ANNOUNCEMENT DETAILS

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ANNOUNCEMENT DATE
:
17-Jul-2026
CATEGORY
:
NEWS FROM MEMBERS
SUB-CATEGORY
:
NEWS FROM MEMBERS
TITLE
:
Zamarad Assets Berhad ("Issuer")
ISSUER NAME
:
ZAMARAD ASSETS BERHAD
DESCRIPTION
:
CONTENT
:
Pursuant to the redemption notice issued by Zamarad Assets Berhad ("Issuer") dated 17 July 2026, we as the Facility Agent of the Sukuk Murabahah Programme, hereby announce on behalf of the Issuer that the Issuer wishes to redeem the following Sukuk Murabahah on its Expected Maturity Date:

Stock Code : VM190126
Facility Code : 201900041
Redemption on Expected Maturity Date : 24 July 2026
Outstanding Nominal Value : RM20,000,000.00

END.

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