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BISTDB - Notification of interest amounts
The Standard Bank of South Africa Limited
Incorporated in the Republic of South Africa
Bond Code: CLN627 ISIN NO: ZAG000164351
Bond Code: CLN628 ISIN NO: ZAG000164369
Bond Code: CLN710 ISIN NO: ZAG000170713
Bond Code: CLN711 ISIN NO: ZAG000171018
Bond Code: CLN717 ISIN NO: ZAG000171422
Bond Code: CLN720 ISIN NO: ZAG000171638
Bond Code: CLN721 ISIN NO: ZAG000171869
Bond Code: CLN723 ISIN NO: ZAG000172073
Bond Code: CLN730 ISIN NO: ZAG000172669
Bond Code: CLN731 ISIN NO: ZAG000172941
Bond Code: CLN732 ISIN NO: ZAG000173576
Bond Code: CLN736 ISIN NO: ZAG000175308
Bond Code: CLN740 ISIN NO: ZAG000175803
Bond Code: CLN743 ISIN NO: ZAG000176025
Bond Code: CLN754 ISIN NO: ZAG000177759
Bond Code: CLN755 ISIN NO: ZAG000177783
Bond Code: CLN765 ISIN NO: ZAG000178518
Bond Code: CLN766 ISIN NO: ZAG000179136
Bond Code: CLN767 ISIN NO: ZAG000179615
Bond Code: CLN779 ISIN NO: ZAG000181595
Bond Code: CLN780 ISIN NO: ZAG000181686
Bond Code: CLN783 ISIN NO: ZAG000181991
Bond Code: CLN784 ISIN NO: ZAG000182072
Bond Code: CLN788 ISIN NO: ZAG000182551
Bond Code: CLN789 ISIN NO: ZAG000182668
Bond Code: CLN790 ISIN NO: ZAG000183336
Bond Code: CLN791 ISIN NO: ZAG000183369
Bond Code: CLN794 ISIN NO: ZAG000183625
Bond Code: CLN795 ISIN NO: ZAG000183732
Bond Code: CLN797 ISIN NO: ZAG000184078
Bond Code: CLN798 ISIN NO: ZAG000184086
Bond Code: CLN799 ISIN NO: ZAG000184094
Bond Code: CLN800 ISIN NO: ZAG000184185
Bond Code: CLN804 ISIN NO: ZAG000184243
Bond Code: CLN808 ISIN NO: ZAG000184631
Bond Code: CLN815 ISIN NO: ZAG000185000
Bond Code: CLN816 ISIN NO: ZAG000185315
Bond Code: CLN817 ISIN NO: ZAG000185414
Bond Code: CLN818 ISIN NO: ZAG000185489
Bond Code: CLN820 ISIN NO: ZAG000185653
Bond Code: CLN823 ISIN NO: ZAG000185901
Bond Code: CLN824 ISIN NO: ZAG000186156
Bond Code: CLN825 ISIN NO: ZAG000186164
Bond Code: CLN826 ISIN NO: ZAG000186180
Bond Code: CLN827 ISIN NO: ZAG000186289
Bond Code: CLN829 ISIN NO: ZAG000186438
(the "Issuer")
Notification of Interest Amounts
In accordance with the JSE Limited Debt and Specialist Securities Listings Requirements, noteholders are hereby advised of
the interest amounts details as follows:
Instrument Interest Payment date Interest rate % Total amount in respect of aggregate
Code amount
CLN627 31/07/2025 10.337 R 11,724,706.85
CLN728 31/07/2025 9.250 R 11,562,500.00
CLN710 31/07/2025 8.500 R 2,550,000.00
CLN711 31/07/2025 8.500 R 3,400,000.00
CLN717 31/07/2025 8.500 R 2,337,500.00
CLN720 31/07/2025 8.500 R 2,762,500.00
CLN721 31/07/2025 8.500 R 3,825,000.00
CLN723 31/07/2025 8.500 R 2,762,500.00
CLN730 31/07/2025 8.500 R 2,337,500.00
CLN731 31/07/2025 8.500 R 1,700,000.00
CLN732 31/07/2025 8.500 R 1,062,500.00
CLN736 31/07/2025 8.000 R 1,400,000.00
CLN740 31/07/2025 8.000 R 2,400,000.00
CLN743 31/07/2025 9.302 R 5,988,143.39
CLN754 31/07/2025 7.400 R 188,983.84
CLN755 31/07/2025 9.292 R 35,131,397.26
CLN765 31/07/2025 8.000 R 2,400,000.00
CLN766 31/07/2025 7.400 R 499,064.11
CLN767 31/07/2025 8.370 R 1,054,849.32
CLN779 31/07/2025 9.542 R 360,766.03
CLN780 31/07/2025 9.592 R 580,250.30
CLN783 31/07/2025 9.842 R 297,686.79
CLN784 31/07/2025 9,952 R 351,182.90
CLN788 31/07/2025 10.542 R 1,328,580.82
CLN789 31/07/2025 10.542 R 21,257,293.15
CLN790 31/07/2025 9.320 R 587,287.67
CLN791 31/07/2025 9.390 R 13,017,369.86
CLN794 31/07/2025 9.210 R 1,218,747.95
CLN795 31/07/2025 9.280 R 701,720.55
CLN797 31/07/2025 8.940 R 1,126,684.93
CLN798 31/07/2025 9.210 R 1,392,854.79
CLN799 31/07/2025 10.592 R 533,952.88
CLN800 31/07/2025 10.592 R 533,952.88
CLN804 31/07/2025 9.622 R 48,505,424.66
CLN808 31/07/2025 9.942 R 6,264,821.92
CLN815 31/07/2025 9.270 R 1,004,715.62
CLN816 31/07/2025 10.542 R 3,985,742.47
CLN817 31/07/2025 10.642 R 4,023,550.68
CLN818 31/07/2025 9.542 R 7,744,444.05
CLN820 31/07/2025 10.542 R 1,062,864.66
CLN823 31/07/2025 12.878 R 1,460,682.74
CLN824 31/07/2025 10.542 R 1,328,580.82
CLN825 31/07/2025 10.542 R 531,432.33
CLN826 31/07/2025 10.542 R 1,328,580.82
CLN827 31/07/2025 10.542 R 13,285,808.22
CLN829 31/07/2025 9.400 R 2,369,315.07
Further details of each of these notes may be obtained from the Applicable Pricing Supplements applicable thereto which
can be viewed at or downloaded from the Issuer's website:
www.standardbank.co.za
Johannesburg
28 July 2025
Debt Sponsor: The Standard Bank of South Africa Limited
Date: 29-07-2025 07:05:00
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