Product Detail
Code
REFI01B
Name
OBLIGASI I REFI TAHUN 2022 SERI B
Sector
FINANCIAL INSTITUTION
Type
C
Currency
IDR
Rating
irBBB
Price Bid
98.95%Price Sell
0%Coupon
0%Current Yield
9%TTM
0.25%YTM Bid
0.09%YTM Offer
0%Day Count Basis
30/360
Interest Frequency
Per 3 bulan
Interest Type
FIXED
Interest Rate
9%Originated Amount
100B
Outstanding Amount
100B
Issuer
REFI
Issue Date
08 Feb 2022
Listing Date
09 Feb 2022
Mature Date
08 Feb 2025
Settlement Date
Invalid Date
Updated At
10 Nov 2024