1 |
XS0274072429
Issuer
Issuer Name |
SARAWAK CAPITAL INCORPORATED |
Address |
TIARA LABUAN, JALAN TANJUNG, BATU 87000 FEDERAL TERRITORY, OF LABUAN, MY |
Contact Person |
N/A |
Telephone |
N/A |
E-mail |
LIAWSE@SARAWAKNET.GOV.MY |
Instrument
Instrument Name |
GUARANTEED FIXED RATE AMORTISING NOTES DUE 2026 |
ISIN Code |
XS0274072429 |
Instrument Type |
Debt Securities |
Common Code |
N/A |
Instrument Short Name |
SCI.DUE-2026 |
Issue Date |
12 Dec 2006 |
Currency |
USD |
Maturity Date |
12 Dec 2026 |
Listing
Listing Class |
A |
Issue Amount |
350,000,000 |
Listing Method |
Partial |
Subscribe Price |
100000.0 |
Listing Date |
13 Dec 2006 |
Par Value |
1.0 |
Principle |
Conventional |
Coupon Rate |
5.925 |
Listing Status |
Active |
Rating(s) |
0 |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
AmLabuan Holding (L) Ltd |
|
SCI.DUE-2026 |
Active |
350,000,000 |
5.925 |
100000.0 |
2 |
USY68856AH99
Issuer
Issuer Name |
PETRONAS Capital Limited |
Address |
Unit Level 13(E), Main Office, Tower, Financial Park Labuan, Jalan Merdeka, 87000 Labuan, MY |
Contact Person |
N/A |
Telephone |
603-20265000 |
E-mail |
nuraida.ismail@cimb.com; annie.kok@cimb.com |
Instrument
Instrument Name |
USD3.0 billion 5.25% Guaranteed Notes Due 2019 |
ISIN Code |
USY68856AH99 |
Instrument Type |
Loan Notes |
Common Code |
N/A |
Instrument Short Name |
NOTE.DUE2019 |
Issue Date |
13 Aug 2009 |
Currency |
USD |
Maturity Date |
12 Aug 2019 |
Listing
Listing Class |
A |
Issue Amount |
3,000,000,000 |
Listing Method |
Partial |
Subscribe Price |
99.447 |
Listing Date |
14 Aug 2009 |
Par Value |
0.0 |
Principle |
Conventional |
Coupon Rate |
5.25% per annum |
Listing Status |
Active |
Rating(s) |
A-/A1 |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
CIMB BANK (L) LIMITED |
|
NOTE.DUE2019 |
Active |
3,000,000,000 |
5.25% per annum |
99.447 |
3 |
XS0504981746
Issuer
Issuer Name |
Axiata SPV1 (Labuan) Limited |
Address |
Lot 2 & 3, Level 3, Wisma Lazenda, Jalan Kemajuan, 87000 F.T. Labuan, MY |
Contact Person |
N/A |
Telephone |
|
E-mail |
rizal@axiata.com |
Instrument
Instrument Name |
Guaranteed Notes Due 2020 |
ISIN Code |
XS0504981746 |
Instrument Type |
Debt Securities |
Common Code |
N/A |
Instrument Short Name |
AXIATA.2020 |
Issue Date |
06 May 2010 |
Currency |
USD |
Maturity Date |
28 Apr 2020 |
Listing
Listing Class |
A |
Issue Amount |
300,000,000 |
Listing Method |
Partial |
Subscribe Price |
99.939 |
Listing Date |
07 May 2010 |
Par Value |
0.0 |
Principle |
Conventional |
Coupon Rate |
0 |
Listing Status |
Active |
Rating(s) |
0 |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
TMF FUND SERVICES ASIA LIMITED |
|
AXIATA.2020 |
Active |
300,000,000 |
0 |
99.939 |
4 |
SG7X05960522
Issuer
Issuer Name |
Danga Capital Berhad |
Address |
Suite 27-03, Menara Keck Seng, 203 Jalan Bukit Bintang, 55100 Kuala Lumpur, MY |
Contact Person |
N/A |
Telephone |
03-21456828 |
E-mail |
nuraida.ismail@cimb.com; annie.kok@cimb.com |
Instrument
Instrument Name |
SGD900 Million Trust Certificates Due 2020 |
