PT. Kustodian Sentral Efek Indonesia announces ISIN codes for the following securities :
ISIN Code
ISIN Code IssuerIssuer DescriptionDescription
IDA000084503 BANK UOB INDONESIA, PT
Securities Code : BBIA01SBCN2 Securities Type : Straight Bonds
Securities Name : OBL SUB BKLJT I BANK UOB INDONESIA TAHAP II TH2017
Currency : IDR
Issued Date : 17 October 2017 Listing Date : 18 October 2017
Form : Electronic
Exchange : IDX
Nominal Value : IDR 500,000,000,000.00 Maturity Date : 17 October 2024
Interest : 9.25 %
Interest Type : FIXED Interest Freq : 3 MONTHS First Interest
Payment : 17 January 2018 Syndication Code : Domestic
This announcement is also accessible from our website (http://www.ksei.co.id) in the announcement secion. The complete list of the issued Indonesian ISIN codes is usable in the ISIN codes section of the same website. We thank you for your kind attention to this matter.
Jakarta, 18 September 2017
PT Kustodian Sentral Efek Indonesia
Gusrinaldi Akhyar
Depository Services Division, Head
Fitriyah
Securities Management Unit Head Depository Services Division
ANNOUNCEMENT
PENG-399/KSEI.3.JKU/ISIN/092017
PT Kustodian Sentral Efek Indonesia
Indonesia Stock Exchange Building 1st Tower 5th Floor Jl. Jend. Sudirman kav 52-53, Jakarta 12190 - Indonesia Phone: (62-21) 5299 1099, Fax: (62-21) 5299 1199
http://www.ksei.co.id