ANNOUNCEMENT DETAILS

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ANNOUNCEMENT DATE
:
17-Jun-2025
CATEGORY
:
GREEN FINANCING
SUB-CATEGORY
:
GREEN FINANCING
TITLE
:
LEADER ENERGY SDN. BHD. ("Issuer")
ISSUER NAME
:
LEADER ENERGY SDN. BHD.
DESCRIPTION
:
CONTENT
:
As Facility Agent of the above ASEAN Green SRI Sukuk Wakalah, we hereby notify on behalf of the Issuer that the Redemption and Periodic Distribution for the following stock codes will be due and payable on 16 July 2025.

Redemption

Stock Code:
1) VI200130

Periodic Distribution

Stock Code:
1) VI200130
2) VJ200131
3) VK200132
4) VL200133
5) VM200134
6) VN200135
7) VO200136
8) VP200137
9) VQ200138
10) VR200139
11) VS200140
12) VT200141
13) VU200142
14) VV200143

Please be notified accordingly.
Thank you.

*** DISCLAIMER ***
THIS COMPUTER SYSTEMS AND APPLICATIONS ARE OWNED AND OPERATED BY BURSA MALAYSIA.
ATTACHMENT
:
SOURCE
:
BURSA