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20260609_SGER_Laporan Informasi dan Fakta Material_32099395_lamp2.pdf
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AMENDMENT AND/OR ADDITIONAL INFORMATION
TO THE SUMMARY OF ADDITIONAL INFORMATION
THIS INFORMATION CONSTITUTES AN AMANDMENT AND/OR ADDITIONAL INFORMATION TO THE
SUMMARY OF ADDITIONAL INFORMATION PREVIOUSLY PUBLISHED JUNE 8, 2026
Effective Date : June 28, 2024
Public Offering Period : June 8,2026
Allotment Date : June 9, 2026
Refund Date : June 9, 2026
Electronic Distribution Date of Bonds : June 10, 2026
Listing Date on the Indonesia Stock Exchange : June 11, 2026
Pursuant to Financial Services Authority Regulation No. 31/POJK.04/2015 regarding Disclosure of Material Information or
Facts by Issuers or Public Companies, and following the completion of the public offering period of the First Shelf
Registration Bond I of Sumber Global Energy Phase III Year 2026 (the “Bonds”) on June 8, 2026, it is hereby announced
that the aggregate principal amount of the Bonds issued is Rp86,700,000,000 (eighty-six billion seven hundred million
Rupiah). The Bonds are offered at 100.00% (one hundred point zero zero percent) of their aggregate principal amount and
are issued in three (3) series with the following terms:
Series A : Principal Amount of Rp82,600,000,000 (eighty-two billion six hundred million Rupiah), with a fixed
interest rate of 9.50% per annum and a tenor of 370 (three hundred seventy) calendar days from the
Issuance Date.
Series B : Principal Amount of Rp850,000,000 (eight hundred fifty million Rupiah), with a fixed interest rate of
10.00% per annum and a tenor of 2 (two) years from the Issuance Date.
Series C : Principal Amount of Rp3,250,000,000 (three billion two hundred fifty million Rupiah), with a fixed interest
rate of 10.50% per annum and a tenor of 3 (three) years from the Issuance Date.
Interest on the Bonds shall be paid every 3 (three) months from the Issuance Date, in accordance with the respective Bond
Interest Payment Dates.The first Bond Interest payment shall be made on September 10, 2026, while the final Bond Interest
payment together with the repayment of the Bonds shall be made on June 20, 2027 for Series A Bonds, June 10, 2028 for
Series B Bonds, and June 10, 2029 for Series C Bonds. The principal amount of each series of the Bonds shall be repaid
in full (bullet payment) on the respective maturity date.
The composition and percentage of the underwriting commitment for the Bonds are as follows:
No. Underwriter Underwriting (Rp) Total %
Series A Series B Series C
1. PT Victoria Sekuritas Rp82.600.000.000 Rp850.000.000 Rp3.250.000.000 Rp86.700.000.000 100,00%
Indonesia
Total Rp82.600.000.000 Rp850.000.000 Rp3.250.000.000 Rp86.700.000.000 100,00%
Jakarta, June 9, 2026
BOARD OF DIRECTORS TRUSTEE
PT SUMBER GLOBAL ENERGY TBK PT BANK RAKYAT INDONESIA (PERSERO) TBK
UNDERWRITER
PT VICTORIA SEKURITAS INDONESIA
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Indonesia Stock Exchange
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Financial Services Authority
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PT Victoria Sekuritas
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PT VICTORIA SEKURITAS INDONESIA
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