ANNOUNCEMENT DATE
:
23-Jun-2022
CATEGORY
:
GREEN FINANCING
SUB-CATEGORY
:
GREEN FINANCING
TITLE
:
LEADER ENERGY SDN. BHD. (''Issuer'')
ISSUER NAME
:
LEADER ENERGY SDN. BHD.
DESCRIPTION
:
CONTENT
:
As Facility Agent of the above ASEAN Green SRI Sukuk Wakalah, we hereby notify on behalf of the Issuer that the Principal Redemption and Periodic Distribution for the following stock codes will be due and payable on 18 July 2022. (A) Principal Redemption Stock Code: 1) VF200127 (B) Periodic Distribution Stock Code: 1) VF200127 2) VG200128 3) VH200129 4) VI200130 5) VJ200131 6) VK200132 7) VL200133 8) VM200134 9) VN200135 10) VO200136 11) VP200137 12) VQ200138 13) VR200139 14) VS200140 15) VT200141 16) VU200142 17) VV200143 Please be notified accordingly. Thank you. *** DISCLAIMER *** THIS COMPUTER SYSTEMS AND APPLICATIONS ARE OWNED AND OPERATED BY BURSA MALAYSIA.
ATTACHMENT
:
SOURCE
:
BURSA