Publisher :
PT Bank Tabungan Negara (Persero) Tbk
Instrument Name :
Obligasi Berwawasan Sosial Berkelanjutan I Bank BTN Tahap II Tahun 2026
Issue Amount :
A maximum of Rp1.000.000.000.000,- (One Trillion Rupiah)
Tenor & Interest Rate / Yield Range :
- Series A : 370 day/ 6,40% - 7,35%
- Series B : 3 years/ 6,50% - 7,45%
Rating :
iidAAA (Triple A) from PT Pemeringkat Efek Indonesia (PEFINDO)
Offer Price :
100% (one hundred percent) of the Principal Amount of the Bonds
Minimum Order :
Rp100.000.000,- (One Hundred Million Indonesian Rupiah)
Bond Interest Payments :
Every 3 (three) months
Initial Offering Period :
September 1-11, 2026
Payment from Investors :
October 1, 2026

