Bank Pundi Indonesia rights issue, with 1000:256 ratio, cum on December 7, 2015
Number of shares offered | As much as 2,753,309,991 ordinary shares on behalf |
Nominal value | Rp. 100 |
Ratio (previous stock: new stock) | 1000: 256 |
Exercise Price of Rights issue | Rp 200 - Rp 225 per share |
Date of EGMS | November 30, 2015 |
Effective date | November 30, 2015 |
Cum Pre-emptive Rights (HMETD) in Regular and Negotiation Markets | December 7, 2015 |
Ex HMETD in Regular and Negotiation Markets | December 8, 2015 |
Cum HMETD in Cash Market | December 10, 2015 |
Ex HMETD in the Cash Market | December 11, 2015 |
Date of DPS to obtain HMETD | December 10, 2015 |
Rights Distribution | December 11, 2015 |
Listing in Indonesia Stock Exchange | December 14, 2015 |
Rights trading period | December 14 - 21, 2015 |
Implementation period of Rights issue | December 14-21, 2015 |
Last payment date of additional stock orders | December 23, 2015 |
Shares distribution from Rights issue | December 23, 2015 |
Allotment date | December 28, 2015 |
Refund of share purchase orders | December 30, 2015 |