Offering of Shelf Registration Bond IV Federal International Finance with Fixed Rate 2nd Tranche Year 2020 with Principal Amount of Rp 1,50 Trillion
PT Federal International Finance shall issue and offer Shelf Registration Bond IV Federal International Finance with Fixed Coupon Rate 2nd Tranche Year 2020 with principal amount of Rp1,500,000,000,000 (one trillion five hundred billion rupiah). This Bond provides the options for public to choose the 2 (two) following Bond series offered :
Serie A
The principal amount of Serie A Bond offered is to the amount of Rp854,558,000,000 (eight hundred fifty-four billion five hundred fifty-eight million rupiah) with a fixed coupon rate of 6.25% per year. The tenor of Serie A Bond is 370 Calendar Days. The Serie A Bond will be paid fully (bullet payment), 100% of the Serie A Bond Principal Amount, on the maturity date.
Serie B
The principal amount of Serie B Bond offered is to the amount of Rp645,442,000,000 (six hundred forty-five billion four hundred forty-two million rupiah) with a fixed coupon rate of 7.25% per year. The tenor of Serie B Bond is 36 months. The Serie B Bond will be paid fully (bullet payment), 100% of the Serie B Bond Principal Amount, on the maturity date.
For complete information, Supplementary Information of this public offering can be downloaded here.