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                                                 PENGUMUMAN BURSA
                                                 Restrukturisasi Obligasi
                                          PT Wijaya Karya (Persero) Tbk (WIKA)
                                            Papan Pencatatan Pengembangan
                                           No. .Peng-P-01980/BEI.PP2/10-2025


       Menunjuk surat PT Wijaya Karya (Persero) Tbk Nomor : SE.01.00/A.CORSEC.00279/2025 Tanggal 23 Oktober
       2025 yang kami terima tanggal 23 Oktober 2025 Serta berdasarkan hasil Rapat Umum Pemegang Obligasi
       (RUPO), yang dilaksanakan tanggal 21 Oktober 2025 Perihal Penyampaian Ringkasan Risalah RUPO atas
       Obligasi Berkelanjutan I Wijaya Karya Tahap I Tahun 2020 dan Obligasi Berkelanjutan III Wijaya Karya Tahap I
       Tahun 2022, dengan ini kami sampaikan sebagai berikut:
Page 2
Nama Seri             : Obligasi Berkelanjutan I Wijaya Karya Tahap I Tahun 2020 Seri A
Kode Seri             : WIKA01ACN1
Nilai Emisi           : 231.000.000.000
Jenis                 : Fixed

                                                 Tingkat Bunga | Imbal Hasil

 8,6%                                                          18 Desember 2027




Periode Pertama Pembayaran Kupon / Imbal Hasil : 3            Bulan
Tenor                                                : 7      Tahun
Tanggal Jatuh Tempo                                  : 18 Desember 2027
Informasi Lain-lain                                  : null
         Periode Pembayaran Kupon / Imbal Hasil                                Periode Pembayaran Amortisasi
 1                               18 Maret 2021                 0

 2                               18 Juni 2021                  0

 3                               18 September 2021             0

 4                               18 Desember 2021              0

 5                               18 Maret 2022                 0

 6                               18 Juni 2022                  0

 7                               18 September 2022             0

 8                               18 Desember 2022              0

 9                               18 Maret 2023                 0

 10                              18 Juni 2023                  0

 11                              18 September 2023             0

 12                              18 Desember 2023              0

 13                              18 Maret 2024                 0

 14                              18 Juni 2024                  0

 15                              18 September 2024             0

 16                              18 Desember 2024              0

 17                              18 Maret 2025                 0

 18                              18 Juni 2025                  0

 19                              18 September 2025             0

 20                              18 Desember 2025              0

 21                              18 Maret 2026                 0

 22                              18 Juni 2026                  0

 23                              18 September 2026             0

 24                              18 Desember 2026              0

 25                              18 Maret 2027                 0

 26                              18 Juni 2027                  0

 27                              18 September 2027             0

 28                              18 Desember 2027              0
Page 3

          
Page 4
Nama Seri             : Obligasi Berkelanjutan I Wijaya Karya Tahap I Tahun 2020 Seri B
Kode Seri             : WIKA01BCN1
Nilai Emisi           : 429.000.000.000
Jenis                 : Fixed

                                                 Tingkat Bunga | Imbal Hasil

 9,25                                                          18 Desember 2027




Periode Pertama Pembayaran Kupon / Imbal Hasil : 3            Bulan
Tenor                                                : 7      Tahun
Tanggal Jatuh Tempo                                  : 18 Desember 2027
Informasi Lain-lain                                  : null
         Periode Pembayaran Kupon / Imbal Hasil                                Periode Pembayaran Amortisasi
 1                               18 Maret 2021                 0

 2                               18 Juni 2021                  0

 3                               18 September 2021             0

 4                               18 Desember 2021              0

 5                               18 Maret 2022                 0

 6                               18 Juni 2022                  0

 7                               18 September 2022             0

 8                               18 Desember 2022              0

 9                               18 Maret 2023                 0

 10                              18 Juni 2023                  0

 11                              18 September 2023             0

 12                              18 Desember 2023              0

 13                              18 Maret 2024                 0

 14                              18 Juni 2024                  0

 15                              18 September 2024             0

 16                              18 Desember 2024              0

 17                              18 Maret 2025                 0

 18                              18 Juni 2025                  0

 19                              18 September 2025             0

 20                              18 Desember 2025              0

 21                              18 Maret 2026                 0

 22                              18 Juni 2026                  0

 23                              18 September 2026             0

 24                              18 Desember 2026              0

 25                              18 Maret 2027                 0

 26                              18 Juni 2027                  0

 27                              18 September 2027             0

 28                              18 Desember 2027              0
Page 5

          
Page 6
Nama Seri             : Obligasi Berkelanjutan III Wijaya Karya Tahap I Tahun 2022 Seri A
Kode Seri             : WIKA03ACN1
Nilai Emisi           : 479.800.000.000
Jenis                 : Fixed

