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THE THEKWINI FUND 17 (RF) LIMITED - New Instruments Listing

Release Date: 19/11/2021 08:22
Code(s): T17A32 T17A12 TH17O2 TH17B2 TH17D2 TH17C2 T17A22     PDF:  
Wrap Text
New Instruments Listing

The Thekwini Fund 17 (RF) Limited
(“Thekwini 17”)
New Financial Instrument Listing Announcement

Dated: 19 November 2021
Stock Codes: TH17O2, T17A12, T17A22, T17A32, TH17B2, TH17C2, TH17D2
ISIN Codes: ZAG000181421, ZAG000181439, ZAG000181447, ZAG000181488,
ZAG000181470, ZAG000181454, ZAG000181462
The JSE Limited has granted Thekwini 17 the listing of its:
   - “TH17O2” Floating Rate Notes due 21 November 2022;
   - “T17A12, T17A22, TH17B2, TH17C2, TH17D2” Floating Rate Notes
     all due 21 February 2056 (Step up and call date 21 February
     2026, except for T17A12 which has a Step up and call date of
     21 February 2024); and
   - “T17A32” Fixed Rate Notes due 21 February 2056 (Step up and
     call date 21 February 2026);
and issued in terms of its ZAR5,000,000,000 Asset Backed Note
Programme dated on or about 11 March 2021.

Total notes outstanding (incl. this issue) ZAR4,233,855,509

Full Note details are as follows:

Designation of Note:           Class Omega Note
Nominal Issued:                ZAR332,000,000
Coupon Rate:                   75 bps over 3 month JIBAR
Coupon Step-Up Rate:           N/A
Coupon Indicator:              Floating
Final Redemption Date:         21 November 2022
First Interest Payment Date:   21 February 2022
Coupon Step-Up Date:           N/A
Interest Payment Dates:        21 February 2022, 21 May 2022, 21
                               August 2022 and 21 November 2022
Books Close:                   17 February 2022, 17 May 2022, 17
                               August 2022 and 17 November 2022
Last day to register:          By 17:00 on 16 February 2022, 16 May
                               2022, 16 August 2022 and 16 November
                               2022
Interest Commencement Date:    22 November 2021
Settlement Date:               22 November 2021
Rating:                        P-1.za (sf) by Moody’s Investors
                               Service
Placement Agent:               The Standard Bank of South Africa
                               Limited

Designation of Note:           Class A1 Note
Nominal Issued:                ZAR495,000,000
Coupon Rate:                   120 bps over 3 month JIBAR
Coupon Step-Up Rate:           156 bps over 3 month JIBAR
Coupon Indicator:              Floating
Final Redemption Date:         21 February 2056
First Interest Payment Date:   21 February 2022
Coupon Step-Up Date:           21 February 2024
Interest Payment Dates:        21 February, 21 May, 21 August and 21
                               November of each year
Books Close:                   17 February, 17 May, 17 August and 17
                               November of each year
Last day to register:          By 17:00 on 16 February, 16 May, 16
                               August and 16 November of each year
Interest Commencement Date:    22 November 2021
Settlement Date:               22 November 2021
Rating:                        Aaa.za (sf) by Moody’s Investors
                               Service
Placement Agent:               The Standard Bank of South Africa
Limited

Designation of Note:           Class A2 Note
Nominal Issued:                ZAR1,005,000,000
Coupon Rate:                   135 bps over 3 month JIBAR
Coupon Step-Up Rate:           176 bps over 3 month JIBAR
Coupon Indicator:              Floating
Final Redemption Date:         21 February 2056
First Interest Payment Date:   21 February 2022
Coupon Step-Up Date:           21 February 2026
Interest Payment Dates:        21 February, 21 May, 21 August and 21
                               November of each year
Books Close:                   17 February, 17 May, 17 August and 17
                               November of each year
Last day to register:          By 17:00 on 16 February, 16 May, 16
                               August and 16 November of each year
Interest Commencement Date:    22 November 2021
Settlement Date:               22 November 2021
Rating:                        Aaa.za (sf) by Moody’s Investors
                               Service
Placement Agent:               The Standard Bank of South Africa
Limited

