Publisher :
PT Bank Tabungan Negara Tbk
Instrument Name :
Obligasi Subordinasi Berkelanjutan I Bank BTN Tahap I Tahun 2025
Issue Amount :
A maximum of Rp2.000.000.000.000,- (Two Trillion Rupiah)
Tenor & Interest Rate / Yield Range :
- Series A : 5 years / 5,85% - 6,75%
Rating:
idAA (Double 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 :
Quarterly
Initial Offering Period :
November 21 - 28, 2025
Payment from Investors :
December 11, 2025
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