Bond Factsheet
Bond Factsheet

CAPITA 2.150% 07Dec2032 Corp (SGD)

CMT MTN Pte Ltd

Indicative

Full Lot

Bid Price
95.617
Change in Bid Price
-
Bid Yield (%)
2.932 %
Change in Bid Yield
-
Ask Price
96.250
Change in Ask Price
-
Ask Yield (%)
2.817 %
Change in Ask Yield
-

Indicative price as of 06 Oct 2026, 4:04pm

Created with Highcharts 10.3.3Yield (%)Chart context menuYield6 Sep8 Sep10 Sep12 Sep14 Sep16 Sep18 Sep20 Sep22 Sep24 Sep26 Sep28 Sep30 Sep2 Oct4 Oct2.52.62.72.82.93

Ask Yield to Worst

Bid Yield to Worst

Ask Yield to Maturity

Bid Yield to Maturity

Bond Feature(s)
Bond InformationCMT 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

CMT MTN Pte Ltd

Guarantor

CapitaLand Integrated Commercial Trust

Announcement Date

30 Nov 2020

Issue Date

07 Dec 2020

Maturity Date

07 Dec 2032

Years to Maturity / Next Call

6.173 / -

Modified Duration

5.674 @ 06 Oct 2026

Issue / Reoffer Price

100.000

Issue / Reoffer Yield

2.150

Coupon Type

Fixed

Annual Coupon Rate

2.150

Coupon Frequency

Semi Annually

Seniority

Senior Unsecured

Reference Rate

-

ISIN

SGXF42824155

CUSIP

BM8230575

Bond Currency

SGD

Total Issue Size

250,000,000

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
Redemption upon Termination of CMT

In the event that CMT is terminated in accordance with the provisions of the CMT Trust Deed (as defined in the 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 CMT.

The Issuer shall forthwith notify the Trustee, the Agents and the Noteholders of the termination of CMT.
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Maturity Date: 07 Dec 2032

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