Bonds structure:

Publisher

PT Bank OCBC NISP Tbk (NISP)

Target proceeds from Shelf Registration Bond

 Rp. 8 trillion

Fourth phase issuance

Rp 2,239,000,000,000

Two series of bonds

Series A Rp 1,055 billion, fixed coupon 6%, tenor on April 20, 2019  

Series B Rp. 535 billion, fixed coupon 6.90%, tenor on April 10, 2021  

The remaining Rp.1,184 billion will be guaranteed in the best effort.

Bond rating

IdAAA from PT. Pemeringkat Efek Indonesian (PEFINDO) and AAA (idn) from PT. Fitch Ratings Indonesia

Underwriter

PT. Indo Premier Securities

PT. BNI Securities PT. OCBC Securities Indonesia (Affiliated)

 PT. RHB Indonesian Securities

PT. Trimegah Sekuritas Indonesia Tbk

Fund usage

for business growth by providing credit.

Schedule:

Effective Date

April 29, 2016

Public Offering Period

April 4-5, 2018

Allotment Date

April 6, 2018

Recording Date

April 11, 2018

NISP - PT. Bank OCBC NISP Tbk

Rp 1.210

-10 (-1,00%)