Product Detail
Code
PTRO01CCN2
Name
Obligasi berkelanjutan I petrosea Tahap II Tahun 2025 seri C
Sector
-
Type
Corporate (Petrosea)
Currency
IDR
Rating
idA+
Price Bid
102.72%Price Sell
106.31%Coupon
6.63%Current Yield
0%TTM
0%YTM Bid
5.85%YTM Offer
5.55%Day Count Basis
actual/actual
Interest Frequency
Interest Type
FIXED
Interest Rate
0%Originated Amount
0
Outstanding Amount
0
Issuer
INDONESIA
Issue Date
21 Mar 2025
Listing Date
24 Mar 2025
Mature Date
21 Mar 2032
Settlement Date
04 Jun 2026
Updated At
03 Jun 2026