Initial Offering Period

May 11 - 24, 2018

Estimated Effective Date

June 6, 2018

Estimated Public Offering Period

June 8 – 21, 2018

Estimated Allotment Date

June 22, 2018

Estimated Date of Electronic Bond Distribution

June 26, 2018

Estimated Refund Dated Date

June 26, 2018

Estimated Listing Date in Indonesia Stock Exchange

June 27, 2018

Publisher

PT. Bank Rakyat Indonesia (Persero) Tbk

Name of Subordinated Bond

 Subordinated Bond III of Bank BRI Year 2018

Principal value

Rp 500 billion

Coupon rate

Fixed

The first coupon rate of Subordinated Bond

 September 26, 2018

Maturity date

June 26, 2023

Subordinated Bond Rating

IDAA from PT. Efrek Indonesia Ranking (Pefindo)

Underwriters of Subordinated Bond

PT. Bahana Sekuritas (Affiliated), PT. Danareksa Sekuritas (Affiliated), and PT. Indo Premier Securities

Bond Trustee

PT. Bank Negara Indonesia (Persero) Tbk

Usage plan on the proceeds

To strengthen Tier 2 Capital (Tier 2) to comply OJK regulation No.11 juncto OJK regulation No.34 and to support the increase of Productive Assets.

BBRI - PT. Bank Rakyat Indonesia (Persero) Tbk

Rp 5.275

-200 (-3,65%)