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Score: 0.9999999936287841 Max Score: 0.023972174, AB Score: 0.023972174
/Market-Insights/RAM-Reports/RAM-Reports/2024/20240226-RAM-Ratings-affirms-Cahya-Mata-Sarawak’s 29-02-2024 10:38:49
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Score: 0.9999999936287841 Max Score: 0.023972174, AB Score: 0.023972174
/Market-Insights/RAM-Reports/RAM-Reports/2024/20240227-RAM-Ratings-affirms-Cahya-Mata-Sarawak’s 29-02-2024 10:38:59
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Score: 0.9959980620814503 Max Score: 0.023972174, AB Score: 0.023876239
/Market-Insights/RAM-Reports/RAM-Reports/2022/20221012-RAM-Ratings-assigns-final-AAA-rating-to-A 21-10-2022 10:50:34
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Score: 0.9949611932583875 Max Score: 0.023972174, AB Score: 0.023851383
/Market-Insights/RAM-Reports/RAM-Reports/2024/20241224-RAM-Ratings-affirms-AAA-Stable-and-AAA(s) 31-12-2024 09:42:23
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Score: 0.9947157002979865 Max Score: 0.023972174, AB Score: 0.023845498
/Market-Insights/RAM-Reports/RAM-Reports/2019/20190125-RAM-Ratings-reaffirms-Cahya-Mata-Sarawak’ 25-09-2021 23:35:31
...
Score: 0.9947157002979865 Max Score: 0.023972174, AB Score: 0.023845498
/Market-Insights/RAM-Reports/RAM-Reports/2020/20200123-RAM-Ratings-reaffirms-Cahya-Mata-Sarawak’ 25-09-2021 23:50:52
...
Score: 0.9947157002979865 Max Score: 0.023972174, AB Score: 0.023845498
/Market-Insights/RAM-Reports/RAM-Reports/2021/20210127-RAM-Ratings-reaffirms-Cahya-Mata-Sarawak’ 29-12-2021 17:41:11
...
Score: 0.9947157002979865 Max Score: 0.023972174, AB Score: 0.023845498
/Market-Insights/RAM-Reports/RAM-Reports/2022/20220124-RAM-Ratings-reaffirms-Cahya-Mata-Sarawak’ 28-01-2022 15:13:18
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Score: 0.9947157002979865 Max Score: 0.023972174, AB Score: 0.023845498
/Market-Insights/RAM-Reports/RAM-Reports/2024/20240103-RAM-Ratings-affirms-Maybank-Ageas-at-AA1 09-01-2024 10:27:07
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Displaying results 11 - 20 (of 8740)
RanhillPowertron_IM.pdf

Document Type: Information Memorandum

Facility Code: 200500042

Issuer Name: RANHILL POWERTRON SDN BHD 06-Jul-2017
TSH Sukuk100mil-PTC.pdf

Document Type: Principal Terms and Conditions

Facility Code: 201100009

Issuer Name: TSH Sukuk Musyarakah Sdn Bhd 06-Jul-2017
Genting Cap - PTC.pdf

Document Type: Principal Terms and Conditions

Facility Code: 201200026

Issuer Name: GENTING CAPITAL BERHAD 06-Jul-2017
IBK-IM.pdf

Document Type: Information Memorandum

Facility Code: 200800029

Issuer Name: INDUSTRIAL BANK OF KOREA 06-Jul-2017
Cerah Sama - PTC.pdf

Document Type: Principal Terms and Conditions

Facility Code: 201300014

Issuer Name: CERAH SAMA SDN BHD 06-Jul-2017
TSH Sukuk100mil-IM.pdf

Document Type: Information Memorandum

Facility Code: 201100009

Issuer Name: TSH Sukuk Musyarakah Sdn Bhd 06-Jul-2017
RHB(MCMTN)-IM.pdf

Document Type: Information Memorandum

Facility Code: 201100066

Issuer Name: RHB BANK BERHAD 06-Jul-2017
Poh Kong ICP-IMTN - IM.pdf

Document Type: Information Memorandum

Facility Code: 201100068

Issuer Name: POH KONG HOLDINGS BERHAD 06-Jul-2017
TAQA - IM.pdf

Document Type: Information Memorandum

Facility Code: 201200012

Issuer Name: ABU DHABI NATIONAL ENERGY COMPANY PJSC 06-Jul-2017
Benih Restu Berhad - PTC.pdf

