US1,000,000 Facility Agreement LONG-TERM BANK LOANS continued

Lampiran 579 Schedule CATATAN ATAS LAPORAN KEUANGAN KONSOLIDASIAN INTERIM 30 SEPTEMBER 2014, 31 DESEMBER 2013 DAN 30 SEPTEMBER 2013 Dinyatakan dalam ribuan Dolar AS, kecuali dinyatakan lain NOTES TO THE INTERIM CONSOLIDATED FINANCIAL STATEMENTS 30 SEPTEMBER 2014, 31 DECEMBER 2013 AND 30 SEPTEMBER 2013 Expressed in thousands of US Dollars, unless otherwise stated

21. UTANG BANK JANGKA PANJANG lanjutan

21. LONG-TERM BANK LOANS continued

e. Perjanjian Fasilitas AS380.000 lanjutan

e. US380,000 Facility Agreement continued

Sesuai dengan ketentuan dalam perjanjian pinjaman, Adaro diharuskan untuk menjaga beberapa rasio keuangan tertentu, dimana telah ditaati oleh Adaro pada tanggal 30 September 2014. Adaro juga diharuskan untuk memenuhi beberapa persyaratan dan ketentuan mengenai Anggaran Dasar, kegiatan usaha, dividen, aksi korporasi, kegiatan pembiayaan, dan lainnya. Adaro telah memenuhi persyaratan dan ketentuan tersebut. In accordance with the loan agreement, Adaro is required to maintain certain financial ratios, with which Adaro was in compliance as at 30 September 2014. Adaro is also required to comply with certain terms and conditions with regard to its Articles of Association, the nature of the business, dividends, corporate actions, financing activities and other matters. Adaro is in compliance with the related terms and conditions.

f. Perjanjian Fasilitas AS160.000

f. US160,000 Facilities Agreement

Pada tanggal 29 Mei 2012, MBP, sebagai Peminjam, mengadakan perjanjian fasilitas pinjaman sindikasi dengan beberapa bank, yang terdiri dari The Hongkong and Shanghai Banking Corporation Limited cabang Jakarta, Oversea-Chinese Banking Corporation Limited, The Bank of Tokyo- Mitsubishi UFJ Ltd cabang Jakarta, DBS Bank Ltd, Sumitomo Mitsui Banking Corporation, Mizuho Corporate Bank Ltd, CIMB Bank Berhad cabang Singapura, PT Bank ANZ Indonesia dan Standard Chartered Bank sebagai Pelaksana Utama yang Diberi Mandat Mandated Lead Arrangers, Chinatrust Commercial Bank Co Ltd cabang Singapura sebagai Pelaksana Utama Lead Arranger, Oversea-Chinese Banking Corporation Limited sebagai Agen Fasilitas dan The Bank of Tokyo-Mitsubishi UFJ Ltd cabang Jakarta sebagai Agen Penjamin Security Agent. Fasilitas tersebut terdiri dari fasilitas pinjaman berjangka sebesar AS140.000 dan fasilitas pinjaman revolving sebesar AS20.000, dengan dikenakan suku bunga sebesar LIBOR ditambah persentase tertentu. Fasilitas tersebut digunakan untuk membiayai kembali pinjaman intra grup dari Perusahaan, belanja modal, dan tujuan korporasi umum lainnya. Perusahaan menjadi penjamin atas pinjaman sindikasi ini. On 29 May 2012, MBP, as the Borrower, entered into a syndicated loan facility agreement with several banks, which consisted of The Hongkong and Shanghai Banking Corporation Limited Jakarta branch, Oversea-Chinese Banking Corporation Limited, The Bank of Tokyo-Mitsubishi UFJ Ltd Jakarta branch, DBS Bank Ltd, Sumitomo Mitsui Banking Corporation, Mizuho Corporate Bank Ltd, CIMB Bank Berhad Singapore branch, PT Bank ANZ Indonesia and Standard Chartered Bank as Mandated Lead Arrangers, Chinatrust Commercial Bank Co Ltd Singapore branch as Lead Arranger, Oversea-Chinese Banking Corporation Limited as Facility Agent and The Bank of Tokyo-Mitsubishi UFJ Ltd Jakarta branch as Security Agent. These facilities consist of a term loan facility of US140,000 and a revolving loan facility of US20,000, with interest rates at LIBOR plus a certain percentage. These facilities were used for refinancing the intra-group loans from the Company, capital expenditure and other general corporate purposes. The Company acts as the guarantor of this syndicated loan. Fasilitas pinjaman berjangka dibayar setiap kuartal dengan angsuran pertama pada tanggal 19 Agustus 2015. Kedua fasilitas pinjaman berjangka dan fasilitas pinjaman revolving mempunyai masa jatuh tempo pada tahun ketujuh dari tanggal perjanjian. The term loan facility is payable quarterly with the first installment due on 19 August 2015. Both the term loan facility and the revolving loan facility have a maturity date of the seventh anniversary of the date of the loan agreement. Lampiran 580 Schedule CATATAN ATAS LAPORAN KEUANGAN KONSOLIDASIAN INTERIM 30 SEPTEMBER 2014, 31 DESEMBER 2013 DAN 30 SEPTEMBER 2013 Dinyatakan dalam ribuan Dolar AS, kecuali dinyatakan lain NOTES TO THE INTERIM CONSOLIDATED FINANCIAL STATEMENTS 30 SEPTEMBER 2014, 31 DECEMBER 2013 AND 30 SEPTEMBER 2013 Expressed in thousands of US Dollars, unless otherwise stated

21. UTANG BANK JANGKA PANJANG lanjutan