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