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20251124_DR_Pemberitahuan Tanggal Pelaksanaan Structured Warrant_31987133_lamp1.pdf
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PENGUMUMAN
Dengan senang hati kami umumkan bahwa BBRIDRCX5A telah dapat dilaksanakan pada tanggal 24
November 2025 ("Tanggal Pelaksanaan") dan pemegang waran terstruktur berhak atas Jumlah
Penyelesaian Tunai (per BBRIDRCX5A) (jika jumlah tersebut lebih besar dari nol).
Harga Penyelesaian telah ditentukan pada IDR 3.972 sebagai rata-rata harga penutupan Saham BBRI di
Bursa Efek Indonesia untuk lima (5) hari bursa sebelum Tanggal Pelaksanaan.
Jumlah Penyelesaian Tunai:
= Jumlah Waran Terstruktur (Harga Penyelesaian – Harga Pelaksanaan)
x
BBRIDRCX5A Rasio Pelaksanaan
= Jumlah Waran Terstruktur (IDR 3.972– IDR 3.900)
x
BBRIDRCX5A 4,7258
= Jumlah Waran Terstruktur 72
x
BBRIDRCX5A 4,7258
Pembayaran Jumlah Penyelesaian Tunai akan dilakukan pada Hari Bursa ke-3 (tiga) sejak Tanggal
Pelaksanaan atau jangka waktu lainnya sebagaimana ditetapkan oleh otoritas terkait, KSEI akan
melakukan pendistribusian dana yang telah diterima dari KPEI ke pemegang rekening KSEI. Selanjutnya,
pemegang rekening KSEI akan mendistribusikan Jumlah Penyelesaian Tunai kepada masing-masing
investor.
Pemberitahuan ini diterbitkan di Jakarta, 24 November 2025
Penerbit
PT RHB Sekuritas Indonesia
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ANNOUNCEMENT
We are pleased to announce that BBRIDRCX5A is exercised on 24th November 2025 ("Expiry Date") and
the structured warrant holders shall be entitled to the Cash Settlement Amount (per BBRIDRCX5A) (if the
said amount is greater than zero).
The Settlement Price has been determined at IDR 3.972 being the closing price of BBRI Shares on
Indonesia Stock Exchange for the five (5) bursa days prior to the Expiry Date.
Cash Settlement Amount
= Number of Structured Warrant (Settlement Price – Exercise Price)
x
BBRIDRCX5A Exercise Ratio
= Number of Structured Warrant (IDR 3.972– IDR 3.900)
x
BBRIDRCX5A 4,7258
= Number of Structured Warrant 72
x
BBRIDRCX5A 4,7258
Payment of the Cash Settlement Amount shall be made on the 3rd (third) bursa day from the Expiry Date
or other period as determined by the relevant authorities, KSEI will distribute the funds received from KPEI
to the holder of KSEI account. Subsequently, the holder of KSEI account will distribute the Cash Settlement
Amount to the investor respectively.
This notice was issued in Jakarta, 24th November 2025
Issuer
PT RHB Sekuritas Indonesia
Names mentioned 4 people and organisations named in the text · linked when the evidence is strong
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KPEI
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PT RHB Sekuritas Indonesia
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Indonesia Stock Exchange
p.2
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