Listing Date |
15 Jun 2016 |
Issue Date |
08 Jun 2016 |
Issue/ Ask Price |
Malaysian Ringgit (MYR)
0.0250
|
Issue Size Indicator |
Unit |
Issue Size in Unit |
649,821,600 |
Maturity |
Mandatory
|
Maturity Date |
07 Jun 2021
|
Revised Maturity Date |
|
Name of Guarantor |
Not Applicable
|
Name of Trustee |
Not Applicable
|
Coupon/Profit/Interest/Payment Rate |
A cumulative preference dividend rate per annum of 10.0 sen per 100 ICPS shall be payable out of post taxation profits.
|
Coupon/Profit/Interest/Payment Frequency |
The dividends, if any, shall be paid within 14 days from every anniversary of the Issue Date. No dividends shall be paid on the ordinary shares of the Company unless the dividends on the ICPS have first been paid.
|
Redemption |
Not Applicable
|
Exercise/Conversion Period |
5.00
Year(s)
|
Revised Exercise/Conversion Period |
Not Applicable
|
Exercise/Strike/Conversion Price |
Malaysian Ringgit (MYR)
0.1000
|
Revised Exercise/Strike/Conversion Price |
Not Applicable
|
Exercise/Conversion Ratio |
1:1 to 4:1
|
Revised Exercise/Conversion Ratio |
Not Applicable
|
Mode of satisfaction of Exercise/ Conversion price |
cash or tendering of securities |
Settlement Type/ Convertible into |
Physical (Shares) |