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NEDBANK LIMITED - New Listing of Nedbank Limited Senior Unsecured Notes

Release Date: 21/02/2019 09:00
Code(s): NBK51B NBK52B NBK53B NBK54B     PDF:  
Wrap Text
New Listing of Nedbank Limited Senior Unsecured Notes

        NEDBANK LIMITED
        Nedbank Limited Reg No 1951/000009/06
        Incorporated in the Republic of South Africa


        JSE Code:       NBK51B
        ISIN No:        ZAG000157041

        JSE Code:       NBK52B
        ISIN No:        ZAG000157058


        JSE code:       NBK53B
        ISIN No:        ZAG000157066

        JSE code:       NBK54B
        ISIN No:        ZAG000157074



        New Listing of Nedbank Limited Senior Unsecured Notes

        The JSE Limited has granted a listing to NEDBANK LIMITED on the
        Interest Rate Market with effect from 21 February 2019 under its
        Domestic Medium Term Note Programme.

        Authorised Programme size          R 75,000,000,000.00
        Total Notes Outstanding            R 57,524,900,000.00 (including
                                           this issuance)

        INSTRUMENT TYPE:                   FLOATING RATE NOTE

        Bond Code                          NBK51B
        Nominal Issued                     R486,000,000.00
        Issue Price                        100%
        Coupon                             8.310% (3 Month JIBAR as at 18
                                           February 2019 of 7.150% plus
                                           116bps)
        Coupon Rate Indicator              Floating
        Trade Type                         Price
        Final Maturity Date                21 February 2022
        Books Close Date(s)                16 February, 16 May, 16 August,
                                           16 November
        Interest Payment Date(s)           21 February, 21 May, 21 August,
                                           21 November
        Last Day to Register               By 17:00 on 15 February, 15 May,
                                           15 August, 15 November
        Issue Date                         21 February 2019
        Date Convention                    Modified Following
        Interest Commencement Date         21 February 2019
        First Interest Payment Date        21 May 2019
        ISIN No.                           ZAG000157041
        Additional Information             Unsubordinated Unsecured
                                           Floating Rate Notes
        Additional Terms and Conditions    N/A

        Applicable Pricing Supplement
        https://www.jse.co.za/content/JSEPricingSupplementsItems/2014/Bon
        dDocuments/NBK51B%20Pricing%20Supplement%2020190220.pdf





        INSTRUMENT TYPE:                   FLOATING RATE NOTE

        Bond Code                          NBK52B
        Nominal Issued                     R 1,203,000,000.00
        Issue Price                        100%
        Coupon                             8.5% (3 Month JIBAR as at 18
                                           February 2019 of 7.150% plus 135
                                           bps)
        Coupon Rate Indicator              Floating
        Trade Type                         Price
        Final Maturity Date                21 February 2024
        Books Close Date(s)                16 February, 16 May, 16 August,
                                           16 November
        Interest Payment Date(s)           21 February, 21 May, 21 August,
                                           21 November
        Last Day to Register               By 17:00 on 15 February, 15 May,
                                           15 August, 15 November
        Issue Date                         21 February 2019
        Date Convention                    Modified Following
        Interest Commencement Date         21 February 2019
        First Interest Payment Date        21 May 2019
        ISIN No.                           ZAG000157058
        Additional Information             Unsubordinated Unsecured
                                           Floating Rate Notes
        Additional Terms and Conditions    N/A

        Applicable Pricing Supplement
        https://www.jse.co.za/content/JSEPricingSupplementsItems/2014/Bon
        dDocuments/NBK52B%20Pricing%20Supplement%2020190220.pdf





        INSTRUMENT TYPE:                   FLOATING RATE NOTE

        Bond Code                          NBK53B
        Nominal Issued                     R265,000,000.00
        Issue Price                        100%
        Coupon                             8.58% (3 Month JIBAR as at 18
                                           February 2019 of 7.150% plus 143
                                           bps)
        Coupon Rate Indicator              Floating
        Trade Type                         Price
        Final Maturity Date                21 February 2026
        Books Close Date(s)                16 February, 16 May, 16 August,
                                           16 November
        Interest Payment Date(s)           21 February, 21 May, 21 August,
                                           21 November
        Last Day to Register               By 17:00 on 15 February, 15 May,
                                           15 August, 15 November
        Issue Date                         21 February 2019
        Date Convention                    Modified Following
        Interest Commencement Date         21 February 2019
        First Interest Payment Date        21 May 2019
        ISIN No.                           ZAG000157066
        Additional Information             Unsubordinated Unsecured
                                           Floating Rate Notes
        Additional Terms and Conditions    N/A

        Applicable Pricing Supplement
        https://www.jse.co.za/content/JSEPricingSupplementsItems/2014/Bon
        dDocuments/NBK53B%20Pricing%20Supplement%2020190220.pdf






        INSTRUMENT TYPE:                   FLOATING RATE NOTE

        Bond Code                          NBK54B
        Nominal Issued                     R910,000,000.00
        Issue Price                        100%
        Coupon                             8.82% (3 Month JIBAR as at 18
                                           February 2019 of 7.150% plus 167
                                           bps)
        Coupon Rate Indicator              Floating
        Trade Type                         Price
        Final Maturity Date                21 February 2029
        Books Close Date(s)                16 February, 16 May, 16 August,
                                           16 November
        Interest Payment Date(s)           21 February, 21 May, 21 August,
                                           21 November
        Last Day to Register               By 17:00 on 15 February, 15 May,
                                           15 August, 15 November
        Issue Date                         21 February 2019
        Date Convention                    Modified Following
        Interest Commencement Date         21 February 2019
        First Interest Payment Date        21 May 2019
        ISIN No.                           ZAG000157074
        Additional Information             Unsubordinated Unsecured
                                           Floating Rate Notes
        Additional Terms and Conditions    N/A

        Applicable Pricing Supplement
        https://www.jse.co.za/content/JSEPricingSupplementsItems/2014/Bon
        dDocuments/NBK54B%20Pricing%20Supplement%2020190220.pdf



        Date 21 February 2019

        Debt Sponsor: Nedbank Corporate and Investment Banking





Date: 21/02/2019 09:00:00 Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE'). 
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