HPF08 and HPF09 - Listing of New Financial Instruments
Hospitality Property Fund Limited
(Incorporated in the Republic of South Africa)
(Registration No. 2009/016487/06)
Company code: HPAI
ISIN HPF08: ZAG000135328
ISIN HPF09: ZAG000135336
(“Hospitality”)
LISTING OF NEW FINANCIAL INSTRUMENTS
The JSE Limited has granted Hospitality the listing of its HPF08
and HPF09 Notes under its ZAR2 billion Domestic Medium Term Note
Programme, dated 28 March 2013.
Total Notes in issue : R890,000,000, excluding this
issuance of Notes
Instrument Type : Senior Unsecured Floating Rate
Notes
Bond Code : HPF08
Issue Date : 15 April 2016
Nominal Issued : R80,000,000
Issue Price : 100%
Interest Rate : 10.267% (3 month Jibar as at 13
April 2016 of 7.267% plus 300
basis points)
Interest Commencement Date : 15 April 2016
Last day to register : By 17h00 on 4 July, 4 October,
4 January and 4 April in each
year until the Maturity Date
Books Close : 5 July, 5 October, 5 January
and 5 April in each year until
the Maturity Date
Interest Determination Date : Each Floating Interest Payment
Date save for the First
Interest Rate Determination
Date being 13 April 2016
Interest Payment Dates : 15 July, 15 October, 15 January
and 15 April in each year until
the Maturity Date
Maturity Date : 15 April 2019
ISIN No : ZAG000135328
Business Day Convention : Following Business Day
Total Notes in issue : R820,000,000, excluding this
issuance of Notes
Instrument Type : Senior Secured Floating Rate
Notes
Bond Code : HPF09
Issue Date : 18 April 2016
Nominal Issued : R150,000,000
Issue Price : 100%
Interest Rate : 9.517% (3 month Jibar as at 13
April 2016 of 7.267% plus 225
basis points)
Interest Commencement Date : 18 April 2016
Last day to register : By 17h00 on 4 July, 4 October,
4 January and 4 April in each
year until the Maturity Date
Books Close : 5 July, 5 October, 5 January
and 5 April in each year until
the Maturity Date
Interest Determination Date : Each Floating Interest Payment
Date save for the First
Interest Rate Determination
Date being 13 April 2016
Interest Payment Dates : 15 July, 15 October, 15 January
and 15 April in each year until
the Maturity Date
Maturity Date : 15 April 2016
ISIN No : ZAG000135336
Business Day Convention : Following Business Day
14 April 2016
Debt Sponsor
Rand Merchant Bank (A division of FirstRand Bank Limited)
Date: 14/04/2016 03:20:00 Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE').
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