International bonds: Indonesia,
8.50% 12oct2035, USD
USY20721AE96
             Download                             Copy
Senior Unsecured
                                     ISSUER              ISSUE
    M                                ***    *            -
    S&P                              ***    *            -
    F                                ***    *            -
                                     *in foreign currency
    STATUS                           Outstanding
    AMOUNT                           1,600,000,000 USD
    PLACEMENT                        ***
    EARLY REDEMPTION                 *** (-)
    COUNTRY OF RISK                  Indonesia
    CURRENT COUPON                   *** %
    PRICE                            *** %
    YIELD / DURATION                 -
             Corporate Actions
             Calculator
                               REGISTER
                           to order full access
DATA PLATFORM FOR FINANCIAL MARKET
PROFESSIONALS AND INVESTORS
ˇ       High performance interface for global bond market
        screening
ˇ       Full information on close to 450,000 bonds from 180
        countries
ˇ       100% coverage of Eurobonds worldwide
ˇ       Over 300 primary sources of prices
ˇ       Ratings data from all international and local ratings
        agencies
ˇ       Stock market data from 90 world trading floors
ˇ       Intuitive, high speed user interface
ˇ       Data access via the website, mobile application and add-
        in for Microsoft Excel
Trading chart                  More about Cbonds Estimation
    Cbonds Estimation
    P         Y     G-spread        Map
        1M         3M         1Y           3Y                Period
Stock exchange and OTC quotes
EXCHANGE/ MARKET                                    BID / ASK
PARTICIPANT
Cbonds Estimation                                     ***
Exante                                                ***
First Worldsec Securities                             ***
Dusseldorf SE                                         ***
Frankfurt S.E.                                        ***
Gettex                                                ***
Munich SE                                             ***
Anonymous participant 20                              ***
Anonymous participant 24                              ***
Anonymous participant 5                               ***
BCP Securities                                        ***
Mashreqbank                                           ***
Stuttgart Exchange                                    ***
Anonymous participant 4                               ***
Anonymous participant 43                              ***
MiFID II Source 1 (APA,                               ***
Post-trade reporting)
Issue information
Profile
Indonesias bond market has grown steadily in recent
years to offer a more diversified array of debt
instruments and cater to a broader investor base. The
market accommodates the needs of both local and ...
Show more
Borrower                              Indonesia
Full issuer name                      Republic of Indonesia
Sector                                sovereign
Volume
Amount                                1,600,000,000 USD
Outstanding face value                1,600,000,000 USD
amount
Nominal
Minimum Settlement                    100,000 USD
Amount
Outstanding face value                *** USD
Par amount, integral                  *** USD
multiple
Nominal                               1,000 USD
Cash flow parameters
Reference rate                        ***
Coupon Rate                           ***
Day count fraction                    ***
Interest Accrual Date                 ***
Coupon frequency                      *** time(s) per year
Payment currency                      ***
Delay days                            *** days
Maturity date                         ***
Early redemption date                 ***
Cash flow
     Calculations for international bonds are made
     according to the minimum trading lot
    END OF COUPON                                  COUPON, %
PERIOD
    Show previous
57 ***                                                ***
58 ***                                                ***
59 ***                                                ***
60 ***                                                ***
Early redemption terms
***
                               REGISTER
                           to order full access
DATA PLATFORM FOR FINANCIAL MARKET
PROFESSIONALS AND INVESTORS
ˇ       High performance interface for global bond market
        screening
ˇ       Full information on close to 450,000 bonds from 180
        countries
ˇ       100% coverage of Eurobonds worldwide
ˇ       Over 300 primary sources of prices
ˇ       Ratings data from all international and local ratings
        agencies
ˇ       Stock market data from 90 world trading floors
ˇ       Intuitive, high speed user interface
ˇ       Data access via the website, mobile application and add-
        in for Microsoft Excel
Placement
Placement method                      Open subscription
