Penawaran umum obligasi lanjutan Public offering of bonds continued
f. Penawaran umum obligasi lanjutan
f. Public offering of bonds continued
2 Obligasi II Bank Jabar 2 Bank Jabar Bonds II Obligasi II Bank Jabar diterbitkan tanggal 2 Juli 1993 dengan nilai nominal Rp50.000 dan tingkat bunga mengambang sebesar 17,25 per tahun. Obligasi ini memiliki jangka waktu lima tahun dan jatuh tempo pada tanggal 2 Juli 1998. Obligasi ini ditawarkan sebesar nilai nominal, dicatat di Bursa Efek Surabaya sekarang Bursa Efek Indonesia pada tanggal 15 Juli 1993 dan dinyatakan efektif berdasarkan surat keputusan Bapepam-LK pada tanggal 11 Juni 1993. Bank Jabar Bonds II were issued on July 2, 1993 with a nominal value of Rp50,000 and floating interest rate of 17.25 per annum. The bonds had a five years term and matured on July 2, 1998. The bonds were offered at their nominal value, listed on the Surabaya Stock Exchange currently the Indonesia Stock Exchange on July 15, 1993 and became effective based on Bapepam-LK decision letter dated June 11, 1993. 3 Obligasi III Bank Jabar 3 Bank Jabar Bonds III Obligasi III Bank Jabar diterbitkan tanggal 18 April 2000 dengan nilai nominal Rp150.000 dan tingkat bunga tetap pada enam bulan pertama sebesar 16,25 per tahun dan mengambang untuk pembayaran bunga selanjutnya. Obligasi ini memiliki jangka waktu lima tahun dan jatuh tempo pada tanggal 18 April 2005. Obligasi ini ditawarkan sebesar nilai nominal, dicatat di Bursa Efek Surabaya sekarang Bursa Efek Indonesia pada tanggal 25 April 2000 dan dinyatakan efektif berdasarkan surat keputusan Bapepam-LK pada tanggal 27 Maret 2000. Bank Jabar Bonds III were issued on April 18, 2000 with a nominal value of Rp150,000 and a fixed interest rate for the first six months of 16.25 per annum and floating interest rate for the rest of the interest payment. The bonds had a five years term and matured on April 18, 2005. The bonds were offered at their nominal value, listed on the Surabaya Stock Exchange currently the Indonesia Stock Exchange on April 25, 2000 and became effective based on Bapepam-LK decision letter dated March 27, 2000. 4 Obligasi IV Bank Jabar 4 Bank Jabar Bonds IV Obligasi IV Bank Jabar diterbitkan tanggal 5 Oktober 2004, terdiri dari: Bank Jabar Bonds IV were issued on October 5, 2004, and consisted of: Seri A dengan nilai nominal Rp300.000, tingkat suku bunga tetap 11,75 per tahun yang dibayarkan setiap tiga bulan, jangka waktu selama tiga tahun sampai dengan tanggal 5 Oktober 2007; Series A with a nominal value of Rp300,000; a fixed interest rate of 11.75 per annum due on a quarterly basis; and a three years term up to October 5, 2007; PT BANK PEMBANGUNAN DAERAH JAWA BARAT DAN BANTEN Tbk DAN ENTITAS ANAK CATATAN ATAS LAPORAN KEUANGAN KONSOLIDASIAN 31 Maret 2012 dan 31 Desember 2011 serta Periode yang berakhir pada tanggal 31 Maret 2012 dan 2011 Disajikan dalam jutaan rupiah, kecuali dinyatakan lain PT BANK PEMBANGUNAN DAERAH JAWA BARAT DAN BANTEN Tbk AND SUBSIDIARY NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS March 31, 2012 and December 31, 2011 and for period ended March 31, 2012 and 2011 Expressed in millions of rupiah, unless otherwise stated 18 1. INFORMASI UMUM lanjutan 1. GENERAL INFORMATION continuedParts
» Laporan Keuangan 31 Maret 2012 Full Version
» Pendirian dan informasi umum Bank Establishment and general information
» Maksud dan tujuan Purpose and objectives
