As Facility Agent of the aforementioned Bonds, we hereby announce on behalf of SESB that the coupon payment for the following stock codes will be due and payable on 24 October 2019:
PL120012, PM120011, PN120010, PO120009, PP120008, PQ120007, PR120006 & PS120005.
Please be notified accordingly.
*** DISCLAIMER ***
THIS COMPUTER SYSTEMS AND APPLICATIONS ARE OWNED AND OPERATED BY BURSA MALAYSIA.