ISIN Code |
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MYBPN1600096 |
|
|
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|
ThaiBMA Code |
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|
CIMBT267A |
CFI Code |
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Security Name |
RM570.0 million of subordinated Debt pursuant to the Tier 2 Subordinated Debt Programme of RM2.0 billion in nominal value |
Financial Instrument Type |
Debenture |
Security Status |
Active |
Priority Claim Type |
Subordinated Bond |
Embedded Option Type |
Call |
Redemption Type |
Bullet Bond |
Secured Type |
Unsecured |
Convertible Feature |
No |
Structured Product |
No |
Securitised |
No |
Issue date |
11 Jul 2016 |
Maturity date |
10 Jul 2026 |
Face Value |
 |
|
1,000.00 |
Currency |
MYR |
Total Issued Unit |
|
Redemption price per unit |
|
Outstanding Value by Currency (Million) |
|
Total Issued Value by Currency (Million) |
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