Designation of Note:           Class A3 Note
Nominal Issued:                ZAR246,000,000
Coupon Rate:                   7.72% per annum
Coupon Step-Up Rate:           176 bps over 3 month JIBAR
Coupon Indicator:              Fixed until Coupon Step-up Date then
                               Floating thereafter
Final Redemption Date:         21 February 2056
First Interest Payment Date:   21 February 2022
Coupon Step-Up Date:           21 February 2026
Interest Payment Dates:        21 February and 21 August of each
                               year until Coupon Step-up Date and
                               then 21 February, 21 May, 21 August
                               and   21 November    of  each   year
                               thereafter
Books Close:                   17 February and 17 August of each
                               year until Coupon Step-up Date and
                               then 17 February, 17 May, 17 August
                               and   17 November    of  each   year
                               thereafter
Last day to register:          By 17:00 on 16 February and 16 August
                               of each year until Coupon Step-up
                               Date and then 16 February, 16 May,
                               16 August and 16 November of each
                               year thereafter
Interest Commencement Date:    22 November 2021
Settlement Date:               22 November 2021
Rating:                        Aaa.za (sf) by Moody’s Investors
                               Service
Placement Agent:               The Standard Bank of South Africa
                               Limited

Designation of Note:           Class B Note
Nominal Issued:                ZAR125,000,000
Coupon Rate:                   175 bps over 3 month JIBAR
Coupon Step-Up Rate:           228 bps over 3 month JIBAR
Coupon Indicator:              Floating
Final Redemption Date:         21 February 2056
First Interest Payment Date:   21 February 2022
Coupon Step-Up Date:           21 February 2026
Interest Payment Dates:        21 February, 21 May, 21 August and 21
                               November of each year
Books Close:                   17 February, 17 May, 17 August and 17
                               November of each year
Last day to register:          By 17:00 on 16 February, 16 May, 16
                               August and 16 November of each year
Interest Commencement Date:    22 November 2021
Settlement Date:               22 November 2021
Rating:                        Aaa.za (sf) by Moody’s Investors
                               Service
Placement Agent:               The Standard Bank of South Africa
                               Limited

Designation of Note:           Class C Note
Nominal Issued:                ZAR90,000,000
Coupon Rate:                   203 bps over 3 month JIBAR
Coupon Step-Up Rate:           203 bps over 3 month JIBAR
Coupon Indicator:              Floating
Final Redemption Date:         21 February 2056
First Interest Payment Date:   21 February 2021
Coupon Step-Up Date:           21 February 2026
Interest Payment Dates:        21 February, 21 May, 21 August and 21
                               November of each year
Books Close:                   17 February, 17 May, 17 August and 17
                               November of each year
Last day to register:          By 17:00 on 16 February, 16 May, 16
                               August and 16 November of each year
Interest Commencement Date:    22 November 2021
Settlement Date:               22 November 2021
Rating:                        A3.za (sf) by Moody’s Investors
                               Service
Placement Agent:               The Standard Bank of South Africa
                               Limited
Designation of Note:           Class D Note
Nominal Issued:                ZAR82,000,000
Coupon Rate:                   373 bps over 3 month JIBAR
Coupon Step-Up Rate:           373 bps over 3 month JIBAR
Coupon Indicator:              Floating
Final Redemption Date:         21 February 2056
First Interest Payment Date:   21 February 2022
Coupon Step-Up Date:           21 February 2026
Interest Payment Dates:        21 February, 21 May, 21 August and 21
                               November of each year
Books Close:                   17 February, 17 May, 17 August and 17
                               November of each year
Last day to register:          By 17:00 on 16 February, 16 May, 16
                               August and 16 November of each year
Interest Commencement Date:    22 November 2021
Settlement Date:               22 November 2021
Rating:                        N/A
Placement Agent:               The Standard Bank of South Africa
                               Limited

Date:                          19 November 2021
Sponsor:                       The Standard Bank of South Africa
                               Limited

Notes will be deposited in the Central Depository (“CSD”) and
settlement will take place electronically in terms of JSE Rules.

For further information on the Notes issued please contact:
Nicholas Gunning Standard Bank (Sponsor) (011) 721 7112
Email: nicholas.gunning@standardbank.co.za

Date: 19-11-2021 08:22:00
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