ISIN Code |
SG7X05960522 |
Instrument Type |
Islamic Notes |
Common Code |
N/A |
Instrument Short Name |
CERT.DUE2020 |
Issue Date |
11 Aug 2010 |
Currency |
SGD |
Maturity Date |
11 Aug 2020 |
Listing
Listing Class |
A |
Issue Amount |
900,000,000 |
Listing Method |
Partial |
Subscribe Price |
100.0 |
Listing Date |
12 Aug 2010 |
Par Value |
1.0 |
Principle |
Islamic |
Coupon Rate |
3.725% |
Listing Status |
Active |
Rating(s) |
0 |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
CIMB BANK (L) LIMITED |
|
CERT.DUE2020 |
Active |
900,000,000 |
3.725% |
100.0 |
5 |
XS0638823137
Issuer
Issuer Name |
Equisar International Incorporated |
Address |
Tiara Labuan, Jalan Tanjung Batu, 87000 F.T. Labuan, MY |
Contact Person |
N/A |
Telephone |
+6087 423 828 |
E-mail |
infomy@asia.equitytrust.com |
Instrument
Instrument Name |
Guaranteed and Secured Notes due 2026 |
ISIN Code |
XS0638823137 |
Instrument Type |
Loan Notes |
Common Code |
N/A |
Instrument Short Name |
EQ-CLASS B2 |
Issue Date |
01 Jul 2011 |
Currency |
USD |
Maturity Date |
06 Jul 2026 |
Listing
Listing Class |
A |
Issue Amount |
150,000,000 |
Listing Method |
Partial |
Subscribe Price |
100.0 |
Listing Date |
06 Jul 2011 |
Par Value |
0.0 |
Principle |
Conventional |
Coupon Rate |
0 |
Listing Status |
Active |
Rating(s) |
0 |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
TMF FUND SERVICES ASIA LIMITED |
|
EQ-CLASS B2 |
Active |
150,000,000 |
0 |
100.0 |
6 |
XS0638822915
Issuer
Issuer Name |
Equisar International Incorporated |
Address |
Tiara Labuan, Jalan Tanjung Batu, 87000 F.T. Labuan, MY |
Contact Person |
N/A |
Telephone |
+60 87 423 828 |
E-mail |
infomy@asia.equitytrust.com |
Instrument
Instrument Name |
Guaranteed and Secured Amortising Notes due 2026 |
ISIN Code |
XS0638822915 |
Instrument Type |
Loan Notes |
Common Code |
N/A |
Instrument Short Name |
EQ-CLASS B1 |
Issue Date |
01 Jul 2011 |
Currency |
USD |
Maturity Date |
06 Jul 2026 |
Listing
Listing Class |
A |
Issue Amount |
348,000,000 |
Listing Method |
Partial |
Subscribe Price |
0.0 |
Listing Date |
06 Jul 2011 |
Par Value |
0.0 |
Principle |
Conventional |
Coupon Rate |
0 |
Listing Status |
Active |
Rating(s) |
0 |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
TMF FUND SERVICES ASIA LIMITED |
|
EQ-CLASS B1 |
Active |
348,000,000 |
0 |
0.0 |
7 |
XS0638822675
Issuer
Issuer Name |
Equisar International Incorporated |
Address |
Tiara Labuan, Jalan Tanjung Batu, 87000 F.T. Labuan, MY |
Contact Person |
N/A |
Telephone |
+60 87 423 828 |
E-mail |
infomy@asia.equitytrust.com |
Instrument
Instrument Name |
Guaranteed & Secured Accreting Notes due 2026 |
ISIN Code |
XS0638822675 |
Instrument Type |
Loan Notes |
Common Code |
N/A |
Instrument Short Name |
EQ-CLASS A |
Issue Date |
01 Jul 2011 |
Currency |
USD |
Maturity Date |
06 Jul 2026 |
Listing
Listing Class |
A |
Issue Amount |
302,000,000 |
Listing Method |
Partial |
Subscribe Price |
0.0 |
Listing Date |
06 Jul 2011 |
Par Value |
0.0 |
Principle |
Conventional |
Coupon Rate |
0 |