» Jaringan kantor lanjutan Office network continued Manajemen eksekutif Executive management
» Penawaran umum obligasi lanjutan Public offering of bonds continued
» Dasar penyusunan SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES
» Dasar penyusunan Principles of consolidation
» Prinsip konsolidasi lanjutan Principles of consolidation continued
» Aset keuangan dan liabilitas keuangan lanjutan Financial assets and liabilities continued
» Giro pada Bank Indonesia dan bank lain Current accounts with Bank Indonesia and
» Surat berharga lanjutan Marketable securities continued
» Instrumen keuangan derivatif lanjutan Derivative
» Kredit yang diberikan lanjutan Loans continued Pembiayaan syariah Sharia financing
» Identifikasi dan pengukuran penurunan
» Identifikasi dan pengukuran penurunan Identification
» Penyertaan Saham Investments in Shares
» Aset tetap lanjutan Fixed assets continued
» Simpanan nasabah, Simpanan nasabah syariah
» Pendapatan dan beban bunga Interest income and expense Pendapatan provisi
» Perpajakan Taxation Imbalan kerja Employee benefits
» Imbalan kerja lanjutan Employee benefits continued
» KAS CASH GIRO PADA BANK INDONESIA CURRENT
» GIRO PADA BANK INDONESIA lanjutan CURRENT
» Berdasarkan penerbit By issuer
» Berdasarkan penerbit lanjutan By issuer continued Berdasarkan jatuh tempo By maturity
» Berdasarkan sektor ekonomi lanjutan By economic sector continued Berdasarkan jatuh tempo
» Ikhtisar kredit bermasalah berdasarkan
» Informasi pokok lainnya sehubungan Other significant information relating to loans continued
» Informasi pokok lainnya sehubungan
» Berdasarkan sektor ekonomi By economic sector
» ASET TETAP FIXED ASSETS ASET TETAP lanjutan FIXED ASSETS continued
» By type and currency Deposits from customers
» Obligasi VII Bank BJB Bank BJB Bonds VII
» Obligasi VII Bank BJB lanjutan Bank BJB Bonds VII continued
» Obligasi VII Bank BJB lanjutan Bank BJB Bonds VII continued Obligasi VI Bank BJB Bank BJB Bonds VI
» Obligasi VI Bank BJB lanjutan Bank BJB Bonds VI continued
» Obligasi V Bank Jabar lanjutan Bank Jabar Bonds V continued
» LIABILITAS SEGERA OBLIGATIONS DUE IMMEDIATELY PINJAMAN YANG DITERIMA BORROWINGS
» PINJAMAN YANG DITERIMA lanjutan BORROWINGS continued
» Manfaat beban pajak lanjutan Tax benefit expense continued
» MODAL SAHAM SHARE CAPITAL MODAL SAHAM lanjutan SHARE CAPITAL continued
» MODAL SAHAM lanjutan SHARE CAPITAL continued
» AGIO SAHAM PREMIUM ON SHARE CAPITAL APPROPRIATION OF NET INCOME
» KOMITMEN DAN KONTINJENSI COMMITMENTS AND CONTINGENCIES ASET KEUANGAN
» ASET KEUANGAN Laporan Keuangan 31 Maret 2012 Full Version
» ASET KEUANGAN IMBALAN KERJA EMPLOYEE BENEFITS
» IMBALAN KERJA lanjutan EMPLOYEE BENEFITS continued LABA PER SAHAM DASAR BASIC EARNINGS PER SHARE
» TRANSAKSI DENGAN PIHAK-PIHAK BERELASI RELATED PARTY TRANSACTIONS
» TRANSAKSI DENGAN PIHAK-PIHAK BERELASI lanjutan RELATED PARTY TRANSACTIONS continued
» INFORMASI SEGMEN USAHA lanjutan SEGMENT INFORMATION continued
» RISIKO KREDIT lanjutan CREDIT RISK continued
» RISIKO KREDIT lanjutan CREDIT RISK continued RISIKO NILAI TUKAR CURRENCY RISK
» RISIKO NILAI TUKAR lanjutan CURRENCY RISK continued
» RISIKO LIKUIDITAS LIQUIDITY RISK
» RISIKO LIKUIDITAS lanjutan LIQUIDITY RISK continued
» RISIKO SUKU BUNGA INTEREST RATE RISK
» RISIKO SUKU BUNGA lanjutan INTEREST RATE RISK continued
» RISIKO OPERASIONAL OPERATIONAL RISK
» RISIKO OPERASIONAL lanjutan OPERATIONAL RISK continued RASIO LIABILITAS
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