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20250708_BNII_Penyampaian Bukti Iklan_31912879_lamp3.pdf
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PEMBERITAHUAN PELUNASAN OBLIGASI ANNOUNCEMENT FOR THE REDEMPTION OF SHELF
BERKELANJUTAN IV BANK MAYBANK INDONESIA TAHAP REGISTERED BONDS IV BANK MAYBANK INDONESIA
I TAHUN 2022 SERI B TRANCHE I YEAR 2022 SERIES B
Dengan ini diberitahukan bahwa : We hereby notify the following :
1. PT Bank Maybank Indonesia, Tbk. (“Maybank 1. PT Bank Maybank Indonesia, Tbk. (“Maybank
Indonesia atau Bank”) melalui KSEI telah melakukan Indonesia or the Bank”) through KSEI has
pelunasan pokok dan pembayaran bunga terakhir redeemed the principal and made the final
(bunga ke-12) atas Obligasi Berkelanjutan IV Bank interest payment (the 12th payment) of the Shelf
Maybank Indonesia Tahap I Tahun 2022 Seri B Registered Bonds IV Bank Maybank Indonesia
(“Obligasi”) kepada pemegang Obligasi via sistem Tranche I Year 2022 Series B (“Bond”) to
C-BEST ke sub rekening dari pemegang rekening bondholders via C-BEST system to accounts
KSEI pada tanggal 8 Juli 2025, dengan keterangan registered at KSEI on July 8, 2025, with the
sebagai berikut: following details:
Kode Obligasi / Bond Code : BNII04BCN1
Jumlah Pokok Obligasi / Bond Principal Amount : Rp300.000.000.000,-
Jumlah Bunga Ke-12 / The 12th interest Amount (gross) : Rp4.687.500.000,-
Tingkat Bunga / Coupon Rate : 6,25% per tahun / per annum
Jangka Waktu / Tenure : 3 (tiga / three) tahun / years
Tanggal terbit / Issuance Date : 8 Juli 2022 / July 8, 2022
Tanggal Jatuh Tempo / Maturity Date : 8 Juli 2025 / July 8, 2025
Tanggal Pembayaran Pelunasan Pokok dan Bunga Terakhir / : 8 Juli 2025 / July 8, 2025
Payment date of the principal redemption and the final interest
payment (the 12th payment)
Sumber Pendanaan / Source of fund : Sumber Pendanaan yaitu dari aset likuid
dan arus kas lainnya/source of fund from
liquid assets and other cash flows.
Tujuan Transaksi / Transaction Purpose : Melunasi pokok Obligasi yang jatuh tempo
dan pembayaran bunga terakhir
Obligasi/redemption of matured Bond
principal and payment of final interest.
2. Dengan pelunasan pokok Obligasi tersebut, maka 2. The Bond redemption will be paid effective by July 8,
sejak tanggal 8 Juli 2025 Obligasi tersebut tidak lagi 2025. The Bond, therefore, will no longer be registered
tercatat serta tidak dapat lagi diperdagangkan and cannot be traded through the Indonesia Stock
melalui Bursa Efek Indonesia, dan/atau dilaporkan Exchange, nor be traded and reported through other
perdagangannya melalui sarana yang disediakan means provided by the Indonesia Stock Exchange.
oleh Bursa Efek Indonesia. Dengan demikian, seluruh The Bond issuer, therefore, has fulfilled its duty to the
kewajiban Emiten kepada pemegang Obligasi bondholders.
tersebut telah dilaksanakan.
Pemberitahuan ini disampaikan untuk memenuhi This announcement is published to comply with the
Peraturan Otoritas Jasa Keuangan (“POJK”) No. Financial Services Authority Regulation (“POJK”) No.
31/POJK.04/2015 tentang Keterbukaan atas Informasi 31/POJK.04/2015 concerning Disclosure of Material
atau Fakta Material oleh Emiten atau Perusahaan Publik Information or Facts by Issuers or Public Companies and
dan POJK No. 45 Tahun 2024 tentang Pengembangan POJK No. 45 of 2024 concerning Development and
dan Penguatan Emiten dan Perusahaan Publik serta Strengthening of Issuers and Public Companies as well
Peraturan Bursa Efek Indonesia No. I-E tentang as Indonesia Stock Exchange Regulation No. I-E
Kewajiban Penyampaian Informasi. concerning Obligations to Submit Information.
Jakarta, 8 Juli 2025/July 8, 2025
PT Bank Maybank Indonesia Tbk
Direksi
The Board of Directors
Names mentioned 5 people and organisations named in the text · linked when the evidence is strong
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Indonesia Stock Exchange
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Financial Services Authority
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