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THE STANDARD BANK OF SOUTH AFRICA LIMITED - Notification of Interest Amounts

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Notification of Interest Amounts

The Standard Bank of South Africa Limited

Incorporated in the Republic of South Africa
Bond Code:          SBC163             ISIN NO:   ZAG000216623
Bond Code:          SBC156             ISIN NO:   ZAG000215674
Bond Code:          SBC149             ISIN NO:   ZAG000214891
Bond Code:          SBC147             ISIN NO:   ZAG000214883
Bond Code:          SBC142             ISIN NO:   ZAG000214750
Bond Code:          SBC143             ISIN NO:   ZAG000214602
Bond Code:          SBC141             ISIN NO:   ZAG000214560
Bond Code:          SBC135             ISIN NO:   ZAG000214206
Bond Code:          SBC133             ISIN NO:   ZAG000213851
Bond Code:          SBC117             ISIN NO:   ZAG000212903
Bond Code:          SBC118             ISIN NO:   ZAG000212895
Bond Code:          SBC112             ISIN NO:   ZAG000212556
Bond Code:          SBC109             ISIN NO:   ZAG000212549
Bond Code:          SBC111             ISIN NO:   ZAG000212499
Bond Code:          SBC131             ISIN NO:   ZAG000213737
Bond Code:          SBC126             ISIN NO:   ZAG000213547
Bond Code:          SBC120             ISIN NO:   ZAG000213158
Bond Code:          SBC121             ISIN NO:   ZAG000213141
Bond Code:          SBC110             ISIN NO:   ZAG000212473
Bond Code:          SBC108             ISIN NO:   ZAG000212416
Bond Code:          SBC102             ISIN NO:   ZAG000212242
Bond Code:          SBC099             ISIN NO:   ZAG000212150
Bond Code:          SBC094             ISIN NO:   ZAG000211582
Bond Code:          SBC093             ISIN NO:   ZAG000211574
Bond Code:          SBC092             ISIN NO:   ZAG000211178
Bond Code:          SBC089             ISIN NO:   ZAG000210451
Bond Code:          SBC087             ISIN NO:   ZAG000209727
Bond Code:          SBC086             ISIN NO:   ZAG000209685
Bond Code:          SBC068             ISIN NO:   ZAG000207887
Bond Code:          SBC066             ISIN NO:   ZAG000207861
Bond Code:          SBC059             ISIN NO:   ZAG000207325
Bond Code:          SBC069             ISIN NO:   ZAG000208034
Bond Code:          SBC070             ISIN NO:   ZAG000208026
Bond Code:          SBC055             ISIN NO:   ZAG000207150
Bond Code:          SBC054             ISIN NO:   ZAG000206913
Bond Code:          SBC050             ISIN NO:   ZAG000206814
Bond Code:          SBC049             ISIN NO:   ZAG000206699
Bond Code:          SBC045             ISIN NO:   ZAG000206400
Bond Code:          SBC042             ISIN NO:   ZAG000206319
Bond Code:          SBC037             ISIN NO:   ZAG000206228
Bond Code:          SBC034             ISIN NO:   ZAG000205956
Bond Code:          SBC044             ISIN NO:   ZAG000206384
Bond Code:          SBC031             ISIN NO:   ZAG000205071
Bond Code:          SBC024             ISIN NO:   ZAG000204173
Bond Code:          SBC023             ISIN NO:   ZAG000204082
Bond Code:          SBC013             ISIN NO:   ZAG000203266
Bond Code:          SSN213             ISIN NO:   ZAG000205022
Bond Code:          SBC012             ISIN NO:   ZAG000203027
Bond Code:          SBC010             ISIN NO:   ZAG000202987
Bond Code:          SSN100             ISIN NO:   ZAG000168261
Bond Code:          SBS80              ISIN NO:   ZAG000193368
Bond Code:          SBS72              ISIN NO:   ZAG000183211
Bond Code:          SBS71              ISIN NO:   ZAG000183203
Bond Code:          SBS53              ISIN NO:   ZAG000143603
Bond Code:          SBC005             ISIN NO:   ZAG000202573
Bond Code:          SBS64              ISIN NO:   ZAG000156662
Bond Code:          SBS63              ISIN NO:   ZAG000156654
Bond Code:          SSN063             ISIN NO:   ZAG000150855
Bond Code:         SSN046              ISIN NO:   ZAG000143132
Bond Code:         SSN043              ISIN NO:   ZAG000141896
Bond Code:         SBS85               ISIN NO:   ZAG000204793
Bond Code:         SBS84               ISIN NO:   ZAG000204785
Bond Code:         SBS83               ISIN NO:   ZAG000204777
Bond Code:         SBS39               ISIN NO:   ZAG000123308
Bond Code:         SBS52               ISIN NO:   ZAG000143512
(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
      SBC163                       31/07/2025                     9.817                       R 1,022,043.84
      SBC156                       31/07/2025                     9.238                       R 8,636,644.16
      SBC149                       31/07/2025                     10.942                      R 2,757,983.56
      SBC147                       31/07/2025                     10.842                      R 2,732,778.08
      SBC142                       31/07/2025                     10.742                      R 2,707,572.60
      SBC143                       31/07/2025                     10.742                      R 6,768,931.51
      SBC141                       31/07/2025                     12.678                      R 2,716,218.08
      SBC135                       31/07/2025                     10.392                      R 2,619,353.42
      SBC133                       31/07/2025                     10.542                      R 2,657,161.64
      SBC117                       31/07/2025                     10.542                      R 1,727,155.07
      SBC118                       31/07/2025                     10.542                      R 1,727,155.07
      SBC112                       31/07/2025                     10.542                      R 1,328,580.82
      SBC109                       31/07/2025                     10.542                      R 1,328,580.82
