Issuer

PT. Bank Panin Dubai Syariah Tbk

Code of issuer

Number of shares offered

13,763,702,595 shares

Ratio (old stock: new stock)

 100: 135

Nominal value

Rp 100 per share

Exercise price

 Rp 100

Dilution (if the shareholders do not exercise their rights)

Max. 57.45%

Plan on funds usage 

Strengthen the capital structure to support the Company's business activities in the financing distribution.

Date of (EGMS)

 March 22, 2018

Effective date

 May 14, 2018

Cum Date at Regular and Negotiated Market

 May 21, 2018

Ex Date at Regular and Negotiated Market

May 22, 2018

Date Cum at Cash Market

May 24, 2018

Ex Date at Cash Market

 May 25, 2018

Recording date

 May 24, 2018

Distribution date

May 25, 2018

Listing date on

May 28, 2018

Exchange Trading Period of HMETD

May 28, 2018 - June 5, 2018

Exercise period of HMETD

May 28, 2018 - June 5, 2018

Share distribution period of HMETD

 May 31, 2018 - June 7, 2018

Last payment date of additional share order

 June 7, 2018

Allotment date

 June 8, 2018

The refund date of excess purchase of additional shares

June 8, 2018

PNBS - PT. Bank Panin Dubai Syariah Tbk

Rp 67

+2 (+2,99%)