Wrap Text
Notification of interest amounts
The Standard Bank of South Africa Limited
Incorporated in the Republic of South Africa
Bond Code: CLN616 ISIN NO: ZAG000163163
Bond Code: CLN656 ISIN NO: ZAG000167131
Bond Code: CLN658 ISIN NO: ZAG000167172
Bond Code: CLN768 ISIN NO: ZAG000180126
Bond Code: CLN769 ISIN NO: ZAG000180274
Bond Code: CLN952 ISIN NO: ZAG000196239
Bond Code: CLN856 ISIN NO: ZAG000188095
Bond Code: CLN866 ISIN NO: ZAG000188442
Bond Code: CLN810 ISIN NO: ZAG000184565
Bond Code: CLN709 ISIN NO: ZAG000170556
Bond Code: CLN699 ISIN NO: ZAG000169442
Bond Code: CLN679 ISIN NO: ZAG000168519
Bond Code: CLN655 ISIN NO: ZAG000167230
Bond Code: CLN690 ISIN NO: ZAG000169152
Bond Code: CLN839 ISIN NO: ZAG000187071
Bond Code: CLN852 ISIN NO: ZAG000187873
Bond Code: CLN853 ISIN NO: ZAG000187931
Bond Code: CLN854 ISIN NO: ZAG000188111
Bond Code: CLN855 ISIN NO: ZAG000188103
Bond Code: CLN861 ISIN NO: ZAG000188368
Bond Code: CLN862 ISIN NO: ZAG000188343
Bond Code: CLN865 ISIN NO: ZAG000188426
Bond Code: CLN874 ISIN NO: ZAG000188806
Bond Code: CLN890 ISIN NO: ZAG000190562
Bond Code: CLN891 ISIN NO: ZAG000190489
Bond Code: CLN892 ISIN NO: ZAG000190638
Bond Code: CLN894 ISIN NO: ZAG000190687
Bond Code: CLN901 ISIN NO: ZAG000191271
Bond Code: CLN902 ISIN NO: ZAG000191289
Bond Code: CLN903 ISIN NO: ZAG000191412
Bond Code: CLN908 ISIN NO: ZAG000192030
Bond Code: CLN909 ISIN NO: ZAG000192048
Bond Code: CLN913 ISIN NO: ZAG000193152
Bond Code: CLN914 ISIN NO: ZAG000194044
Bond Code: CLN915 ISIN NO: ZAG000194002
Bond Code: CLN916 ISIN NO: ZAG000194192
Bond Code: CLN918 ISIN NO: ZAG000194333
Bond Code: CLN923 ISIN NO: ZAG000194812
Bond Code: CLN924 ISIN NO: ZAG000194804
Bond Code: CLN925 ISIN NO: ZAG000194853
Bond Code: CLN926 ISIN NO: ZAG000194796
Bond Code: CLN927 ISIN NO: ZAG000194861
Bond Code: CLN929 ISIN NO: ZAG000195058
Bond Code: CLN932 ISIN NO: ZAG000195173
Bond Code: CLN933 ISIN NO: ZAG000194945
Bond Code: CLN934 ISIN NO: ZAG000194952
Bond Code: CLN935 ISIN NO: ZAG000194978
Bond Code: CLN936 ISIN NO: ZAG000194986
Bond Code: CLN937 ISIN NO: ZAG000195124
Bond Code: CLN938 ISIN NO: ZAG000195116
Bond Code: CLN939 ISIN NO: ZAG000195165
Bond Code: CLN940 ISIN NO: ZAG000195231
Bond Code: CLN941 ISIN NO: ZAG000195256
Bond Code: CLN945 ISIN NO: ZAG000195595
Bond Code: CLN946 ISIN NO: ZAG000195603
Bond Code: CLN947 ISIN NO: ZAG000195686
Bond Code: CLN948 ISIN NO: ZAG000195785
Bond Code: CLN949 ISIN NO: ZAG000195850
Bond Code: CLN950 ISIN NO: ZAG000195900
Bond Code: CLN953 ISIN NO: ZAG000196213
Bond Code: CLN954 ISIN NO: ZAG000196221
Bond Code: CLN955 ISIN NO: ZAG000196320
Bond Code: CLN956 ISIN NO: ZAG000196932
Bond Code: CLN957 ISIN NO: ZAG000196726
Bond Code: CLN961 ISIN NO: ZAG000197534
Bond Code: CLN963 ISIN NO: ZAG000198227
Bond Code: CLN967 ISIN NO: ZAG000198847
Bond Code: CLN968 ISIN NO: ZAG000198763
Bond Code: CLN969 ISIN NO: ZAG000198649
Bond Code: CLN970 ISIN NO: ZAG000198789
Bond Code: CLN971 ISIN NO: ZAG000198920
Bond Code: CLN980 ISIN NO: ZAG000199803
Bond Code: CLN981 ISIN NO: ZAG000199878
Bond Code: CLN982 ISIN NO: ZAG000199985
Bond Code: CLN983 ISIN NO: ZAG000200106
Bond Code: CLN984 ISIN NO: ZAG000200015
Bond Code: CLN990 ISIN NO: ZAG000200296
Bond Code: CLN994 ISIN NO: ZAG000201229
Bond Code: CLN996 ISIN NO: ZAG000201443
Bond Code: CLN997 ISIN NO: ZAG000201880
(the "Issuer")
Notification of Interest Amounts