Document Type: Principal Terms and Conditions

Facility Code: 201500026

Issuer Name: BENIH RESTU BERHAD 06-Jul-2017
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Displaying results 1 - 10 (of 299)
IJM Annual Report 2016.pdf

Document Type: Annual Audited Accounts

Issuer Name: IJM CORPORATION BERHAD 18-Jul-2017
Star Media Group AR2016 - Bursa.pdf

Document Type: Annual Audited Accounts

Issuer Name: STAR MEDIA GROUP BERHAD 18-Jul-2017
TTB Annual Report 2016.pdf

Document Type: Annual Audited Accounts

Issuer Name: TALAM CORPORATION BERHAD 18-Jul-2017
TTB Annual Report 2016.pdf

Document Type: Annual Audited Accounts

Issuer Name: TALAM TRANSFORM BHD 18-Jul-2017
Talam AR2017(SC).pdf

Document Type: Annual Audited Accounts

Issuer Name: TALAM CORPORATION BERHAD 18-Jul-2017
Talam AR2017(SC).pdf

Document Type: Annual Audited Accounts

Issuer Name: TALAM TRANSFORM BHD 18-Jul-2017
CHHB_AR2015_full.pdf

Document Type: Annual Audited Accounts

Issuer Name: COUNTRY HEIGHTS HOLDINGS BERHAD 18-Jul-2017
CHHB_AR2016 (Full Version).pdf

Document Type: Annual Audited Accounts

Issuer Name: COUNTRY HEIGHTS HOLDINGS BERHAD 18-Jul-2017
AEON AR2016.pdf

Document Type: Annual Audited Accounts

Issuer Name: AEON CO. (M) BHD. 18-Jul-2017
To SC THP AR16.pdf

Document Type: Annual Audited Accounts

Issuer Name: TH PLANTATIONS BERHAD 18-Jul-2017
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Displaying results 1 - 10 (of 137)
Hong Leong Islamic Bank Berhad

Category: NEWS FROM MEMBERS

Issuer Name: BANK NEGARA MALAYSIA, HONG LEONG ISLAMIC BANK BERHAD 09-Jan-2024
Hong Leong Bank Berhad

Category: NEWS FROM MEMBERS

Issuer Name: BANK NEGARA MALAYSIA, HONG LEONG BANK BERHAD 09-Jan-2024
Cagamas RM60 billion Conventional and Islamic Medium Term Notes Programme

Category: NEWS FROM MEMBERS

Issuer Name: 23-Jan-2024
Cagamas RM60 billion Conventional and Islamic Medium Term Notes Programme

Category: NEWS FROM MEMBERS

Issuer Name: 23-Jan-2024
LION CORPORATION BERHAD ("Issuer" / "LCB")

Category: NEWS FROM MEMBERS

Issuer Name: LION CORPORATION BERHAD 01-Mar-2024
Konsortium KAJV Sdn. Bhd. (''Issuer'')

Category: NEWS FROM MEMBERS

Issuer Name: KONSORTIUM KAJV SDN BHD 02-Apr-2024
Hong Leong Bank Berhad

Category: NEWS FROM MEMBERS

Issuer Name: BANK NEGARA MALAYSIA, HONG LEONG BANK BERHAD 06-May-2024
Hong Leong Bank Berhad

Category: NEWS FROM MEMBERS

Issuer Name: BANK NEGARA MALAYSIA, HONG LEONG BANK BERHAD 06-May-2024
Cagamas RM60 billion Conventional and Islamic Medium Term Notes Programme

Category: NEWS FROM MEMBERS

Issuer Name: 10-May-2024
Hong Leong Bank Berhad

Category: NEWS FROM MEMBERS

Issuer Name: BANK NEGARA MALAYSIA, HONG LEONG BANK BERHAD 19-Jul-2024
1 2
Displaying results 1 - 10 (of 22)
LION CORP RM286.834M RCSLS B(a) 5.000% 31.12.2015 (PK090001)

Issuer Name: LION CORPORATION BERHAD (LION CORP)

Facility Name: LION CORP RM470.733M RCSLS B (200900010)