Placement type                        Public
Order book                            *** (*** ) - *** (*** )
Coupon (Yield) Guidance               *** % - *** % (*** - *** %)
Issuer rating on issue date           *** / *** / ***
(M/S&P/F)
Placement                             *** - ***
Initial issue price (yield)           (*** %)
Bids                                  *** USD
Number of bids                        ***
Geographic breakdown                  ***
Investor breakdown                    ***
Listing                               ***
Conversion and exchange
Convertion date                       ***
Initial premium                       *** %
Convertible until                     ***
Lock-up                               *** days
Conversion terms                      ***
Issue is included in calculation of
indices
Cbonds Indonesia Sovereign Eurobond Duration Index
Cbonds Indonesia Sovereign Eurobond Index
Show more
Additional information
***
Latest issues
ISSUE                                                 DATE
Indonesia, SBSN Retail                                ***
5.47 10mar2024
Indonesia, Bills 0%                                   ***
3mar2022, IDR (364D)
Indonesia, ORI 5.57                                   ***
15feb2024
Indonesia, Bills 0%                                   ***
19may2021, IDR (90D)
Indonesia, Bills 0%                                   ***
10aug2021, IDR (180D)
Indonesia, Bills 0%                                   ***
5may2021, IDR (90D)
Indonesia, Bills 0%                                   ***
3feb2022, IDR (364D)
Indonesia, Bills 0%                                   ***
20apr2021, IDR (89D)
Indonesia, PBS 6.375                                  ***
15mar2034
Indonesia, Bills 0%                                   ***
13jul2021, IDR (180D)
Show all
News
06/01/2021           New bond issue: Indonesia issued
                     international bonds (XS2280331898)
                     with a 1.1% coupon for EUR 1,000.0m
                     maturing in 2033
06/01/2021           New bond issue: Indonesia issued
                     international bonds (US455780CV60)
                     with a 1.85% coupon for USD 1,250.0m
                     maturing in 2031
06/01/2021           New bond issue: Indonesia issued
                     international bonds (US455780CW44)
                     with a 3.05% coupon for USD 1,250.0m
                     maturing in 2051
06/01/2021           New bond issue: Indonesia issued
                     international bonds (US455780CX27)
                     with a 3.35% coupon for USD 500.0m
                     maturing in 2071
08/10/2020           Key EM CDS Indices & 10Y Government
                     Bonds YTM of September 28 October
                     2
All organization news
Identifiers
Registration                          ***
Date of program                       ***
registration
ISIN RegS                             ***
ISIN 144A                             ***
CUSIP RegS                            ***
CUSIP 144A                            ***
CFI RegS                              DBFUFR
CFI 144A                              DBFTFR
FIGI RegS                             BBG0000652W0
FIGI 144A                             BBG000061W76
WKN RegS                              A0GGVD
Show more
Ratings
         Do not show withdrawn ratings
Issue ratings
AGENCY                                          RATING / FORECAST
Moody’s Investors Service                             ***
S&P Global Ratings                                    ***
Fitch Ratings                                         ***
Issuer ratings
AGENCY                                          RATING / FORECAST
Moody’s Investors Service                             ***
Moody’s Investors Service                             ***
S&P Global Ratings                                    ***
S&P Global Ratings                                    ***
Fitch Ratings                                         ***
Show more
Bond classification
        Senior Unsecured
        Registered
        Coupon bonds
Show more
Restructuring
***
***
Holders
HOLDER                                          MARKET VALUE, MLN
Invesco Emerging Markets                              ***
USD Bond UCITS ETF
JPMorgan ETFs (Ireland)                               ***
ICAV - USD Emerging
Markets Sovereign Bond
UCITS ETF
Vanguard Ethically                                    ***
Conscious Global
Aggregate Bond Index
Hedged ETF
Vanguard Global                                       ***
Aggregate Bond UCITS
ETF
Vanguard USD Emerging                                 ***
Markets Government
Bond UCITS ETF
Xtrackers USD Emerging                                ***
Markets Bond Quality
Weighted UCITS ETF
Xtrackers USD Emerging                                ***
Markets Bond UCITS ETF
iShares Conservative                                  ***
Short Term Strategic Fixed
Income ETF
iShares Conservative                                  ***
Strategic Fixed Income
ETF
iShares Core 10+ Year                                 ***
USD Bond ETF
Show more