CONTENT
As Facility Agent, we hereby notify the following is due and payable on 8 January 2021:
i) Principal Redemption & Interest Payment for the stock code UG180004; and
ii) Semi-Annual Interest Payment (from 8 July 2019 to 8 January 2021, 184 days)for the following stock codes:
1. UH180005
2. UI180006
3. UJ180007
4. UK180008
5. UL180009
6. UM180010
7. UN180011
End.
*** DISCLAIMER ***
THIS COMPUTER SYSTEMS AND APPLICATIONS ARE OWNED AND OPERATED BY BURSA MALAYSIA.