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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

     Rencana Penerbitan SW Tambahan untuk
                                                            0.0
     memfasilitasi LP
Page 2
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

 Rencana Penerbitan SW Tambahan untuk
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Page 3
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

 Rencana Penerbitan SW Tambahan untuk
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Page 4
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

 Rencana Penerbitan SW Tambahan untuk
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Page 5
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

 Rencana Penerbitan SW Tambahan untuk
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 memfasilitasi LP
Page 6
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

 Rencana Penerbitan SW Tambahan untuk
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Page 7
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

 Rencana Penerbitan SW Tambahan untuk
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Page 8
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

 Rencana Penerbitan SW Tambahan untuk
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 memfasilitasi LP
Page 9
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

 Rencana Penerbitan SW Tambahan untuk
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Page 10
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

 Rencana Penerbitan SW Tambahan untuk
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Page 11
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

 Rencana Penerbitan SW Tambahan untuk
                                                  0.0
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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

 Rencana Penerbitan SW Tambahan untuk
                                                  0.0
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Page 13
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

 Rencana Penerbitan SW Tambahan untuk
                                                  0.0
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Page 14
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

 Rencana Penerbitan SW Tambahan untuk
                                                  0.0
 memfasilitasi LP
Page 15
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

 Rencana Penerbitan SW Tambahan untuk
                                                  0.0
 memfasilitasi LP
Page 16
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

  Rencana Penerbitan SW Tambahan untuk
                                                         0.0
  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                 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
Go To Indonesian Page
                                                 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
Page 20
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
Page 21
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
Page 22
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
Page 23
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
Page 24
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
Page 25
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
Page 26
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
Page 27
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
Page 28
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
Page 29
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
Page 30
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
Page 31
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
Page 32
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
Page 33
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.

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Source IDX
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Published19 Jan 2026
Pages34
Characters47,276
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possible org PT Bursa Efek Indonesia p.16 ×5
unresolved org PT Bursa Efek Indonesia Lidia M. Panjaitan p.16
unresolved org Indonesia Stock Exchange p.33 ×5

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