ANNOUNCEMENT DETAILS

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ANNOUNCEMENT DATE
:
21-Jan-2022
CATEGORY
:
GREEN FINANCING
SUB-CATEGORY
:
GREEN FINANCING
TITLE
:
SINAR KAMIRI SDN BHD - RM245.0 MILLION GREEN SRI SUKUK WAKALAH BI AL-ISTITHMAR
ISSUER NAME
:
SINAR KAMIRI SDN BHD
DESCRIPTION
:
CONTENT
:
As Facility Agent, we hereby notify the redemption for stock code VH180051 and the periodic distribution payment for the following stocks in respect of the above facility will be due and payable on the following dates:-

a) Redemption and final periodic distribution payment for stock code VH180051 will be due and payable on 28 January 2022.

b) Periodic distribution payment for the following stock codes will be due and payable on 31 January 2022:-

1.  VI180052
2.  VJ180053
3.  VK180054
4.  VL180055
5.  VM180056
6.  VN180057
7.  VO180058
8.  VP180059
9.  VQ180060
10. VR180061
11. VS180062
12. VT180063
13. VU180064
14. VV180065

Please be notified accordingly.

*** DISCLAIMER ***
THIS COMPUTER SYSTEMS AND APPLICATIONS ARE OWNED AND OPERATED BY BURSA MALAYSIA.
ATTACHMENT
:
SOURCE
:
BURSA