FRII - Interest and Capital Payment Notifications
FirstRand Bank Limited
(Incorporated in the Republic of South Africa)
(Registration number: 1929/001225/06)
Issuer code: FRII
LEI: ZAYQDKTCATIXF9OQY690
Bond Code: FRC303 ISIN: ZAG000160425
Bond Code: FRC308 ISIN: ZAG000161605
Bond Code: FRC328 ISIN: ZAG000164898
Bond Code: FRC335 ISIN: ZAG000166950
Bond Code: FRC351 ISIN: ZAG000172644
Bond Code: FRC364 ISIN: ZAG000175514
Bond Code: FRC365 ISIN: ZAG000175498
Bond Code: FRC368 ISIN: ZAG000177031
Bond Code: FRC412 ISIN: ZAG000187048
Bond Code: FRC414 ISIN: ZAG000187147
Bond Code: FRC415 ISIN: ZAG000187394
Bond Code: FRC418 ISIN: ZAG000187527
Bond Code: FRC424 ISIN: ZAG000188145
Bond Code: FRC431 ISIN: ZAG000189218
Bond Code: FRC433 ISIN: ZAG000189317
Bond Code: FRC434 ISIN: ZAG000189333
Bond Code: FRC438 ISIN: ZAG000189853
Bond Code: FRC439 ISIN: ZAG000189861
Bond Code: FRC441 ISIN: ZAG000191008
Bond Code: FRC442 ISIN: ZAG000191016
Bond Code: FRS261 ISIN: ZAG000175191
(FRB)
INTEREST AND CAPITAL PAYMENT NOTIFICATIONS
Noteholders are advised of the following interest and capital payment due 28 November 2022:
Bond code: FRC328
ISIN: ZAG000164898
Coupon: 7.4080%
Capital payment due: ZAR 50 000 000.00
Interest amount due: ZAR 923 463.01
Interest period: 29 August 2022 to 27 November 2022
Date Convention: Modified Following Business Day
Payment Date: 28 November 2022
Noteholders are advised of the following interest payments due 30 November 2022:
Bond code: FRC303
ISIN: ZAG000160425
Coupon: 8.9670%
Interest amount due: ZAR 1 431 776 57
Interest period: 31 August 2022 to 29 November 2022
Bond code: FRC308
ISIN: ZAG000161605
Coupon: 8.7870%
Interest amount due: ZAR 1 095 365.75
Interest period: 31 August 2022 to 29 November 2022
Bond code: FRC335
ISIN: ZAG000166950
Coupon: 8.3670%
Interest amount due: ZAR 2 086 019.18
Interest period: 31 August 2022 to 29 November 2022
Bond code: FRC351
ISIN: ZAG000172644
Coupon: 8.2670%
Interest amount due: ZAR 927 489.45
Interest period: 31 August 2022 to 29 November 2022
Bond code: FRC364
ISIN: ZAG000175514
Coupon: 9.3270%
Interest amount due: ZAR 1 162 680.82
Interest period: 31 August 2022 to 29 November 2022
Bond code: FRC365
ISIN: ZAG000175498
Coupon: 9.7200%
Interest amount due: ZAR 848 169.86
Interest period: 31 August 2022 to 29 November 2022
Bond code: FRC368
ISIN: ZAG000177031
Coupon: 8.7270%
Interest amount due: ZAR 979 097.67
Interest period: 31 August 2022 to 29 November 2022
Bond code: FRC412
ISIN: ZAG000187048
Coupon: 9.6614%
Interest amount due: ZAR 1 204 366.30
Interest period: 31 August 2022 to 29 November 2022
Bond code: FRC414
ISIN: ZAG000187147
Coupon: 9.2670%
Interest amount due: ZAR 1 039 681.23
Interest period: 31 August 2022 to 29 November 2022
Bond code: FRC415
ISIN: ZAG000187394
Coupon: 9.2670%
Interest amount due: ZAR 6 584 647.81
Interest period: 31 August 2022 to 29 November 2022
Bond code: FRC418
ISIN: ZAG000187527
Coupon: 9.6219%
Interest amount due: ZAR 1 199 442.33
Interest period: 31 August 2022 to 29 November 2022
Bond code: FRC424
ISIN: ZAG000188145
Coupon: 8.9670%
Interest amount due: ZAR 1 117 804.11
Interest period: 31 August 2022 to 29 November 2022
Bond code: FRC431
ISIN: ZAG000189218
Coupon: 8.7580%
Interest amount due: ZAR 1 512 854.52
Interest period: 25 August 2022 to 29 November 2022
Bond code: FRC433
ISIN: ZAG000189317
Coupon: 8.7580%
Interest amount due: ZAR 1 612 431.78
Interest period: 26 August 2022 to 29 November 2022
Bond code: FRC434
ISIN: ZAG000189333
Coupon: 9.2580%
Interest amount due: ZAR 1 704 486.58
Interest period: 26 August 2022 to 29 November 2022
Bond code: FRC438
ISIN: ZAG000189853
Coupon: 8.8330%
Interest amount due: ZAR 1 655 280.00
Interest period: 15 September to 29 November 2022
Bond code: FRC439
ISIN: ZAG000189861
Coupon: 8.9830%
Interest amount due: ZAR 1 683 389.59
Interest period: 15 September to 29 November 2022
Bond code: FRC441
ISIN: ZAG000191008
Coupon: 9.5580%
Interest amount due: ZAR 518 488.77
Interest period: 25 October 2022 to 29 November 2022
Bond code: FRC442
ISIN: ZAG000191016
Coupon: 9.5580%
Interest amount due: ZAR 518 488.77
Interest period: 25 October 2022 to 29 November 2022
Bond code: FRS261
ISIN: ZAG000175191
Coupon: 9.1910%
Interest amount due: ZAR 802 009.18
Interest period: 31 August 2022 to 29 November 2022
Date Convention: Modified Following Business Day
Payment Date: 30 November 2022
21 November 2022
Debt Sponsor
RAND MERCHANT BANK (A division of FirstRand Bank Limited)
Date: 21-11-2022 10:14:00
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