                                                Tingkat Bunga | Imbal Hasil

 9,90                                                          03 November 2027




Periode Pertama Pembayaran Kupon / Imbal Hasil : 3            Bulan
Tenor                                                : 5      Tahun
Tanggal Jatuh Tempo                                  : 03 November 2027
Informasi Lain-lain                                  : null
          Periode Pembayaran Kupon / Imbal Hasil                              Periode Pembayaran Amortisasi
 1                                03 Februari 2023             0

 2                                03 Mei 2023                  0

 3                                03 Agustus 2023              0

 4                                03 November 2023             0

 5                                03 Februari 2024             0

 6                                03 Mei 2024                  0

 7                                03 Agustus 2024              0

 8                                03 November 2024             0

 9                                03 Februari 2025             0

 10                               03 Mei 2025                  0

 11                               03 Agustus 2025              0

 12                               03 November 2025             0

 13                               03 Februari 2026             0

 14                               03 Mei 2026                  0

 15                               03 Agustus 2026              0

 16                               03 November 2026             0

 17                               03 Februari 2027             0

 18                               03 Mei 2027                  0

 19                               03 Agustus 2027              0

 20                               03 November 2027             0




      Informasi Lain

      Perseroan mempunyai hak penuh untuk melakukan pelunasan awal atas seluruh atau sebagian Obligasi melalui
      Opsi Beli kepada Pemegang Obligasi, dimana pelaksanaan pelunasan Obligasi melalui Opsi Beli tersebut
      dilakukan melalui Agen Pembayaran.


      Demikian untuk diketahui.
Page 7
 Hormat Kami,

 PT Bursa Efek Indonesia



 Adi Pratomo Aryanto


 Kadiv Penilaian Perusahaan 2




 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



                            1. 20251021 - Risalah RUPO I Tahap I 2020.pdf


       Lampiran             2. 20251021 - Risalah RUPO III Tahap I 2022.pdf


                            3. WIKA-Peng Obligasi PUB I-I 2020 PUB III-I 2022.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 8
Go To Indonesian Page
                                                  ANNOUNCEMENT
                                             Bond/Sukuk Restructurisation
                                         PT Wijaya Karya (Persero) Tbk (WIKA)
                                              Development Listing Board
                                         No. .Peng-P-01980/BEI.PP2/10-2025

      Referring to the letter from PT Wijaya Karya (Persero) Tbk. Number : SE.01.00/A.CORSEC.00279/2025 dated 23
      October 2025 which was received on 23 October 2025 with the subject null, and based on the result of the
      bondholders general meeting (RUPO/RUPSU), which was held on 21 October 2025, the company informs as
      follows :
Page 9
Series Name                        : Obligasi Berkelanjutan I Wijaya Karya Tahap I Tahun 2020 Seri A
Series Code                        : WIKA01ACN1
Nominal Value                      : 231,000,000,000
Type Interest Rate / Profit Sharing : Fixed

                                              Interest Rate / Profit Sharing

 8,6%                                                         18 December 2027




First Period Interest Rate / Profit Sharing Payment : 3     Month
Term                                               : 7      Year
Maturity Date                                      : 18 December 2027
Other Information                                  : null
        Interest Rate / Profit Sharing Payment Period                          Amortization Payment Period
 1                             18 March 2021                  0

