AUCTION
ANNOUNCEMENT OF
BANK
INDONESIA FOREIGN CURRENCY SUKUK
Bank Indonesia will conduct Bank Indonesia Foreign Currency Sukuk auction with details as
follow:
Auction Date (DD/MM/YYYY) : 29/10/2025
Settlement
Date (DD/MM/YYYY) : 31/10/2025
Auction Mechanism : Fixed Rate Tender
Window Time : 14.00 – 15.00 WIB
Percentage
of sanction : 0,01700%
Auction Platform : Bloomberg
Tenor | Series | Maturity Date (DD/MM/YYYY) | Indicative
Profit Rate (%) | Profit
Sharing Ratio (Nisbah) (%) |
1 Month (28
days) | SUVB0128112025 | 28/11/2025 | 4,025 | 90 |
3 Months (91
days) | SUVB0330012026 | 30/01/2026 | 3,950 | 90 |
6 Months
(181 days) | SUVB0630042026 | 30/04/2026 | 3,777 | 90 |
9 Months
(273 days) | SUVB0931072026 | 31/07/2026 | 3,679 | 90 |
12 Months
(364 days) | SUVB1230102026 | 30/10/2026 | 3,581 | 89 |
Jakarta,
October 29th 2025
Bank Indonesia