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BISTDB - Notification of interest amounts
The Standard Bank of South Africa Limited
Issuer code: BISTDB
Incorporated in the Republic of South Africa
Bond Code: CLN748 ISIN NO: ZAG000184433
Bond Code: CLN806 ISIN NO: ZAG000184433
Bond Code: CLN830 ISIN NO: ZAG000186461
Bond Code: CLN832 ISIN NO: ZAG000186727
Bond Code: CLN833 ISIN NO: ZAG000186776
Bond Code: CLN850 ISIN NO: ZAG000187634
Bond Code: CLN860 ISIN NO: ZAG000188350
Bond Code: CLN864 ISIN NO: ZAG000188376
Bond Code: CLN868 ISIN NO: ZAG000188632
Bond Code: CLN869 ISIN NO: ZAG000188475
Bond Code: CLN870 ISIN NO: ZAG000188657
Bond Code: CLN871 ISIN NO: ZAG000188624
Bond Code: CLN878 ISIN NO: ZAG000188913
Bond Code: CLN881 ISIN NO: ZAG000189093
Bond Code: CLN882 ISIN NO: ZAG000189101
Bond Code: CLN893 ISIN NO: ZAG000190679
Bond Code: CLN912 ISIN NO: ZAG000193145
Bond Code: CLN928 ISIN NO: ZAG000194895
Bond Code: CLN964 ISIN NO: ZAG000198250
Bond Code: CLN972 ISIN NO: ZAG000199209
Bond Code: CLN973 ISIN NO: ZAG000199225
Bond Code: CLN974 ISIN NO: ZAG000199217
Bond Code: CLN975 ISIN NO: ZAG000199241
Bond Code: CLN976 ISIN NO: ZAG000199399
Bond Code: CLN977 ISIN NO: ZAG000199407
Bond Code: SBC040 ISIN NO: ZAG000206277
Bond Code: SBC075 ISIN NO: ZAG000208638
Bond Code: SBC144 ISIN NO: ZAG000214610
Bond Code: SSN093 ISIN NO: ZAG000164120
(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
CLN748 31/07/2025 10.080 R 8,130,279.45
CLN806 31/07/2025 10.642 R 13,411,835.62
CLN830 31/07/2025 9.458 R 476,786.85
CLN832 31/07/2025 10.542 R 797,148.49
CLN833 31/07/2025 9.650 R 1,216,164.38
CLN850 31/07/2025 11.030 R 1,112,065.75
CLN860 31/07/2025 10.542 R 531,432.33
CLN864 31/07/2025 9.170 R 4,547,315.07
CLN868 31/07/2025 8.000 R 1,600,000.00
CLN869 31/07/2025 9.342 R 11,773,479.45
CLN870 31/07/2025 9.442 R 11,899,506.85
CLN871 31/07/2025 9.392 R 11,836,493.15
CLN878 31/07/2025 9.322 R 1,057,344.66
CLN881 31/07/2025 8.500 R 5,100,000.00
CLN882 31/07/2025 9.292 R 2,342,093.15
CLN893 31/07/2025 10.542 R 797,148.49
CLN912 31/07/2025 10.542 R 1,028,321.56
CLN928 31/07/2025 10.542 R 983,149.81
CLN964 31/07/2025 8.000 R 3,000,000.00
CLN972 31/07/2025 9.542 R 1,322,808.77
CLN973 31/07/2025 9.692 R 1,343,603.29
CLN974 31/07/2025 9.842 R 992,289.32
CLN975 31/07/2025 9.642 R 24,303,123.28
CLN976 31/07/2025 9.202 R 9,277,632.88
CLN977 31/07/2025 9.302 R 2,813,536.44
SBC040 31/07/2025 9.292 R 2,342,093.15
SBC075 31/07/2025 10.142 R 1,099,226.08
SBC144 31/07/2025 10.742 R 6,768,931.50
SSN093 31/07/2025 8.992 R 1,133,238.36
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
29 July 2025
Debt Sponsor: The Standard Bank of South Africa Limited
Date: 30-07-2025 07:05:00
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