In accordance with paragraph 4.18(b) of 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
CLN656 20/06/2025 10.858 R 1,368,405.48
CLN839 20/06/2025 9.588 R 4,833,402.74
CLN852 20/06/2025 9.658 R 2,434,345.21
CLN853 20/06/2025 10.078 R 3,175,260.27
CLN854 20/06/2025 10.708 R 674,750.68
CLN855 20/06/2025 10.908 R 687,353.42
CLN861 20/06/2025 10.158 R 640,093.15
CLN862 20/06/2025 9.558 R 1,686,397.81
CLN865 20/06/2025 12.740 R 1,378,502.90
CLN874 20/06/2025 9.808 R 494,430.68
CLN890 20/06/2025 10.658 R 671,600.00
CLN891 20/06/2025 11.740 R 3,512,350.68
CLN892 20/06/2025 10.138 R 5,110,663.01
CLN894 20/06/2025 9.878 R 7,469,391.78
CLN901 20/06/2025 12.100 R 3,680,389.04
CLN902 20/06/2025 9.558 R 4,938,736.44
CLN903 20/06/2025 11.200 R 5,646,027.40
CLN908 20/06/2025 13.008 R 11,265,712.04
CLN909 20/06/2025 13.900 R 3,909,060.82
CLN913 20/06/2025 10.558 R 1,330,597.26
CLN914 20/06/2025 11.658 R 440,768.22
CLN915 20/06/2025 12.308 R 15,511,452.05
CLN916 20/06/2025 10.500 R 396,986.30
CLN918 20/06/2025 9.618 R 1,939,410.41
CLN923 20/06/2025 11.898 R 1,199,579.18
CLN924 20/06/2025 11.188 R 704,997.26
CLN925 20/06/2025 11.258 R 709,408.22
CLN926 20/06/2025 11.358 R 2,003,986.85
CLN927 20/06/2025 11.308 R 712,558.90
CLN929 20/06/2025 9.142 R 1,152,142.47
CLN932 20/06/2025 11.408 R 14,377,205.48
CLN933 20/06/2025 12.200 R 4,258,301.37
CLN934 20/06/2025 9.142 R 1,152,142.47
CLN935 20/06/2025 12.558 R 791,326.03
CLN936 20/06/2025 13.558 R 854,339.73
CLN937 20/06/2025 7.750 R 2,441,780.82
CLN938 20/06/2025 12.558 R 3,956,630.14
CLN939 20/06/2025 9.268 R 7,003,605.59
CLN940 20/06/2025 12.558 R 1,582,652.05
CLN941 20/06/2025 12.108 R 6,103,758.90
CLN945 20/06/2025 10.608 R 5,347,594.52
CLN946 20/06/2025 9.208 R 5,802,301.37
CLN947 20/06/2025 10.758 R 5,423,210.96
CLN948 20/06/2025 11.908 R 7,503,671.23
CLN949 20/06/2025 11.058 R 3,344,666.30
CLN950 20/06/2025 12.508 R 3,344,666.30
CLN953 20/06/2025 10.542 R 930,006.58
CLN954 20/06/2025 10.542 R 797,148.49
CLN955 20/06/2025 11.258 R 851,289.86
CLN956 20/06/2025 9.658 R 2,434,345.21
CLN957 20/06/2025 10.758 R 5,423,210.96
CLN961 20/06/2025 11.558 R 1,456,624.66
CLN963 20/06/2025 13.600 R 2,712,547.95
CLN967 20/06/2025 14.122 R 12,102,360.55
CLN968 20/06/2025 11.308 R 4,560,376.99
CLN969 20/06/2025 12.400 R 1,854,904.11
CLN970 20/06/2025 10.328 R 780,966.58
CLN971 20/06/2025 10.708 R 3,238,803.29
CLN981 20/06/2025 14.242 R 10,769,293.15
CLN982 20/06/2025 11.008 R 8,323,857.53
CLN983 20/06/2025 14.542 R 5,498,071.23
CLN984 20/06/2025 12.950 R 2,582,904.11
CLN990 20/06/2025 10.578 R 1,066,494.25
CLN994 20/06/2025 10.908 R 5,498,827.40
CLN996 20/06/2025 10.640 R 10,610,849.32
CLN997 20/06/2025 10.808 R 681,052.05
CLN768 23/06/2025 10.178 R 3,806,293.15
CLN769 23/06/2025 10.108 R 5,040,153.42
CLN952 23/06/2025 10.358 R 1,291,202.74
CLN856 23/06/2025 10.728 R 668,663.01
CLN866 23/06/2025 14.420 R 1,732,849.42
CLN810 23/06/2025 9.258 R 5,239,520.71
CLN709 23/06/2025 9.618 R 7,841,173.32
CLN699 23/06/2025 9.908 R 9,438,686.54
CLN679 23/06/2025 9.608 R 479,083.84
CLN655 23/06/2025 12.858 R 31,249,096.83
CLN690 23/06/2025 9.758 R 13,137,208.77
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 websites:
www.standardbank.co.za
Johannesburg
18 June 2025
Debt Sponsor: The Standard Bank of South Africa Limited
Date: 18-06-2025 12:15:00
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