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20240731_BBKP_Laporan Informasi dan Fakta Material_31689240_lamp1.pdf

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Page 1 OCR 0.931
625, 7980244

Jakarta, 3D Juli 2024

Nonfor/Number 117498 (DIRMIN2024

Kepada Yth./To:

Kepala Eksekutif Pengawasan Pasar Modal

51 Jakarta Selatan - Indonesia 12770

Otoritas Jasa Keuangan! Financial Services Authority (“OJK”)
Gedung Sumitro Djojohadikusumo, Kementrian Keuangan RI
Jalah Lapangan Banteng Timur No. 1-4 Jakarta 10710

Kepala Divisi Penilaian Perusahaan Surat Utang

PT Bursa Efek Indonesia
Gedung BEI, Tower 1, Lantai 4
Jalan Jend. Sudirman, Kav.52-53
Jakarta 12190

Perihal : Kesiapan Dana untuk Pelunasan
Obligasi Berkelanjutan I Bank KB Bukopin
Tahap I Tahun 2021

Dengan hormat,

Merujuk pada Surat Keputusan Direksi PT
Bursa Efek Indonesia Nomor: Kep-
00066/BEI/09-2022 tanggal 30 September
2022 tentang Perubahan Peraturan Nomor I-
E Tentang Kewajiban Penyampaian
Informasi, bersama ini kami sampaikan
bahwa Perusahaan telah menyediakan dana
untuk melunasi pokok dan bunga Obligasi
Berkelanjutan I Bank KB Bukopin Tahap |
Tahun 2021 yang akan jatuh tempo pada
tanggal 9 September 2024 kepada
Pemegang Obligasi.

Dana pelunasan pokok dan bunga Obligasi
Berkelanjutan | Bank KB Bukopin Tahap |
Tahun 2021 dimaksud adalah sejumlah Rp
1.015.625.000.000,- (Satu Triliun Lima Belas
Miliar Enam Ratus Dua Puluh Lima Juta
Rupiah) yang terdiri dari pokok Obligasi
sebesar Rp 1.000.000.000.000,- (Satu Triliun
Rupiah) dan bunga obligasi ke-12 (gross)
sebesar Rp 15.625.000.000,- (Lima Belas
Miliar Enam Ratus Dua Puluh Lima Juta
Rupiah).

Pelunasan tersebut akan dilakukan dan
didistribusikan melalui PT Kustodian Sentral
Efek Indonesia (“KSEI”) sebagai agen
pembayaran.

Subject: Fund Readiness for Repayment
of Bank KB Bukopin Continuous Bond |
Phase I Year 2021.

Sincerely,

Referring to the Decree of the Board of

Directors of PT Bursa Efek Indonesia
Number: Kep-00066/BEI/09-2022  dated
September 30, 2022 concerning

Amendments to Regulation Number I-E
concerning Obligation to Submit Information,
we hereby convey that the Company has
provided funds to pay off the principal and
interest of Shelf Registration Bond I Bank KB
Bukopin Phase I Year 2021 which will
mature on September 9, 2024 to the
Bondholders.

Repayment of principal and interest of Shelf
Registration Bond I Bank KB Bukopin Phase
| Year 2021 is in the amount of Rp
1,015,625,000,000,- (One Trillion Fifteen
Billion Six Hundred Twenty Five Million
Rupiah) consisting of principal of Rp
1,000,000,000,000,- (One Trillion Rupiah)
and interest on the 12th bond (gross) of Rp
15,625,000,000,- (Fifteen Billion Six Hundred
Twenty Five Million Rupiah).

The repayment will be made and distributed
through PT Kustodian Sentral Efek Indonesia
(“KSEI”) as payment agent.
Page 2 OCR 0.840
»kK5 KB Bank

PT.|Bank KB Bukopin, Tbk.
KB Bank Head Office, Jl. MT. Haryono Kav. 50-51 Jakarta Selatan - Indonesia 12770
P. (k62)21 7988266, 7980837 F. (t62)21 7980625, 7980244,

kbbank.co.id

Demikian surat ini kami sampaikan, atas Thus, we convey this letter. Thank you for
perhatian dan kerjasamanya kami ucapkan your attention.
terimja kasih.

Hornjat kami,

Direktur Utama/President Director

File

File Open PDF
Source IDX
Size0.11 MB
Published31 Jul 2024
Pages2
Characters3,051
Text sourceOCR
OCR confidence0.886

Names mentioned 10 people and organisations named in the text · linked when the evidence is strong

linked org Bank KB Bukopin p.1 ×7
possible org Otoritas Jasa Keuangan p.1
possible org PT Bursa Efek Indonesia p.1 ×3
unresolved org Financial Services Authority p.1
unresolved org Bank KB Bukopin Tahap I Tahun p.1
unresolved org Bank KB Bukopin Tahap p.1 ×2
unresolved org PT Kustodian Sentral Efek Indonesia p.1 ×3
unresolved org Bank KB Bukopin Continuous Bond p.1
unresolved org Bank KB Bukopin Phase I Year p.1
unresolved org Bank KB Bukopin Phase p.1

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