Global Bond

Penerbitan 2011 / 2011 Issuance

Volume
(Million)
Issue Date Maturity Date Coupon Applied
Regulation
CUSIP ISIN
USD 1,000 23-May-2011 23-May-2021 5.250% 144A & Reg S 69369EAA7 US69369EAA73 & USY7138AAA89
USD 500 27-May-2011 27-May-2041 6.500% 144A & Reg S 69369EAB5 US69369EAB56 & USY7138AAB62

 

Penerbitan 2012 / 2012 Issuance

Volume
(Million)
Issue Date Maturity Date Coupon Applied
Regulation
CUSIP ISIN
USD 1,250 03-May-2012 03-May-2022 4.875% 144A & Reg S 69369EAC3 US69369EAC30 & USY7138AAC46
USD 1,250 03-May-2012 03-May-2042 6.000% 144A & Reg S 69369EAD1 US69369EAD13 & USY7138AAD29

 

Penerbitan 2013 / 2013 Issuance

Volume
(Million)
Issue Date Maturity Date Coupon Applied
Regulation
CUSIP ISIN
USD 1,625 20-May-2013 20-May-2023 4.300% 144A & Reg S 69369EAE9 US69369EAE95 & USY7138AAE02
USD 1,625 20-May-2013 20-May-2043 5.625% 144A & Reg S 69369EAF6 US69369EAF60 & USY7138AAF76

 

Penerbitan 2014 / 2014 Issuance

Volume
(Million)
Issue Date Maturity Date Coupon Applied
Regulation
CUSIP ISIN
USD 1,500 30-May-2014 30-May-2044 6.450% 144A & Reg S 69370PAA9 US69370PAA93 & US69370RAA59

 

USD 8,750

 

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