Instrument Code: LOANSTOCK

Current Rating: Not Rated

ISIN Code: MYBPK0900014 17-Jul-2017
LBS IMTN Tranche 3(A)Series 2 26.07.2033 (VS180244)

Issuer Name: LBS BINA HOLDINGS SDN BHD (LBS)

Facility Name: LBHSB RM500.0M Sukuk Murabahah Programme (201800004)

Instrument Code: IMTN

Current Rating: Not Rated

ISIN Code: MYBVS1802442 20-Aug-2018
TRUSMADI 2021-CP-Issue 1-Tranche1-R-3M(a) (RC210124)

Issuer Name: Trusmadi Capital Sdn Bhd (TRUSMADI)

Facility Name: Trusmadi RM3,000.0 million Perpetual MTN (with sub-limit of RM300.0 million 7-years CP) (202100060)

Instrument Code: CP

Current Rating: MARC-1 (MARC)

ISIN Code: MYBRC2101242 16-Dec-2021
TRUSMADI 2022-CP-Issue 1-Tranche 2-R-3M(a) (RC220014)

Issuer Name: Trusmadi Capital Sdn Bhd (TRUSMADI)

Facility Name: Trusmadi RM3,000.0 million Perpetual MTN (with sub-limit of RM300.0 million 7-years CP) (202100060)

Instrument Code: CP

Current Rating: MARC-1 (MARC)

ISIN Code: MYBRC2200143 16-Mar-2022
TRUSMADI 2022-CP-Issue 1-Tranche 3-R-3M(a) (RC220046)

Issuer Name: Trusmadi Capital Sdn Bhd (TRUSMADI)

Facility Name: Trusmadi RM3,000.0 million Perpetual MTN (with sub-limit of RM300.0 million 7-years CP) (202100060)

Instrument Code: CP

Current Rating: MARC-1 (MARC)

ISIN Code: MYBRC2200465 16-Jun-2022
TRUSMADI 2022-CP-Issue 1-Tranche 4-R-3M(a) (RC220068)

Issuer Name: Trusmadi Capital Sdn Bhd (TRUSMADI)

Facility Name: Trusmadi RM3,000.0 million Perpetual MTN (with sub-limit of RM300.0 million 7-years CP) (202100060)

Instrument Code: CP

Current Rating: MARC-1 (MARC)

ISIN Code: MYBRC2200689 13-Sep-2022
TRUSMADI 2022-CP-Issue 1-Tranche 5-R-3M(a) (RC220115)

Issuer Name: Trusmadi Capital Sdn Bhd (TRUSMADI)

Facility Name: Trusmadi RM3,000.0 million Perpetual MTN (with sub-limit of RM300.0 million 7-years CP) (202100060)

Instrument Code: CP

Current Rating: MARC-1 (MARC)

ISIN Code: MYBRC2201158 09-Dec-2022
TRUSMADI 2023-CP-Issue 1-Tranche 6-R-3M(a) (RC230007)

Issuer Name: Trusmadi Capital Sdn Bhd (TRUSMADI)

Facility Name: Trusmadi RM3,000.0 million Perpetual MTN (with sub-limit of RM300.0 million 7-years CP) (202100060)

Instrument Code: CP

Current Rating: MARC-1 (MARC)

ISIN Code: MYBRC2300075 09-Mar-2023
TRUSMADI 2023-CP-Issue 1-Tranche 7-R-3M(a) (RC230020)

Issuer Name: Trusmadi Capital Sdn Bhd (TRUSMADI)

Facility Name: Trusmadi RM3,000.0 million Perpetual MTN (with sub-limit of RM300.0 million 7-years CP) (202100060)

Instrument Code: CP

Current Rating: MARC-1 (MARC)

ISIN Code: MYBRC2300208 09-Jun-2023
TRUSMADI 2023-CP-Issue 1-Tranche 8-R-3M(a) (RC230048)

Issuer Name: Trusmadi Capital Sdn Bhd (TRUSMADI)

Facility Name: Trusmadi RM3,000.0 million Perpetual MTN (with sub-limit of RM300.0 million 7-years CP) (202100060)

Instrument Code: CP

Current Rating: MARC-1 (MARC)

ISIN Code: MYBRC2300489 09-Sep-2023
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Displaying results 1 - 10 (of 18)