ANNOUNCEMENT DATE
:
12-Mar-2026
CATEGORY
:
NEWS FROM MEMBERS
SUB-CATEGORY
:
NEWS FROM MEMBERS
TITLE
:
Pavilion REIT Bond Capital Berhad (?Issuer?)
ISSUER NAME
:
PAVILION REIT BOND CAPITAL BERHAD
DESCRIPTION
:
CONTENT
:
As Facility Agent, we wish to inform that the Issuer shall redeem the MTN under Stock Code Nos. UK210117 & UK210118 on the Expected Maturity Date of March 25, 2026. End. *** DISCLAIMER *** THIS COMPUTER SYSTEMS AND APPLICATIONS ARE OWNED AND OPERATED BY BURSA MALAYSIA.
ATTACHMENT
:
SOURCE
:
BURSA