Coupon Payment::Mandatory
Issuer & Securities
Issuer/Manager
ASTREA VI PTE. LTD.
Security
ASTREA VI US$228M3.25%B310318 - XS2308478515 - JNCB
Announcement Details
Announcement Title
Coupon Payment
Date &Time of Broadcast
10-Sep-2021 18:47:28
Status
New
Corporate Action Reference
SG210910INTRK7CQ
Submitted By (Co./Ind. Name)
Azalea Investment Management Pte. Ltd.
Designation
Manager
Method of Coupon Computation
30/ 360 (ISDA) or 30/360 (American Basic Rule)
Annual Coupon Rate (%)
3.25
Maturity Date
18/03/2031
Next Coupon Payment Date
20/09/2021
Event Narrative
Narrative Type
Narrative Text
Additional Text
Announcement in relation to interest payment for the US$228,000,000 Class A-2 Secured Fixed Rate Bonds due 2031 of Astrea VI Pte. Ltd.
Event Dates
Coupon Period (both dates inclusive)
18/03/2021 TO 17/09/2021
Number of Days
184
Record Date and Time
13/09/2021 17:00:00
Ex Date
10/09/2021
Disbursement Details
Cash Payment Details
Taxable
No
Coupon Rate (%)
3.25
Pay Date
20/09/2021
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