1. The Notes will be listed and quoted in the Bonds Market with effect from 9.00 a.m., Wednesday, 22 January 2020.

2. The short name of the Notes is PT Tower n4.25%250121S and the ISIN Code is XS2099045515.

The letter 'S' denotes that trading of the Notes is restricted to the persons specified in Sections 274 and 275 of the Securities and Futures Act (the 'SFA').

3. The Notes will be quoted and traded in United States Dollars (US$). The Notes will be in denomination of US$200,000 and integral multiples of US$1,000. The Notes will be traded in a minimum board lot size of US$200,000.

4. The issue date of the Notes is 21 January 2020.

5. The name and address of the Principal Paying Agent is as follows: -

The Bank of New York Mellon, London Branch
One Canada Square
London, E14 5AL
United Kingdom

6. The joint Lead Manager / Bookrunner of the Notes are Barclays Bank PLC, Singapore Branch, BNP Paribas, Credit Agricole Corporate and Investment Bank, DBS Bank Ltd., The Hongkong and Shanghai Banking Corporation Limited, Oversea-Chinese Banking Corporation Limited, Australia and New Zealand Banking Group Limited, CIMB Bank Berhad, Labuan Offshore Branch, Mizuho Securities Asia Limited, MUFG Securities Asia Limited Singapore Branch, SMBC Nikko Capital Markets Limited and United Overseas Bank Limited.

7. Please refer to the Issuer's offering documents for complete details before trading.

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SGX - Singapore Exchange Limited published this content on 21 January 2020 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 21 January 2020 09:53:04 UTC