Lautan Luas

Bond

Bond Information

Description

Issued Year

Amount

Coupon

Rating

Tenor (Years)

Maturity Date

Lautan Luas Bond I

2000 100.000.000.000

series A = 16.75%

A

5

29-Jun-05

series B = 20.00%

Lautan Luas Bond II

2003 300.000.000.000

series A = 14.25%

A-

5

24-Jun-08

series B = 17.50%

Lautan Luas Bond III

2008 500.000.000.000 11.65%A-

5

26-Mar-13

Lautan Luas Shelf Registration Bonds I year 2013

2013 700.000.000.000 9.75%A-

5

19-Jun-18

Lautan Luas Shelf Registration Bonds II Phase I year 2017

2017 200.000.000.000 10.50%

A

5

21-Jun-22

Lautan Luas Shelf Registration Bonds II Phase II year 2017 Series A

2017 364.500.000.000 9.00%A-

3

28-Nov-20

Lautan Luas Shelf Registration Bonds II Phase II year 2017 Series B

2017 285.500.000.000 10.00%

A

5

28-Nov-22

Lautan Luas Shelf Registration Bonds III Phase I year 2020 Series A

2020 181.550.000.000 10.25%

A

3

21-Jul-23

Lautan Luas Shelf Registration Bonds III Phase I year 2020 Series B

2020 105.200.000.000 10.50%

A

5

21-Jul-25

Lautan Luas Shelf Registration Bonds III Phase II year 2021 Series A

2021

315.000.000.000

9.00%

A

3

12-Nov-24

Lautan Luas Shelf Registration Bonds III Phase II year 2021 Series B

2021

135.000.000.000

9.75%

A

5

12-Nov-26

*Refer to Pefindo Press Release on 7 April 2022 Lautan Luas rating raised to A