Array ( [0] => Array ( [B] => Array ( [x8] => [x9] => 75000000000 [xid_ins_capco] => SECUR_____85454000000166F9B25A9D0A6F010C ) [c] => Array ( [basis] => 30/360 ) ) ) PT Kustodian Sentral Efek Indonesia - BANK CIMB NIAGA Tbk, PT
Efek Terdaftar

BANK CIMB NIAGA Tbk, PT

Security name
OBLIGASI SUBORDINASI III BANK CIMB NIAGA TAHUN 2018 SERI A
Issuer
BANK CIMB NIAGA Tbk, PT
ISIN Code
IDA0000946A6
Short Code
BNGA03ASB
Type
Straight Bonds
Listing Date
November 16, 2018
Stock Exchange
IDX
Status
Active
Nominal
75,000,000,000.00
Current Amount
0.00
Mature Date
November 15, 2023
Interest/Disc Rate
9.85%
Interest Type
FIXED
Interest Frequency
3 MONTHS
Currency
IDR
Form
Electronic
Effective Date ISIN
-
Day Count Basis
Activity Sector
BANK
Number of Securities
0 (Total)

Corporate Action

Type of CA Ratio Cum Date Record Date Distribution Date Status
Interest (1000000 BNGA03ASB : 24625 IDR) - 09 Aug 2019 15 Aug 2019 Active
Interest (1000000 BNGA03ASB : 24625 IDR) - 09 May 2019 15 May 2019 Active
Interest (1000000 BNGA03ASB : 24625 IDR) - 11 Feb 2019 15 Feb 2019 Active