Listing Status |
Active |
Rating(s) |
0 |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
TMF FUND SERVICES ASIA LIMITED |
|
EQ-CLASS A |
Active |
302,000,000 |
0 |
0.0 |
8 |
USY9485PAB86
Issuer
Issuer Name |
Wakala Global Sukuk Berhad |
Address |
Tingkat 12, Bangunan Setia 1, 15 Lrg Dungun, Bkt Damansara, 50490 Kuala Lumpur, MY |
Contact Person |
N/A |
Telephone |
603 - 2096 5000 |
E-mail |
rahayu.rossley@treasury.gov.my |
Instrument
Instrument Name |
Trust Certificates |
ISIN Code |
USY9485PAB86 |
Instrument Type |
Islamic Notes |
Common Code |
N/A |
Instrument Short Name |
WAKALA.2021 |
Issue Date |
06 Jul 2011 |
Currency |
USD |
Maturity Date |
06 Jul 2021 |
Listing
Listing Class |
A |
Issue Amount |
800,000,000 |
Listing Method |
Partial |
Subscribe Price |
0.0 |
Listing Date |
07 Jul 2011 |
Par Value |
0.0 |
Principle |
Islamic |
Coupon Rate |
4.646% |
Listing Status |
Active |
Rating(s) |
A- & A3 |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
MAYBANK INVESTMENT BANK BERHAD |
|
WAKALA.2021 |
Active |
800,000,000 |
4.646% |
0.0 |
9 |
XS0828755495
Issuer
Issuer Name |
SSG RESOURCES LIMITED |
Address |
TIARA LABUAN, JALAN TANJUNG BATU, 87000 F.T. LABUAN, MY |
Contact Person |
N/A |
Telephone |
082 445501 |
E-mail |
lamwd@sarawak.gov.my |
Instrument
Instrument Name |
Guarenteed and Secured Notes Due 2022 |
ISIN Code |
XS0828755495 |
Instrument Type |
Loan Notes |
Common Code |
N/A |
Instrument Short Name |
SSG-NOTE2022 |
Issue Date |
05 Nov 2012 |
Currency |
USD |
Maturity Date |
04 Oct 2022 |
Listing
Listing Class |
A |
Issue Amount |
800,000,000 |
Listing Method |
Partial |
Subscribe Price |
0.0 |
Listing Date |
06 Nov 2012 |
Par Value |
0.0 |
Principle |
Conventional |
Coupon Rate |
0 |
Listing Status |
Active |
Rating(s) |
0 |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
TMF FUND SERVICES ASIA LIMITED |
|
SSG-NOTE2022 |
Active |
800,000,000 |
0 |
0.0 |
10 |
XS0784926270
Issuer
Issuer Name |
1MDB ENERGY LIMITED |
Address |
LEVEL 1 LOT 7 BLOCK F SAGUKING, COMMERCIAL BUILDING, JALAN, PATAU-PATAU, 87000 LABUAN, MY |
Contact Person |
N/A |
Telephone |
603 2730 8269 |
E-mail |
Azmi.tahir@1mdb.com.my |
Instrument
Instrument Name |
USD1,750,000,000 5.99% GUARANTEED NOTES DUE 2022 |
ISIN Code |
XS0784926270 |
Instrument Type |
Loan Notes |
Common Code |
N/A |
Instrument Short Name |
1MDB-DUE2022 |
Issue Date |
16 May 2013 |
Currency |
USD |
Maturity Date |
11 May 2022 |
Listing
Listing Class |
A |
Issue Amount |
1,750,000,000 |
Listing Method |
Partial |
Subscribe Price |
0.0 |
Listing Date |
17 May 2013 |
Par Value |
0.0 |
Principle |
Conventional |
Coupon Rate |
0 |
Listing Status |
Active |
Rating(s) |
0 |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
TMF FUND SERVICES ASIA LIMITED |
|
1MDB-DUE2022 |
Active |
1,750,000,000 |
0 |
0.0 |
11 |
XS0907172513
Issuer
Issuer Name |
1MDB GLOBAL INVESTMENTS LIMITED |
Address |
COMMERCE HOUSE, WICKHAMS CAY 1, P.O.BOX 3140, ROAD TOWN,, TORTOLA VG 1110, BVI |
Contact Person |
N/A |
Telephone |
603 2730 8269 |