 2                             18 June 2021                   0

 3                             18 September 2021              0

 4                             18 December 2021               0

 5                             18 March 2022                  0

 6                             18 June 2022                   0

 7                             18 September 2022              0

 8                             18 December 2022               0

 9                             18 March 2023                  0

 10                            18 June 2023                   0

 11                            18 September 2023              0

 12                            18 December 2023               0

 13                            18 March 2024                  0

 14                            18 June 2024                   0

 15                            18 September 2024              0

 16                            18 December 2024               0

 17                            18 March 2025                  0

 18                            18 June 2025                   0

 19                            18 September 2025              0

 20                            18 December 2025               0

 21                            18 March 2026                  0

 22                            18 June 2026                   0

 23                            18 September 2026              0

 24                            18 December 2026               0

 25                            18 March 2027                  0

 26                            18 June 2027                   0

 27                            18 September 2027              0

 28                            18 December 2027               0
Page 10

          
Page 11
Series Name                        : Obligasi Berkelanjutan I Wijaya Karya Tahap I Tahun 2020 Seri B
Series Code                        : WIKA01BCN1
Nominal Value                      : 429,000,000,000
Type Interest Rate / Profit Sharing : Fixed

                                              Interest Rate / Profit Sharing

 9,25                                                         18 December 2027




First Period Interest Rate / Profit Sharing Payment : 3     Month
Term                                               : 7      Year
Maturity Date                                      : 18 December 2027
Other Information                                  : 0
        Interest Rate / Profit Sharing Payment Period                          Amortization Payment Period
 1                             18 March 2021                  0

 2                             18 June 2021                   0

 3                             18 September 2021              0

 4                             18 December 2021               0

 5                             18 March 2022                  0

 6                             18 June 2022                   0

 7                             18 September 2022              0

 8                             18 December 2022               0

 9                             18 March 2023                  0

 10                            18 June 2023                   0

 11                            18 September 2023              0

 12                            18 December 2023               0

 13                            18 March 2024                  0

 14                            18 June 2024                   0

 15                            18 September 2024              0

 16                            18 December 2024               0

 17                            18 March 2025                  0

 18                            18 June 2025                   0

 19                            18 September 2025              0

 20                            18 December 2025               0

 21                            18 March 2026                  0

 22                            18 June 2026                   0

 23                            18 September 2026              0

 24                            18 December 2026               0

 25                            18 March 2027                  0

 26                            18 June 2027                   0

 27                            18 September 2027              0

 28                            18 December 2027               0
Page 12

          
Page 13
Series Name                          : Obligasi Berkelanjutan III Wijaya Karya Tahap I Tahun 2022 Seri A
Series Code                          : WIKA03ACN1
Nominal Value                        : 479,800,000,000
Type Interest Rate / Profit Sharing : Fixed

                                               Interest Rate / Profit Sharing

 9,90                                                          03 November 2027




First Period Interest Rate / Profit Sharing Payment : 3       Month
Term                                                 : 5      Year
Maturity Date                                        : 03 November 2027
Other Information                                    : null
         Interest Rate / Profit Sharing Payment Period                          Amortization Payment Period
 1                               03 February 2023              0

 2                               03 May 2023                   0

 3                               03 August 2023                0

 4                               03 November 2023              0

 5                               03 February 2024              0

 6                               03 May 2024                   0

 7                               03 August 2024                0

 8                               03 November 2024              0

 9                               03 February 2025              0

 10                              03 May 2025                   0

 11                              03 August 2025                0

 12                              03 November 2025              0

 13                              03 February 2026              0

 14                              03 May 2026                   0

 15                              03 August 2026                0

 16                              03 November 2026              0

 17                              03 February 2027              0

 18                              03 May 2027                   0

 19                              03 August 2027                0

 20                              03 November 2027              0




      Other Information

      The Company has the full right to make an early redemption of all or part of the Bonds through a Call Option to the
      Bondholders, whereby the execution of such Bond redemption through the Call Option shall be carried out through
      the Paying Agent.


      Thus to be informed accordingly.
Page 14
 Respectfully,

 Indonesia Stock Exchange



 Adi Pratomo Aryanto


 Kadiv Penilaian Perusahaan 2




 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



       Attachment



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.

File

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Published30 Oct 2025
Pages14
Characters18,340
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Names mentioned 4 people and organisations named in the text · linked when the evidence is strong

possible org Wijaya Karya (Persero) Tbk p.1 ×19
possible org PT Bursa Efek Indonesia p.7 ×5
unresolved org PT Bursa Efek Indonesia Adi Pratomo Aryanto Kadiv p.7
unresolved org Indonesia Stock Exchange p.14 ×5

Extraction attempts how the parser did, and what it refused

Nothing structured was extracted from this document — the attempts below say why.

Rule parser Needs review confidence 0.000 557 ms 12 Sep 2026 22:34

bondholder meeting (RUPO/RUPSU) - not a RUPS

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