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Page 1
                                        PENGUMUMAN
                             PENYESUAIAN SYARAT DAN KETENTUAN
                                    WARAN TERSTRUKTUR:
                                  PANIDRCN6A & PANIDRCU6A

Mengacu pada keterbukaan informasi PT Pantai Indah Kapuk Dua Tbk (“PANI”) pada tanggal 08 Juni
2026 tentang Aksi Koprporasi – Dividen Tunai disampaikan bahwa sesuai hasil Rapat Umum
Pemegang Saham Tahunan PANI pada tanggal 04 Juni 2026, PANI menyampaikan rencana
pembagian Dividen Tunai untuk periode tahun buku 2025 yang akan dibayar sebagai berikut:

 Total Nilai Dividen sudah ditentukan
 Total Nilai Dividen                                                           IDR         90.585.127.990
 Efek Bersifat Ekuitas Selain Saham yang bisa dikonversi menjadi                                    Tidak
 saham
 Dividen Per Saham (Jika sudah ada kepastian jumlah saham yang akan            IDR                       5
 dibagi)

Jadwal pembagian dividen:

 Tanggal Efektif                                 04 Juni 2026

 Tanggal Cum Dividen di Pasar Reguler dan        12 Juni 2026
 Pasar Negosiasi                                 2 HB sebelum recording date


 Tanggal Ex Dividen di Pasar Reguler dan Pasar   15 Juni 2026
 Negosiasi                                       1 HB setelah Cum dividen di Pasar Reguler & Negosiasi


 Tanggal Cum Dividen di Pasar Tunai              17 Juni 2026
                                                 HB yang sama dengan tanggal recording date (DPS)


 Tanggal Ex Dividen di Pasar Tunai               18 Juni 2026
                                                 1 HB setelah Cum dividen di Pasar Tunai


 Tanggal Daftar Pemegang Saham (DPS) yang        17 Juni 2026       Waktu 16:00
 berhak atas dividen tunai                       Paling cepat 16 HB sejak pengumuman


 Tanggal Pembayaran Dividen                      08 Juli 2026
                                                 Selambat-lambatnya 10 HB setelah recording date.



Sesuai dengan syarat dan ketentuan Waran Terstruktur PANIDRCN6A & PANIDRCU6A sebagaimana
disebutkan dalam Term Sheet dan Bagian 3 Prospektus Waran Terstruktur, Rasio Pelaksanaan dan
Harga Pelaksanaan PANIDRCN6A & PANIDRCU6A akan disesuaikan dengan formula di bawah ini:

Rasio Pelaksanaan yang disesuaikan:

                   (P – D)
       E    x
                     P

Harga Pelaksanaan yang disesuaikan:

                   (P – D)
       X    x
                     P
Page 2
 P    :   Harga Penutupan Underlying Waran Terstruktur yang bersangkutan pada hari bursa
          terakhir Underlying Waran Terstruktur tersebut diperdagangkan atas dasar cum-
          entitlement.
 D    :   Pembagian dividen per 1 (satu) Underlying Waran Terstruktur yang dimiliki.
 X    :   Harga Pelaksanaan yang berlaku tepat sebelum pembagian dividen ex-date.
 E    :   Rasio Pelaksanaan yang berlaku tepat sebelum pembagian dividen ex-date.

Mohon menjadi perhatian bahwa penyesuaian mungkin tidak akan dilakukan apabila berdasarkan
kebijaksanaan Penerbit dan tanpa batasan, dan tanpa kewajiban apa pun kepada para Pemegang
Waran Terstruktur, tidak adanya penyesuaian dianggap tepat oleh Penerbit.



                     Pemberitahuan ini diterbitkan di Jakarta, 09 Juni 2026
                                           Penerbit
                               PT RHB Sekuritas Indonesia
Page 3
                                    ANNOUNCEMENT
                    TO THE ADJUSTMENT OF THE TERMS AND CONDITIONS
                               OF STRUCTURED WARRANT
                               PANIDRCN6A & PANIDRCU6A

Referring to disclosure of information of PT Pantai Indah Kapuk Dua Tbk (“PANI”) dated 08 June 2026,
related to Corporate Action – Cash Dividend it was conveyed that the Annual General Meeting of
Shareholders of PANI dated 04 June 2026, has resolved, PANI had a plan for the distribution of
dividends for the fiscal year 2022, which will be paid as follows:

 Total value of dividend has been Determined
 Total Value of Dividend                                                           IDR        90.585.127.990
 Other securities in the form of equity that are convertible into shares                                  NA
 Dividend per share (if the receiving number of shares has been                    IDR                     5
 determined)


Dividend distribution schedule:

 Effective Date                                     04 June 2026

 Dividend cum date in Regular Market and            12 June 2026
 Negotiation Market                                 2 Exchange Days before recording date


 Dividend ex date in Regular Market and             15 June 2026
 Negotiation Market                                 1 Exchange Days after Dividend        Cum in Regular and
                                                    Negotiation


 Dividend cum date in Cash Market                   17 June 2026
                                                    Exchange Days same as recording date (DPS)

 Dividend ex date in Cash Market                    18 June 2026
                                                    1 Exchange Days after Dividend Cum in Cash Market


 Date on which List of Shareholders (DPS) are       17 June 2026        Time 16:00
 entitled to cash dividends                         Soonest 16 Exchange Days after Announcement


 Dividend payment date                              08 July 2026
                                                    At the Latest 10 Exchange Days after recording date.



In accordance to the terms and conditions of the Structured Warrant PANIDRCN6A & PANIDRCU6A
as stated in the Term Sheet and Part 3 of the Prospectus of Structured Warrant, the Exercise Ratio and
Exercise Price of PANIDRCN6A & PANIDRCU6A will be adjusted based on the formula below:

Adjusted Exercise Ratio:

                    (P – D)
        E    x
                       P

Adjusted Exercise Price:

                    (P – D)
        X    x
                       P
Page 4
 P     :   Closing Price of the Underlying share on the last market day on which the underlying share
           is traded on a cum-entitlement basis.
 D     :   the dividend entitlement per 1 (one) underlying share held.
 X     :   the existing price immediately prior to dividend entitlement.
 E     :   the existing exercise ratio immediately prior to the dividend entitlement.

Kindly be noted that the adjustment might not be made if based on Issuer’s sole discretion and without
limitation, and without any obligation to Structured Warrant Holders, the Issuer deems no adjustment is
appropriate.




                           This notice was issued in Jakarta, 09 June 2026
                                                Issuer
                                    PT RHB Sekuritas Indonesia

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Names mentioned 2 people and organisations named in the text · linked when the evidence is strong

linked org Pantai Indah Kapuk Dua Tbk p.1 ×5
unresolved org PT RHB Sekuritas Indonesia p.2 ×2

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Rule parser Needs review confidence 0.111 193 ms 12 Sep 2026 19:20
Raw output
{'agenda': [], 'is_electronic': False, 'meeting_type': 'AGM'}

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