E-mail |
Azmi.tahir@1mdb.com.my |
Instrument
Instrument Name |
USD3,000,000,000 [4.4] PER CENT NOTES DUE 2023 |
ISIN Code |
XS0907172513 |
Instrument Type |
Loan Notes |
Common Code |
N/A |
Instrument Short Name |
1MDB-DUE2023 |
Issue Date |
30 May 2013 |
Currency |
USD |
Maturity Date |
09 Mar 2023 |
Listing
Listing Class |
A |
Issue Amount |
3,000,000,000 |
Listing Method |
Partial |
Subscribe Price |
0.0 |
Listing Date |
03 Jun 2013 |
Par Value |
1.0 |
Principle |
Conventional |
Coupon Rate |
0 |
Listing Status |
Active |
Rating(s) |
0 |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
TMF FUND SERVICES ASIA LIMITED |
|
1MDB-DUE2023 |
Active |
3,000,000,000 |
0 |
0.0 |
12 |
XS0981802738
Issuer
Issuer Name |
EXIM Sukuk Malaysia Berhad |
Address |
Level 10, Menara Hap Seng, No.1 & 3 Jalan P. Ramlee, 50250 Kuala Lumpur, MY |
Contact Person |
N/A |
Telephone |
603 2382 4288 |
E-mail |
sally.ng@tmf-group.com |
Instrument
Instrument Name |
Multicurrency Senior Sukuk |
ISIN Code |
XS0981802738 |
Instrument Type |
Islamic Notes |
Common Code |
N/A |
Instrument Short Name |
EXIM.2019 |
Issue Date |
19 Feb 2014 |
Currency |
USD |
Maturity Date |
19 Feb 2019 |
Listing
Listing Class |
A |
Issue Amount |
300,000,000 |
Listing Method |
Partial |
Subscribe Price |
0.0 |
Listing Date |
20 Feb 2014 |
Par Value |
1.0 |
Principle |
Islamic |
Coupon Rate |
2.874% p.a. |
Listing Status |
Active |
Rating(s) |
A3/A- |
Withdrawal / Delisting Date |
19 Feb 2019 |
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
De-listed vide a letter dated 12 February 2019
|
Listing Sponsor |
MAYBANK INVESTMENT BANK BERHAD |
|
EXIM.2019 |
Active |
300,000,000 |
2.874% p.a. |
0.0 |
13 |
XS1107647155
Issuer
Issuer Name |
CAHAYA CAPITAL LIMITED |
Address |
BRUMBY CENTRE, LOT 42 JALAN MUHIBBAH, 87000 LABUAN FT, MY |
Contact Person |
N/A |
Telephone |
+6087593828 |
E-mail |
caroline.wong@tmf-group.com |
Instrument
Instrument Name |
500 Million Zero Periodic Payment Trust Certificates |
ISIN Code |
XS1107647155 |
Instrument Type |
Islamic Notes |
Common Code |
N/A |
Instrument Short Name |
CAHAYA.2021 |
Issue Date |
18 Sep 2014 |
Currency |
USD |
Maturity Date |
18 Sep 2021 |
Listing
Listing Class |
A |
Issue Amount |
500,000,000 |
Listing Method |
Partial |
Subscribe Price |
100.0 |
Listing Date |
19 Sep 2014 |
Par Value |
0.0 |
Principle |
Islamic |
Coupon Rate |
00 |
Listing Status |
Active |
Rating(s) |
00 |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
CIMB BANK (L) LIMITED |
|
CAHAYA.2021 |
Active |
500,000,000 |
00 |
100.0 |
14 |
XS1115283498
Issuer
Issuer Name |
RHB BANK BERHAD |
Address |
Level 9 Tower 1 RHB Centre, Jalan Tun Razak, 50400 Kuala Lumpur, MY |
Contact Person |
N/A |
Telephone |
(603) 9285 2233 |
E-mail |
klchong@rhb.com.my;rosley@rhb.com.my |
Instrument
Instrument Name |
Euro Medium Term Note |
ISIN Code |
XS1115283498 |
Instrument Type |
Debt Securities |
Common Code |
N/A |
Instrument Short Name |
RHB.EMTN2019 |
Issue Date |
02 Oct 2014 |
Currency |
USD |
Maturity Date |
03 Oct 2019 |
