Rating - 90
(in billions of Rupiah, unless otherwise stated)
Bond Name | Outstanding Principal | Coupon Rate | Maturity Date | Bond Rating | Rating Agency |
---|---|---|---|---|---|
Bond I AKR Corporindo Year 2012 with Fixed Rate Series A* | 623,0 | 8,40% | 21 December 2017* | idAA- | PEFINDO |
Bond I AKR Corporindo Year 2012 with Fixed Rate Series B** | 877,0 | 8,75% | 21 December 2019 | idAA- | PEFINDO |
*Repaid on December 21, 2017
**Repaid on December 21, 2019
Report of Realization of Fund Utilization of Bond 2012 - 91
The Company has been submitted to OJK the report of the Realization of Fund Utilization of Funds Offering Bond I AKR Corporindo Year 2012 With Fixed Rate With Main Amount of IDR 1,500,000,000,000 as per March 31, 2015, which the fund has been fully used.
(in billions of Rupiah, unless otherwise stated)
Bond Name | Outstanding Principal | Coupon Rate | Maturity Date | Bond Rating | Rating Agency |
---|---|---|---|---|---|
Shelf Registration Bonds I AKR Corporindo Series A 1st Tranche Year 2017* | 895.0 | 8.50% | 7 July 2020 | idAA- | PEFINDO |
Shelf Registration Bonds I AKR Corporindo Series B 1st Tranche Year 2017 ** | 68.0 | 8.875% | 7 July 2022 | idAA- | PEFINDO |
Shelf Registration Bonds I AKR Corporindo Series C 1st Tranche Year 2017 | 37.0 | 9.00% | 7 July 2024 | idAA- | PEFINDO |
Report of Realization of Fund Utilization of Bond 2017 - 222
The Company has been submitted to OJK and Trustee the report of the Realization of Fund Utilization of Sustainable Public Offering Of Bond I AKR Corporindo Phase I Year 2017 With Principal Amount of Rp.1,000,000,000,000.00 as per December 31, 2017, which the fund has been fully used.
*Repaid on July 7, 2020
**Repaid on July 7, 2022