Hyflux Ltd
Indicative
Full Lot
Indicative price as of 07 Sep 2018, 12:00am
Bond Issuer
Hyflux Ltd
Guarantor
-
Announcement Date
31 Aug 2011
Issue Date
07 Sep 2011
Maturity Date
07 Sep 2018
Years to Maturity / Next Call
- / -
Modified Duration
-
Issue / Reoffer Price
100.000
Issue / Reoffer Yield
4.250
Coupon Type
Fixed
Annual Coupon Rate
4.250
Coupon Frequency
Semi Annually
Seniority
Senior Unsecured
Reference Rate
-
ISIN
SG6Q70974010
CUSIP
EI8014173
Bond Currency
SGD
Total Issue Size
-
Outstanding Issue Size
100,000,000
Min. Investment Quantity (Nominal)
SGD 250,000
Incremental Quantity (Nominal)
SGD 250,000
Bond Type
High Yield Corporate
Bond Sector
Utilities
Bond Sub Sector
Water Utilities
Issuer Credit Rating (S&P/ Fitch)
***/ N.R
Bond Credit Rating (S&P/ Fitch)
***/ N.R
Shariah Compliant
No
Exchange Listed
No
The Issuer may, on giving irrevocable notice to the Noteholders falling within the Issuer's Redemption Option Period shown on the face hereof, redeem some of the Notes at their Redemption Amount or integral multiples thereof and on the date or dates so provided. Any such redemption of Notes shall be at their Redemption Amount, together with interest accrued to the date fixed for redemption.
| Period | Redemption Price |
|---|---|
| 07 Sep 2015 | 102.125% |
| 07 Mar 2016 | 102.125% |
| 07 Sep 2016 | 101.063% |
| 07 Mar 2017 | 101.063% |
| 07 Sep 2017 | 100.000% |
| 07 Mar 2018 | 100.000% |