Listing
Listing Class |
A |
Issue Amount |
300,000,000 |
Listing Method |
Full |
Subscribe Price |
100.0 |
Listing Date |
07 Oct 2014 |
Par Value |
1.0 |
Principle |
Conventional |
Coupon Rate |
3.088 per cent |
Listing Status |
Active |
Rating(s) |
A3/BBB+ |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
RHB Bank (L) Ltd |
|
RHB.EMTN2019 |
Active |
300,000,000 |
3.088 per cent |
100.0 |
15 |
XS1150554969
Issuer
Issuer Name |
Cagamas Global P.L.C |
Address |
Level15(A2), Main Office Tower, Financial Park Labuan, Jalan Merdeka, MY |
Contact Person |
N/A |
Telephone |
03-22621800/1900 |
E-mail |
TCM@cagamas.com.my |
Instrument
Instrument Name |
USD500000000 2.745 per cent. due 2019 |
ISIN Code |
XS1150554969 |
Instrument Type |
Debt Securities |
Common Code |
N/A |
Instrument Short Name |
CAGAMAS 2019 |
Issue Date |
09 Dec 2014 |
Currency |
USD |
Maturity Date |
10 Dec 2019 |
Listing
Listing Class |
C |
Issue Amount |
500,000,000 |
Listing Method |
Partial |
Subscribe Price |
100.0 |
Listing Date |
11 Dec 2014 |
Par Value |
0.0 |
Principle |
Conventional |
Coupon Rate |
2.745% |
Listing Status |
Active |
Rating(s) |
A3positive |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
CIMB BANK (L) LIMITED |
|
CAGAMAS 2019 |
Active |
500,000,000 |
2.745% |
100.0 |
16 |
USY68868AA92
Issuer
Issuer Name |
PETRONAS Global Sukuk Ltd. |
Address |
Unit Level 13(E), Main Office, Tower, Financial Park Labuan,, Jalan Merdeka, 87000 Labuan, MY |
Contact Person |
N/A |
Telephone |
603-20265000 |
E-mail |
nuraida.ismail@cimb.com; annie.kok@cimb.com |
Instrument
Instrument Name |
US$1250000000 Trust Certificates due 2020 |
ISIN Code |
USY68868AA92 |
Instrument Type |
Islamic Notes |
Common Code |
N/A |
Instrument Short Name |
CERTDUE.2020 |
Issue Date |
18 Mar 2015 |
Currency |
USD |
Maturity Date |
18 Mar 2020 |
Listing
Listing Class |
A |
Issue Amount |
1,250,000,000 |
Listing Method |
Partial |
Subscribe Price |
100.0 |
Listing Date |
19 Mar 2015 |
Par Value |
0.0 |
Principle |
Islamic |
Coupon Rate |
2.707% |
Listing Status |
Active |
Rating(s) |
A1/A- |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
CIMB BANK (L) LIMITED |
|
CERTDUE.2020 |
Active |
1,250,000,000 |
2.707% |
100.0 |
17 |
USY68856AM84
Issuer
Issuer Name |
PETRONAS Capital Limited |
Address |
Unit Level 13(E), Main Office, Tower, Financial Park Labuan,, Jalan Merdeka, 87000 Labuan, MY |
Contact Person |
N/A |
Telephone |
603-20265000 |
E-mail |
nuraida.ismail@cimb.com; annie.kok@cimb.com |
Instrument
Instrument Name |
US$750000000 3.125% Guaranteed Notes due 2022 |
ISIN Code |
USY68856AM84 |
Instrument Type |
Debt Securities |
Common Code |
N/A |
Instrument Short Name |
NOTESDUE2022 |
Issue Date |
18 Mar 2015 |
Currency |
USD |
Maturity Date |
18 Mar 2022 |
Listing
Listing Class |
A |
Issue Amount |
750,000,000 |
Listing Method |
Partial |
Subscribe Price |
99.39 |
Listing Date |
19 Mar 2015 |
Par Value |
0.0 |
Principle |
Conventional |
Coupon Rate |
3.125% |
Listing Status |
Active |
Rating(s) |
