Product Detail

Code

BBRI03CCN1

Name

OBLIGASI BERKELANJUTAN III BANK BRI TAHAP I TAHUN 2019 SERI C

Sector

BANK

Type

C


Currency

IDR

Rating

idAAA

Price Bid

100.73%

Price Sell

0%

Coupon

0%

Current Yield

7.71%

TTM

0.86%

YTM Bid

0.06%

YTM Offer

0%

Day Count Basis

30/360

Interest Frequency

Per 3 bulan

Interest Type

FIXED

Interest Rate

7.85%

Originated Amount

2.17T

Outstanding Amount

2.17T


Issuer

BBRI

Issue Date

06 Nov 2019

Listing Date

07 Nov 2019

Mature Date

06 Nov 2024

Settlement Date

Invalid Date

Updated At

10 Nov 2024