Bond Factsheet
Bond Factsheet

Matured/ Called
ARTSP 3.523% 09Nov2023 Corp (SGD)

Ascott REIT MTN Pte Ltd

Indicative

Full Lot

Bid Price
100.042
Change in Bid Price
0.062
Bid Yield (%)
-
Change in Bid Yield
-
Ask Price
100.093
Change in Ask Price
0.015
Ask Yield (%)
-
Change in Ask Yield
-

Indicative price as of 09 Nov 2023, 12:00am

Bond InformationAscott REIT MTN Pte. Ltd. operates as a special purpose entity. The Company was formed for the purpose of issuing debt securities to repay existing credit facilities, refinance indebtedness, and for acquisition purposes.

Bond Issuer

Ascott REIT MTN Pte Ltd

Guarantor

Ascott Residence Trust

Announcement Date

01 Nov 2018

Issue Date

09 Nov 2018

Maturity Date

09 Nov 2023

Years to Maturity / Next Call

- / -

Modified Duration

-

Issue / Reoffer Price

100.000

Issue / Reoffer Yield

3.523

Coupon Type

Fixed

Annual Coupon Rate

3.523

Coupon Frequency

Semi Annually

Seniority

Senior Unsecured

Reference Rate

-

ISIN

SGXF25483649

CUSIP

AV4239613

Bond Currency

SGD

Total Issue Size

100,000,000

Min. Investment Quantity (Nominal)

SGD 250,000

Incremental Quantity (Nominal)

SGD 250,000

Bond Type

Corporate

Bond Sector

Financials

Bond Sub Sector

Real Estate Investment Trusts

Issuer Credit Rating (S&P/ Fitch)

***/ N.R

Bond Credit Rating (S&P/ Fitch)

***/ N.R

Shariah Compliant

No

Exchange Listed

SGX

Bond Feature(s)
Issuer Call
In the event that Ascott Reit is terminated in accordance with the provisions of the Ascott Reit Trust Deed, the Issuer shall redeem all (and not some only) of the Notes at their redemption amount together with interest accrued to the date fixed for redemption on any date on which interest is due to be paid on such Notes or, if earlier, the date of termination of Ascott Reit.
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