A1/A- |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
CIMB BANK (L) LIMITED |
|
NOTESDUE2022 |
Active |
750,000,000 |
3.125% |
99.39 |
18 |
USY68856AN67
Issuer
Issuer Name |
PETRONAS Capital Limited |
Address |
Unit Level 13(E), Main Office, Tower, Financial Park Labuan,, Jalan Merdeka, 87000 Labuan, MY |
Contact Person |
N/A |
Telephone |
603-20265000 |
E-mail |
nuraida.ismail@cimb.com; annie.kok@cimb.com |
Instrument
Instrument Name |
US$1500000000 3.500% Guaranteed Notes due 2025 |
ISIN Code |
USY68856AN67 |
Instrument Type |
Debt Securities |
Common Code |
N/A |
Instrument Short Name |
NOTESDUE2025 |
Issue Date |
18 Mar 2015 |
Currency |
USD |
Maturity Date |
18 Mar 2025 |
Listing
Listing Class |
A |
Issue Amount |
1,500,000,000 |
Listing Method |
Partial |
Subscribe Price |
99.125 |
Listing Date |
19 Mar 2015 |
Par Value |
0.0 |
Principle |
Conventional |
Coupon Rate |
3.500% |
Listing Status |
Active |
Rating(s) |
A1/A- |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
CIMB BANK (L) LIMITED |
|
NOTESDUE2025 |
Active |
1,500,000,000 |
3.500% |
99.125 |
19 |
USY68856AQ98
Issuer
Issuer Name |
PETRONAS Capital Limited |
Address |
Unit Level 13(E), Main Office, Tower, Financial Park Labuan,, Jalan Merdeka, 87000 Labuan, MY |
Contact Person |
N/A |
Telephone |
603-20265000 |
E-mail |
nuraida.ismail@cimb.com; annie.kok@cimb.com |
Instrument
Instrument Name |
US$1500000000 4.500% Guaranteed Notes due 2045 |
ISIN Code |
USY68856AQ98 |
Instrument Type |
Debt Securities |
Common Code |
N/A |
Instrument Short Name |
NOTESDUE2045 |
Issue Date |
18 Mar 2015 |
Currency |
USD |
Maturity Date |
18 Mar 2045 |
Listing
Listing Class |
A |
Issue Amount |
1,500,000,000 |
Listing Method |
Partial |
Subscribe Price |
98.767 |
Listing Date |
19 Mar 2015 |
Par Value |
0.0 |
Principle |
Conventional |
Coupon Rate |
4.500% |
Listing Status |
Active |
Rating(s) |
A1/A- |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
CIMB BANK (L) LIMITED |
|
NOTESDUE2045 |
Active |
1,500,000,000 |
4.500% |
98.767 |
20 |
USY5749LAA99
Issuer
Issuer Name |
Malaysia Sovereign Sukuk Berhad |
Address |
Tingkat 7, Bangunan Setia 1, 15 Lorong Dungun,Bkt Damansara, 50490 Kuala Lumpur, MY |
Contact Person |
N/A |
Telephone |
0388826601 |
E-mail |
mastura.karim@treasury.gov.my |
Instrument
Instrument Name |
US$1,000,000,000 3.043 per cent. Trust Certificates due 2025 |
ISIN Code |
USY5749LAA99 |
Instrument Type |
Islamic Notes |
Common Code |
N/A |
Instrument Short Name |
MSSB.DUE2025 |
Issue Date |
22 Apr 2015 |
Currency |
USD |
Maturity Date |
22 Apr 2025 |
Listing
Listing Class |
A |
Issue Amount |
1,000,000,000 |
Listing Method |
Partial |
Subscribe Price |
100.0 |
Listing Date |
23 Apr 2015 |
Par Value |
0.0 |
Principle |
Islamic |
Coupon Rate |
3.043% |
Listing Status |
Active |
Rating(s) |
A3/A- |
Withdrawal / Delisting Date |
|
Lead Arrangers/Book Runners/Joint Book Runners/Lead Managers/Joint Lead Managers |
N/A |
Listing Sponsor |
CIMB BANK (L) LIMITED |
|
MSSB.DUE2025 |
Active |
1,000,000,000 |
3.043% |
100.0 |