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

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BISTDB and SBKI - Notification of interest and capital amounts

The Standard Bank of South Africa Limited

Incorporated in the Republic of South Africa
Issuer code: BISTDB
Bond Code:      SBC151            ISIN NO: ZAG000214800
Bond Code:      SBC238            ISIN NO: ZAG000222670
Bond Code:      SBC241            ISIN NO: ZAG000222944
Bond Code:      SBS100            ISIN NO: ZAG000216953
Bond Code:      SBS101            ISIN NO: ZAG000219080
Bond Code:      SBS102            ISIN NO: ZAG000219098
Bond Code:      SBS103            ISIN NO: ZAG000219106
Bond Code:      SBS58             ISIN NO: ZAG000144619
Bond Code:      SBS67             ISIN NO: ZAG000160490
Bond Code:      SBS69             ISIN NO: ZAG000164575
Bond Code:      SBS79             ISIN NO: ZAG000192295
Bond Code:      SBS89             ISIN NO: ZAG000209297
Bond Code:      SBS90             ISIN NO: ZAG000209289
Bond Code:      SBS91             ISIN NO: ZAG000209271
Bond Code:      SBS95             ISIN NO: ZAG000213133
Bond Code:      SBS96             ISIN NO: ZAG000213125
Bond Code:      SBS97             ISIN NO: ZAG000213117
Bond Code:      SBS98             ISIN NO: ZAG000216979
Bond Code:      SBS99             ISIN NO: ZAG000216961

Standard Bank Group Limited
Incorporated in the Republic of South Africa
JSE Bond Code: SBKI

Bond Code:      SBT105            ISIN NO: ZAG000174830
Bond Code:      SBT111            ISIN NO: ZAG000200692
Bond Code:      SBT112            ISIN NO: ZAG000205576
Bond Code:      SBT113            ISIN NO: ZAG000212374
Bond Code:      SBT114            ISIN NO: ZAG000216136
Bond Code:      SBT115            ISIN NO: ZAG000220799
Bond Code:      SBT209            ISIN NO: ZAG000177353
Bond Code:      SST201            ISIN NO: ZAG000182031
Bond Code:      SST202            ISIN NO: ZAG000189325
Bond Code:      SST203            ISIN NO: ZAG000194242
Bond Code:      SST204            ISIN NO: ZAG000203779
Bond Code:      SST205            ISIN NO: ZAG000210956

Notification of Interest and Capital Amounts

In accordance with the JSE Limited Debt and Specialist Securities Listings Requirements, noteholders are
hereby advised of the interest and capital amounts details as follows:

                                                                   Total Interest           Capital
                                                                Amounts in respect of       Amount
                            Interest
 Instrument Code                              Interest Rate %    Aggregate Nominal          Payable
                         Payment Date
                                                                      Amount
                                                                          R
       SBC151              2026-03-02              8.875              5 995 721.47
       
       SBC238              2026-03-02              8.875              1 553 125.00

       SBC241              2026-03-02              8.875              1 553 125.00

       SBS69               2026-03-02              8.533             21 040 273.97

       SBS79               2026-03-02              8.233             33 108 614.77

       SST202              2026-03-02              8.933             36 502 685.40

       SST203              2026-03-03              8.663             42 721 643.84

       SBS95               2026-03-09              7.643             21 151 217.26

       SBS96               2026-03-09              7.833             11 971 184.63

       SST201              2026-03-09              8.783             31 619 762.52

       SBS97               2026-03-09              7.913             14 638 399.62

       SST205              2026-03-10              8.383             74 413 479.45

       SBS58               2026-03-12              8.725             68 435 075.34

       SBS101              2026-03-18              7.595              6 311 132.88

       SBS102              2026-03-18              7.755             14 131 097.26

       SBS103              2026-03-18              7.875              9 495 308.22

       SST204              2026-03-20              8.575             31 259 046.58

       SBS67               2026-03-26              8.348             52 411 259.84

       SBT209              2026-03-30              8.858             38 029 214.14

       SBT105              2026-03-31             10.980             48 733 150.68

       SBT105              2026-03-31                                                  1 800 000 000.00

       SBT111              2026-03-31              9.650              47 589 041.10
     
       SBT112              2026-03-31              9.650              35 691 780.82

       SBT113              2026-03-31              9.400              35 532 000.00

       SBT114              2026-03-31              9.350              61 049 095.89

       SBT115              2026-03-31              9.040              33 435 616.44

       SBS89               2026-04-08              7.705               16 908 780.82

       SBS90               2026-04-08              7.905               11 636 593.15

       SBS91               2026-04-08              7.965               19 561 167.12

       SBS98               2026-04-08              7.565                9 028 257.53

       SBS99               2026-04-08              7.745              18 543 439.73

       SBS100              2026-04-08              7.875               15 844 931.51



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
26 February 2026

Debt Sponsor: The Standard Bank of South Africa Limited

Date: 26-02-2026 08:50:00
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