Trimegah Sekuritas to redeem IDR 100 billion debt on Oct. 18, 2026
The principal redemption is for Obligasi Berkelanjutan II Trimegah Sekuritas Indonesia Tahap II Tahun 2025 Seri A. The bond carries a 6.75% coupon rate.
The principal redemption is for Obligasi Berkelanjutan II Trimegah Sekuritas Indonesia Tahap II Tahun 2025 Seri A. The bond carries a 6.75% coupon rate.