dates in Regular and Negotiated Markets 29 June 2026 Trading End Date in Cash Market 01 July 2026 Delisiting Date 02 July 2026 Start Date for Implementation of Structured Warrant 02 July 2026 End Date for Implementation of Structured Warrant 02 July 2026 Publication Plan 0.0
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Registration of Structured Warrants Name of Structured Warrant Call Warrant PTBA DR Exp 02 Juli 2026 Underlying Asset PTBA Code Of Structured Warrant PTBADRCN6A Securities Number (ISIN) ID4000193307 Type Of Structured Warrant CALL Structured Warrant Offering Price 29 Structured Warrant Execution Price 3,050 Amount of Structured Warrant 250,000,000 Structured Warrant Conversion Ratio 10 : 1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 20 January 2026 until 02 July 2026 Trading and Listing Start Date 20 January 2026 Trading End Dates in Regular and Negotiated Markets 29 June 2026 Trading End Date in Cash Market 01 July 2026 Delisiting Date 02 July 2026 Start Date for Implementation of Structured Warrant 02 July 2026 End Date for Implementation of Structured Warrant 02 July 2026 Publication Plan 0.0
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Registration of Structured Warrants Name of Structured Warrant Call Warrant PTRO DR Exp 02 Juli 2026 Underlying Asset PTRO Code Of Structured Warrant PTRODRCN6A Securities Number (ISIN) ID4000193406 Type Of Structured Warrant CALL Structured Warrant Offering Price 173 Structured Warrant Execution Price 18,600 Amount of Structured Warrant 100,000,000 Structured Warrant Conversion Ratio 14 : 1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 20 January 2026 until 02 July 2026 Trading and Listing Start Date 20 January 2026 Trading End Dates in Regular and Negotiated Markets 29 June 2026 Trading End Date in Cash Market 01 July 2026 Delisiting Date 02 July 2026 Start Date for Implementation of Structured Warrant 02 July 2026 End Date for Implementation of Structured Warrant 02 July 2026 Publication Plan 0.0
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Registration of Structured Warrants Name of Structured Warrant Call Warrant SCMA DR Exp 02 Juli 2026 Underlying Asset SCMA Code Of Structured Warrant SCMADRCN6A Securities Number (ISIN) ID4000193505 Type Of Structured Warrant CALL Structured Warrant Offering Price 36 Structured Warrant Execution Price 454 Amount of Structured Warrant 150,000,000 Structured Warrant Conversion Ratio 1:1 Structured Warranty Information COLLATERALIZED Structured Warrant Settlement Type TUNAI Structured Warrant Validity Period 20 January 2026 until 02 July 2026 Trading and Listing Start Date 20 January 2026 Trading End Dates in Regular and Negotiated Markets 29 June 2026 Trading End Date in Cash Market 01 July 2026 Delisiting Date 02 July 2026 Start Date for Implementation of Structured Warrant 02 July 2026 End Date for Implementation of Structured Warrant 02 July 2026 Publication Plan 0.0
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Registration of Structured Warrants
Name of Structured Warrant Call Warrant SMGR DR Exp 02 Juli 2026
Underlying Asset SMGR
Code Of Structured Warrant SMGRDRCN6A
Securities Number (ISIN) ID4000193604
Type Of Structured Warrant CALL
Structured Warrant Offering Price 39
Structured Warrant Execution Price 3,400
Amount of Structured Warrant 150,000,000
Structured Warrant Conversion Ratio 7:1
Structured Warranty Information COLLATERALIZED
Structured Warrant Settlement Type TUNAI
Structured Warrant Validity Period 20 January 2026 until 02 July 2026
Trading and Listing Start Date 20 January 2026
Trading End Dates in Regular and Negotiated Markets 29 June 2026
Trading End Date in Cash Market 01 July 2026
Delisiting Date 02 July 2026
Start Date for Implementation of Structured Warrant 02 July 2026
End Date for Implementation of Structured Warrant 02 July 2026
Publication Plan 0.0
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 19-01-2026 19:37
Attachment 1. Term Sheet WT SCMADRCN6A.pdf
2. Term Sheet WT SMGRDRCN6A.pdf
3. Term Sheet WT BRMSDRCN6A.pdf
4. Term Sheet WT GOTODRCN6A.pdf
5. Term Sheet Final RHB 27.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 3 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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