ORI
One of the SBN Ritel instruments is intended for individual Indonesian citizen investors in the primary market. ORI has the characteristics of being tradable in the secondary market with a fixed coupon rate.
Why ORI?
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Principals & rewards are guaranteed by the Country
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Supports national construction financing
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Disbursement of investment funds before maturity
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Available ORI with 3 & 6 years tenor
Product Information
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Issuer
Pemerintah Pusat Negara Republik Indonesia c.q Menteri Keuangan Republik Indonesia
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Product
Obligasi Negara Ritel (ORI)
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Coupon
T-3: 6,65% T-6: 6,75% p.a gross (pajak 10%) fix rate coupon
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Offering Period
27 January - 20 February 2025
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Maturity
15 February 2031
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Minimum Subscription
Rp 1.000.000,-
Term And Condition
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Indonesian citizen proven by e-KTP registered at Dukcapil
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Have a valid NPWP
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Have a BTN account
Other Information
Disclaimer
Bonds are not a product issued by PT Bank Tabungan Negara (Persero), Tbk. All consequences arising from the use of the related data or information are the sole responsibility of the (prospective) investor. Please contact the nearest BTN Priority Bank for further details.