BEBAN YANG MASIH HARUS DIBAYAR

PT ADARO ENERGY Tbk DAN ENTITAS ANAKNYAAND ITS SUBSIDIARIES Lampiran 576 Schedule CATATAN ATAS LAPORAN KEUANGAN KONSOLIDASIAN PADA TANGGAL DAN UNTUK TAHUN-TAHUN YANG BERAKHIR PADA TANGGAL 31 DESEMBER 2016 DAN 2015 Dinyatakan dalam ribuan Dolar AS, kecuali dinyatakan lain NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS AS AT AND FOR THE YEARS ENDED 31 DECEMBER 2016 AND 2015 Expressed in thousands of US Dollars, unless otherwise stated

20. UTANG BANK lanjutan

20. BANK LOANS continued

Tingkat suku bunga utang bank jangka panjang tersebut adalah sebagai berikut: The interest rates on the long-term bank loans are as follows: 2016 2015 Dolar AS 2.3 - 3.2 1.8 - 3.6 US Dollars

a. Perjanjian Fasilitas AS1.000.000

a. US1,000,000 Facility Agreement

Pada tanggal 25 Agustus 2014, Adaro, mengadakan perjanjian Fasilitas Kredit sebesar AS1.000.000 dengan beberapa bank yang terdiri dari Australia and New Zealand Banking Group Limited, CIMB Bank Berhad cabang Singapura, Citigroup Global Markets Singapore Pte. Ltd., CTBC Bank Co., Ltd., Singapore, DBS Bank Ltd., Ing Bank N.V., cabang Singapura, Malayan Banking Berhad cabang Singapura, Mizuho Bank, Ltd., Oversea-Chinese Banking Corporation Ltd., Standard Chartered Bank, Sumitomo Mitsui Banking Corporation, The Bank of Tokyo-Mitsubishi UFJ Ltd. cabang Singapura dan Jakarta, HSBC dan United Overseas Bank Limited sebagai Pelaksana Utama yang Diberi Mandat Mandated Lead Arrangers, dimana Australia and New Zealand Banking Group Limited bertindak sebagai agen fasilitas. Pada tanggal 2 Juni 2016, Perjanjian Fasilitas ini telah diubah dan dinyatakan kembali terkait ketentuan umum. Efektif tanggal 25 Agustus 2016 Oversea-Chinese Banking Corporation Limited bertindak sebagai agen fasilitas. Perusahaan dan Coaltrade bertindak sebagai penjamin atas fasilitas pinjaman ini. On 25 August 2014, Adaro entered into a US1,000,000 Facility Agreement with several banks consisting of Australia and New Zealand Banking Group Limited, CIMB Bank Berhad Singapore branch, Citigroup Global Markets Singapore Pte. Ltd., CTBC Bank Co., Ltd., Singapore, DBS Bank Ltd., Ing Bank N.V., Singapore branch, Malayan Banking Berhad, Singapore branch, Mizuho Bank, Ltd., Oversea-Chinese Banking Corporation Ltd., Standard Chartered Bank, Sumitomo Mitsui Banking Corporation, The Bank of Tokyo- Mitsubishi UFJ Ltd. Singapore and Jakarta branch, HSBC and United Overseas Bank Limited as Mandated Lead Arrangers, for which Australia and New Zealand Banking Group Limited acts as the facility agent. On 2 June 2016, the Facility Agreement was amended and restated regarding general terms. Effective from 25 August 2016 Oversea- Chinese Banking Corporation Limited acts as the Facility Agent. The Company and Coaltrade act as the guarantor of this loan facility. Fasilitas pinjaman ini digunakan untuk membiayai kembali pinjaman. Fasilitas ini akan jatuh tempo pada tanggal 25 Agustus 2021 dan dibayarkan setiap kuartal. Fasilitas ini dikenakan bunga sebesar LIBOR ditambah persentase tertentu. This loan facility was used for the purpose of loan refinancing. This facility has a final maturity date of 25 August 2021 and is payable on a quarterly basis. This facility bears interest at LIBOR plus a certain percentage.