Sukuk Factsheet
Sukuk Factsheet

Sukuk
YNSMK 5.800% 07Dec2026 Corp (MYR)

Yinson Holdings Berhad

Indicative

Full Lot

Bid Price
100.108
Change in Bid Price
remove 0.009
Bid Yield (%)
5.578 %
Change in Bid Yield
0.019
Ask Price
100.597
Change in Ask Price
remove 0.010
Ask Yield (%)
4.579 %
Change in Ask Yield
0.021

Indicative price as of 02 Oct 2026, 4:25pm

Created with Highcharts 10.3.3Yield (%)Chart context menuYield1 Sep3 Sep5 Sep7 Sep9 Sep11 Sep13 Sep15 Sep17 Sep19 Sep21 Sep23 Sep25 Sep27 Sep29 Sep1 Oct44.254.54.7555.255.55.75

Ask Yield to Maturity

Bid Yield to Maturity

Sukuk Feature(s)
Sukuk InformationYinson Holdings Berhad. operates as an energy infrastructure and technology company. The Company provides offshore production and support services through chartering arrangement of its floating, production, storage, and offloading facilities, as well as produces clean energy with growing pipeline of assets. Yinson Holdings serves customers worldwide.

Sukuk Issuer

Yinson Holdings Berhad

Guarantor

-

Announcement Date

25 Nov 2021

Issue Date

07 Dec 2021

Maturity Date

07 Dec 2026

Years to Maturity / Next Call

0.175 / -

Modified Duration

0.165 @ 02 Oct 2026

Issue / Reoffer Price

100.000

Issue / Reoffer Yield

5.550

Distribution Type

Fixed

Annual Distribution Rate

5.800

Distribution Frequency

Semi Annually

Seniority

First Lien

Reference Rate

-

ISIN

MYBVI2104617

CUSIP

BS8096536

Sukuk Currency

MYR

Total Issue Size

1,000,000,000

Min. Investment Quantity (Nominal)

MYR 100

Incremental Quantity (Nominal)

MYR 100

Sukuk Type

High Yield Corporate

Sukuk Sector

Energy

Sukuk Sub Sector

Energy Equipment and Services

Issuer Credit Rating (S&P/ Fitch/ MARC/ RAM)

***/ N.R/ N.R/ A1

Sukuk Credit Rating (S&P/ Fitch/ MARC/ RAM)

***/ N.R/ A+/ A1

Shariah Compliant

Yes

Islamic Principle

Sukuk Al Murabaha
Sukuk Al Wakala Bel Istithmar

Exchange Listed

No

Sukuk Feature(s)
Distribution Rate Step Up
Periodic Distribution Rate (%):

(a) Subject to Item 7(b) and Item 7(c) below, the Expected Periodic Distribution Amount payable for the Sustainability-Linked Sukuk Wakalah shall be calculated at the Periodic Distribution Rate which shall be at the rate of 5.55% per annum calculated on the Nominal Value of each of Series No. 1.

(b) Upon the occurrence of a Trigger Event A (as defined below under Item 7(d)), the Periodic Distribution Rate shall be increased by 0.1% per annum and shall commence from the Periodic Distribution Period (as defined in Item 8) of 7 June 2025 to 7 December 2025, and each Periodic Distribution Period thereafter. For avoidance of doubt, the increased Periodic Distribution Rate

(c) Upon the occurrence of a Trigger Event B (as defined below under Item 7(e)), the Periodic Distribution Rate shall be increased by 0.15% per annum and shall commence from the Periodic Distribution Period of 7 June 2025 to 7 December 2025, and each Periodic Distribution Period thereafter. For avoidance of doubt, the increased Periodic Distribution Rate shall apply to all Periodic Distribution Dates until the relevant Scheduled Dissolution Date, with the first Periodic Distribution Date falling on 7 December 2025. If, following an increase in the Periodic Distribution Rate after the occurrence of Trigger Event B, SPT#2 or SPT#3 or both of them are achieved, there will be no decrease to the Periodic Distribution Rate and the Periodic Distribution Rate will remain unchanged. shall apply to all Periodic Distribution Dates until the relevant Scheduled Dissolution Date, with the first Periodic Distribution Date falling on 7 December 2025. If, following an increase in the Periodic Distribution Rate after the occurrence of Trigger Event A, SPT#1 is achieved, there will be no decrease to the Periodic Distribution Rate and the Periodic Distribution Rate will remain unchanged.

(d) “Trigger Event A” shall mean:

(i) SPT#1 (as defined in Item 21) is not achieved by the Observation Date; or
(ii) the Sustainability-Linked Performance Report (as defined in Item 18), Verification Report (as defined in Item 18) or the SPT Confirmation Notice (as defined in Item 18) is not delivered by the Issuer to the Sukuk Trustee and the Facility Agent within the period specified under Item 18 below, and references to “Trigger Event A” shall include references to any one or more of them.

(e) “Trigger Event B” shall mean:

(i) SPT#2 (as defined in Item 21) and SPT#3 (as defined in Item 21) or any of them are not achieved by the Observation Date; or
(ii) the Sustainability-Linked Performance Report, Verification Report or the SPT Confirmation Notice is not delivered by the Issuer to the Sukuk Trustee and the Facility Agent within the period specified under Item 18 below,
and references to “Trigger Event B” shall include references to any one or more of them.

For the avoidance of doubt:

(i) Trigger Event A and Trigger Event B may both occur at the same time, and in such case, the Periodic Distribution Rate shall be increased pursuant to both Item 7(b) and Item 7(c); and
(ii) the Sukuk Trustee shall not be obliged to monitor, inquire or verify as to whether the Selected SPTs (as defined in Item 21) have been satisfied.
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