To view the PDF file, sign up for a MySharenet subscription.

THE STANDARD BANK OF SOUTH AFRICA LIMITED - BISTDB - Notification of interest amounts

Wrap Text
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
Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE'). 
The JSE does not, whether expressly, tacitly or implicitly, represent, warrant or in any way guarantee the truth, accuracy or completeness of
 the information published on SENS. The JSE, their officers, employees and agents accept no liability for (or in respect of) any direct, 
indirect, incidental or consequential loss or damage of any kind or nature, howsoever arising, from the use of SENS or the use of, or reliance on,
 information disseminated through SENS.