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SECURITY INFORMATION
BOND+SUKUK
INFORMATION
RELATED DOCUMENTS
AND FINANCIALS
RATING
MOVEMENTS
PAYMENT
SCHEDULES
REDEMPTION
TRADING
ACTIVITIES
CHART
CRE IMTN 6.500% 04.09.2120
Issuer Name:
CYPARK RENEWABLE ENERGY SDN. BHD.
Calculator
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Security Information
Principle
Islamic
ISIN Code
MYBVZ2003755
Islamic Concept
MUSYARAKAH
Stock Code
VZ200375
Instrument Code
IMTN
Category
Corporate
Issue Date
30-Dec-2020
Maturity Date
04-Sep-2120
Profit Rate
6.50
Profit Type
Fixed Rate
Profit Frequency
Semi-annually
Day Count
ACTUAL/365
Issue Tenure (Years)
100
Residual Tenure (Years)
99.57
Sub Category
Non-ESG Bond
Latest Trading
Last Traded Yield (%)
6.48
Last Traded Price (RM)
100.14
Last Traded Amount (RM'mil)
0.25
Last Traded Date
13-Jan-2021
Ratings
Ratings
Not Rated
Profit Payment Details
Profit Accrual
30-Dec-2020
Prev Profit Payment Date
04-Mar-2021
First Profit Payment Date
04-Mar-2021
Next Profit Payment Date
06-Sep-2021
Last Profit Payment Date
04-Sep-2120
Issuance
Amount Issued (RM'mil)
15
Amount Outstanding (RM'mil)
15
Additional Info
Lead Arranger
RHBINVB
Facility Agent
RHBINVB
Facility Code
202000030
RELATED DOCUMENTS AND FINANCIALS
Seq
Document Type
Document Name
1
Principal Terms and Conditions
CRE.OTC.clean.20200602..pdf
2
Information Memorandum
CRE Information Memorandum dated 26 June 2020.pdf
3
Trust Deed
CRE - Trust Deed dated 11.08.2020 (endorsed)(searchable).pdf
RATING MOVEMENTS
Rating Agency
Effective Date
Rating Tenure
Rating
Rating Action
Rating Outlook
Rating Watch
No result found
PAYMENT SCHEDULES
Seq
Start Date
End Date
Payment Date
Ex-Date
Profit Rate (%)
Adjustment Date
1
30-Dec-2020
04-Mar-2021
04-Mar-2021
04-Mar-2021
6.500
04-Mar-2021
2
04-Mar-2021
06-Sep-2021
06-Sep-2021
06-Sep-2021
6.500
06-Sep-2021
3
06-Sep-2021
04-Mar-2022
04-Mar-2022
04-Mar-2022
6.500
04-Mar-2022
4
04-Mar-2022
05-Sep-2022
05-Sep-2022
05-Sep-2022
6.500
05-Sep-2022
5
05-Sep-2022
06-Mar-2023
06-Mar-2023
06-Mar-2023
6.500
06-Mar-2023
6
06-Mar-2023
04-Sep-2023
04-Sep-2023
04-Sep-2023
6.500
04-Sep-2023
7
04-Sep-2023
04-Mar-2024
04-Mar-2024
04-Mar-2024
6.500
04-Mar-2024
8
04-Mar-2024
04-Sep-2024
04-Sep-2024
04-Sep-2024
6.500
04-Sep-2024
9
04-Sep-2024
04-Mar-2025
04-Mar-2025
04-Mar-2025
6.500
04-Mar-2025
10
04-Mar-2025
04-Sep-2025
04-Sep-2025
04-Sep-2025
6.500
04-Sep-2025
11
04-Sep-2025
04-Mar-2026
04-Mar-2026
04-Mar-2026
6.500
04-Mar-2026
12
04-Mar-2026
04-Sep-2026
04-Sep-2026
04-Sep-2026
6.500
04-Sep-2026
13
04-Sep-2026
04-Mar-2027
04-Mar-2027
04-Mar-2027
6.500
04-Mar-2027
14
04-Mar-2027
03-Sep-2027
03-Sep-2027
03-Sep-2027
6.500
06-Sep-2027
15
03-Sep-2027
06-Mar-2028
06-Mar-2028
06-Mar-2028
8.500
06-Mar-2028
16
06-Mar-2028
04-Sep-2028
04-Sep-2028
04-Sep-2028
8.500
04-Sep-2028
17
04-Sep-2028
05-Mar-2029
05-Mar-2029
05-Mar-2029
9.500
05-Mar-2029
18
05-Mar-2029
04-Sep-2029
04-Sep-2029
04-Sep-2029
9.500
04-Sep-2029
19
04-Sep-2029
04-Mar-2030
04-Mar-2030
04-Mar-2030
10.500
04-Mar-2030
20
04-Mar-2030
04-Sep-2030
04-Sep-2030
04-Sep-2030
10.500
04-Sep-2030
1
2
3
4
5
6
7
8
9
10
Displaying results 1 - 20 (of 200)
Redemption
Allow Partial Call
No
Last Call Date
03-Sep-2027
Redeem to Nearest Denomination
No
Call Schedule
Start Date
End Date
Call Price
03-Sep-2027
04-Sep-2120
100.00
Lockout Period
Start Date
End Date
No result found
TRADING ACTIVITIES
Trade Date
Input Time
Amount (RM'mil)
Price
Yield (%)
Value Date
13-Jan-2021
05:10:41 PM
0.25
100.14
6.48
15-Jan-2021
13-Jan-2021
05:10:13 PM
0.25
100.08
6.49
15-Jan-2021
CHART
BOND
SUKUK
Category
All
Government
Corporate
Issuer Name
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There is no yield in pass 3 months
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