Second Series of US 50 million Revolving Credit Facility

These Consolidated Financial Statements are Originally Issued in Indonesian Language Ekshibit E56 Exhibit E56 PT TOWER BERSAMA INFRASTRUCTURE Tbk DAN ENTITAS ANAK CATATAN ATAS LAPORAN KEUANGAN KONSOLIDASIAN 31 DESEMBER 2012, 2011 DAN 2010 Disajikan dalam jutaan Rupiah, kecuali dinyatakan lain PT TOWER BERSAMA INFRASTRUCTURE Tbk AND SUBSIDIARIES NOTES TO THE CONSOLIDATED FINANCIAL STATEMENTS 31 DECEMBER 2012, 2011 AND 2010 Expressed in million Rupiah, unless otherwise stated 25. PINJAMAN JANGKA PANJANG Lanjutan 25. LONG-TERM LOANS Continued Pinjaman Sindikasi Lanjutan Syndication loan Continued Program Pinjaman US 2 miliar Lanjutan US 2 billion Debt Programme Continued 3. Fasilitas Pinjaman Seri 3 sebesar US 200 juta Lanjutan

3. Third Series of US 200 million Term Loan Facility Continued

Seri ketiga ini diatur oleh: The creditors who participated in this facility are:  United Overseas Bank Ltd  Oversea-Chinese Banking Corporation Ltd  DBS Bank Ltd  Credit Agricole Corporate and Investment Bank  The Bank of Tokyo-Mitsubishi UFJ, Ltd  PT Bank BNP Paribas Indonesia  PT Bank ANZ Indonesia  PT Bank OCBC NISP Tbk  Standard Bank Plc  Bank of China Limited  PT Bank Commonwealth  CIMB Bank Berhad  United Overseas Bank Ltd  Oversea-Chinese Banking Corporation Ltd  DBS Bank Ltd  Credit Agricole Corporate and Investment Bank  The Bank of Tokyo-Mitsubishi UFJ, Ltd  PT Bank BNP Paribas Indonesia  PT Bank ANZ Indonesia  PT Bank OCBC NISP Tbk  Standard Bank Plc  Bank of China Limited  PT Bank Commonwealth  CIMB Bank Berhad Perusahaan dan entitas anak telah menarik seluruh fasilitas pinjaman ini. Saldo pada tanggal 31 Desember 2012 adalah US 200.000.000. The Company and subsidiaries had fully drawn down this loan facility. The balance as of 31 December 2012 amounted to US 200,000,000. 4. Fasilitas Pinjaman Seri 4 sebesar US 166,5 juta 4. Fourth Series of US 166.5 million Term Loan Facility Pada tanggal 30 Maret 2012, Perusahaan dan entitas anak menerbitkan Fasilitas Pinjaman seri empat dalam program ini sebesar US 166.500.000. Fasilitas ini dikenakan marjin bunga diatas LIBOR sebesar 4,25 per tahun untuk kreditur luar negeri selama dua kuartal pertama. Pada kuartal selajutnya, kreditur luar negeri akan memperoleh margin bunga yang berkisar antara 2,75 sampai dengan 3,75 per tahun kreditur dalam negeri memperoleh tambahan 25 basisi poin, tergantung pada kontribusi pendapatan yang diperoleh Perusahaan dan entitas anak dari empat operator selular utama, dan rasio net senior debt. Seri keempat ini diatur oleh : On 30 March 2012, the Company and subsidiaries entered into the fourth series of Term Loan Facility under the Programme, amouting to US 166,500,000. This facility bears interest margin over LIBOR at 4.25 per annum for onshore lenders and 4.00 per annum for offshore lenders during the initial two quarters. Thereafter, interest margin pricing for offshore lenders will range from 2.75 until 3.75 per annum onshore lenders will receive additional 25 basis points depending on revenue contribution earned by the Company and subsidiaries from the 4 four largest telecommunication operators and net senior debt ratio. The creditors who participated in this facility are:  Oversea-Chinesse Banking Corporation Ltd  DBS Bank Ltd  Credit Agricole Corporate and Investment Bank  The Bank of Tokyo-Mitsubishi UFJ, Ltd.  CIMB Bank Berhad  The Bank of East Asia Limited  Sumitomo Mitsui Banking Corporation  Cathay United Bank  The Hongkong and Shanghai Banking Corporation Limited  Oversea-Chinesse Banking Corporation Ltd  DBS Bank Ltd  Credit Agricole Corporate and Investment Bank  The Bank of Tokyo-Mitsubishi UFJ, Ltd.  CIMB Bank Berhad  The Bank of East Asia Limited  Sumitomo Mitsui Banking Corporation  Cathay United Bank  The Hongkong and Shanghai Banking Corporation Limited 149 Laporan Tahunan 2012 PT Tower Bersama Infrastructure Tbk