Bond structure:

Issuer

PT. Wahana Ottomitra Multiartha Tbk (WOMF)

The target proceeds of Shelf Registration Bond

Rp 5 trillion

Third phase issuance

Rp. 800 billion

Three series of bonds

  • Series A Rp. 411,500,000,000, fixed coupon rate 9.25%, mature on December 30, 2019,
  • Series B Rp. 38 billion, fixed coupon rate 9.75%, mature on December 20, 2020,
  • Series C Rp 119 billion, fixed coupon rate 10%, mature on December 20, 2021

Bond rating

AA- (idn) from PT. Fitch Ratings Indonesia

Underwriter

  • PT. Bahana Sekuritas,
  • PT. DBS Vickers Sekuritas Indonesia,
  • PT. Indo Premier Securities,
  • PT. Maybank Kim Eng Securities (affiliated),
  • PT. RHB Sekuritas Indonesia

Funds usage

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 Schedule:

Effective Date

December 14, 2018

Public Offering

December 17, 2018

Allotment Date

December 18, 2018

Electronic Distribution Date

December 20, 2018

Listing Date in Indonesia Stock Exchange

December 21, 2018

WOMF - PT. Wahana Ottomitra Multiartha Tbk

Rp 350

-4 (-1,00%)