      SBC111                       31/07/2025                     10.542                      R 3,852,884.38
      SBC131                       31/07/2025                     10.042                      R 6,074,722.19
      SBC126                       31/07/2025                     10.092                      R 635,934.25
      SBC120                       31/07/2025                     10.092                      R 2,034,989.59
      SBC121                       31/07/2025                     9.942                       R 1,503,557.26
      SBC110                       31/07/2025                     9.342                       R 4,238,452.61
      SBC108                       31/07/2025                     9.642                       R 3,645,468.49
      SBC102                       31/07/2025                     10.292                      R 1,556,488.77
      SBC099                       31/07/2025                     8.812                       R 8,440,206.03
      SBC094                       31/07/2025                     10.928                      R 4,544,850.41
      SBC093                       31/07/2025                     10.928                      R 6,059,800.55
      SBC092                       31/07/2025                     10.142                      R 1,022,535.89
      SBC089                       31/07/2025                     10.542                      R 3,773,169.53
      SBC087                       31/07/2025                     9.322                       R 17,622,410.96
      SBC086                       31/07/2025                     8.992                       R 6,708,771.07
      SBC068                       31/07/2025                     9.142                       R 23,042,849.32
      SBC066                       31/07/2025                     10.142                      R 1,278,169.86
      SBC059                       31/07/2025                     10.142                      R 1,022,535.89
      SBC069                       31/07/2025                     10.542                      R 2,125,729.32
      SBC070                       31/07/2025                     10.542                      R 1,328,580.82
      SBC055                       31/07/2025                       8                         R 1,000,000.00
      SBC054                       31/07/2025                       8                         R 13,054,926.84
      SBC050                       31/07/2025                     11.042                      R 3,061,507.95
      SBC049                       31/07/2025                     11.042                      R 1,113,275.62
      SBC045                       31/07/2025                     10.542                      R 1,062,864.66
      SBC042                       31/07/2025                     10.542                      R 797,148.49
      SBC037                       31/07/2025                      9.292                      R 8,408,114.41
      SBC034                       31/07/2025                     10.542                      R 1,461,438.90
      SBC044                       31/07/2025                      9.242                      R 8,153,216.44
      SBC031                       31/07/2025                     11.728                      R 1,182,439.45
      SBC024                       31/07/2025                      9.842                      R 16,794,496.66
      SBC023                       31/07/2025                      9.992                      R 5,414,842.74
      SBC013                       31/07/2025                      9.942                      R 3,758,893.15
      SSN213                       31/07/2025                     10.108                      R 2,624,202.96
      SBC012                       31/07/2025                      9.862                      R 2,485,764.38
      SBC010                       31/07/2025                      9.812                      R 5,564,613.70
      SSN100                       31/07/2025                        8                        R 800,000.00
      SBS80                        31/07/2025                      9.15                       R 35,319,000.00
      SBS72                        31/07/2025                      8.955                      R 17,527,265.75
      SBS71                        31/07/2025                      8.875                      R 26,033,171.23
      SBS53                        31/07/2025                       9.5                       R 56,962,260.27
      SBC005                       31/07/2025                        8                        R 6,000,000.00
      SBS64                        31/07/2025                      9.232                      R 23,153,350.14
      SBS63                        31/07/2025                      8.992                      R 38,575,433.64
      SSN063                       31/07/2025                      2.25                       R 425,843.96
      SSN063                       31/07/2025                      9.572                      R 9,530,040.55
      SSN043                       31/07/2025                      2.25                       R 5,514,679.35
      SBS85                        31/07/2025                      8.842                      R 10,338,841.59
      SBS84                        31/07/2025                      8.762                      R 36,721,421.97
      SBS83                        31/07/2025                      8.582                      R 18,186,786.30
      SBS39                        31/07/2025                      9.71                       R 89,477,650.00
      SBS52                        31/07/2025                      9.592                      R 55,720,322.19



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
29 July 2025

Debt Sponsor: The Standard Bank of South Africa Limited
debtsponsor@standardbank.co.za

Date: 29-07-2025 10:45:00
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