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FACTS & FIGURES
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Consolidated IYTM
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Individual IYTM
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MGS Indicative Price
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Outstanding Amount
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Historical Outstanding Amount
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Facility Information
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List of Issuer
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List of Instrument
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Last Update:22 April 2021
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Malaysia Rating Corporation
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Facility Information
Facility Code : 202100018
Facility No. : 202100000019
General
Description
:
MKD KENCANA RM1.0 BILLION GG SUKUK PROGRAMME
Principle
:
ISLAMIC
Maturity Date
:
12/04/2041
Mode of Offer
:
NOT FOR TENDERING
Acronym
:
IMTN
Currency
:
Malaysia Ringgit
Issuer
:
MKD KENCANA SDN BHD
Lead Arranger (LA) /
Facility Agent (FA)
FA
:
MAYBANKINV
LA
:
MAYBANKINV
Co-Arranger
Facility Amount
Facility Limit
:
1,000,000,000.00
Availability Period
:
12/04/2041
Available Limit
:
0.00
Outstanding
:
1,000,000,000.00
Spread Against Reference/ Source
:
Form
:
Bearer
Others
Authorised Depository
:
BNM
Paying Agent
:
BNM
Trustee/Security Agent
:
Islamic Concept
BAI' AT-TAWARRUQ
MURABAHAH
Selling Restrictions
Schedule 6 or Section 229(1)(b)] of the CMSA
Schedule 7 or Section 230(1)(b)] of the CMSA
Schedule 9 or Section 257(3) of the CMSA
SEC 2 (6) OF THE CA 2016
Facility Approval
Facility Approval Date (BNM)
:
Facility Approval Date (SC)
:
DPA Agreement Signed
:
01/04/2021
Approval Expiry
:
Instruments
Instrument Code
:
IMTN
Instrument Description
:
ISLAMIC MEDIUM TERM NOTES
Instrument Type
:
MEDIUM TERM NOTES
Instrument Transaction Type
:
NOT APPLICABLE
Principle
:
ISLAMIC
Bullet / Revolving
Revolving
Instrument Participants
Underwritten : No
Auto deduction of underwriter commitment amount : No
Total Original Commitment (RM)
:
0.00
Total Present Available Commitment (RM)
:
0.00
Organisation
Original Commitment (RM)
Present Available Commitment (RM)
Guaranteed : Yes
Total Guaranteed (RM)
:
1,000,000,000.00
Organisation
Guaranteed Amount (RM)
GOVERNMENT
1,000,000,000.00
Remarks (200 characters)
:
Direct Bidder
Organisation
Primary Subscribers
Organisation
Suspended Direct Bidder
Organisation
Restricted Organisation
Organisation
Market Maker
Organisation
ABS Details
Originator
:
Servicer
:
Special Purpose Vehicle (SPV)
:
Underlying Assets
Rating
Government Guarantee : Yes
Indicator : Exempted
Facility Rating
Instrument
Rating Agency
Effective Date
Current Rating Tenure
Initial Rating
Current Rating
Rating Action
Rating Outlook
Rating Watch
Utilisation
Facility Sectors – refers to issuer’s nature of business
FISS
Sector
Amount (RM)
9999
SECTOR N.E.C.
1,000,000,000.00
Sector Grand Total (RM)
1,000,000,000.00
Facility Utilisation – refers to utilisation of debt securities
FISS
Utilisation
Amount (RM)
Others
1,000,000,000.00
Utilisation Grand Total (RM)
1,000,000,000.00
Attachment
File Name
File Description
MKDK RM1.0B PTC.pdf
Lead Arranger/ Facility Agent Remarks