Notification of interest amounts
Standard Bank Group Limited
Incorporated in the Republic of South Africa
Bond Code: SBT111 ISIN No: ZAG000200692
Bond Code: SBT112 ISIN No: ZAG000205576
Bond Code: SBT209 ISIN No: ZAG000177353
("the Issuer")
Notification of Interest Amounts
In accordance with the JSE Limited Debt and Specialist Securities Listings Requirements, noteholders are
hereby advised of the interest amount details as follows:
Total Interest Amount in respect
Instrument Interest Payment Interest Rate
ISIN of Aggregate Nominal Amount
Code Date %
(ZAR)
SBT111 ZAG000200692 2025-03-31 10.650 52 520 547.95
SBT112 ZAG000205576 2025-03-31 10.650 39 390 410.96
SBT209 ZAG000177353 2025-03-31 9.867 42 361 058.47
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 March 2025
Debt Sponsor: The Standard Bank of South Africa Limited
debtsponsor@standardbank.co.za
Date: 26-03-2025 11:45:00
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