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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:          SSN202             ISIN NO:   ZAG000196643
Bond Code:          SBC001             ISIN NO:   ZAG000202268
Bond Code:          SBC028             ISIN NO:   ZAG000204694
Bond Code:          SBC035             ISIN NO:   ZAG000206202
Bond Code:          SBC039             ISIN NO:   ZAG000206236
Bond Code:          SBC053             ISIN NO:   ZAG000206897
Bond Code:          SBC056             ISIN NO:   ZAG000207077
Bond Code:          SBC057             ISIN NO:   ZAG000207218
Bond Code:          SBC064             ISIN NO:   ZAG000207614
Bond Code:          SBC065             ISIN NO:   ZAG000207622
Bond Code:          SBC067             ISIN NO:   ZAG000207879
Bond Code:          SBC071             ISIN NO:   ZAG000208158
Bond Code:          SBC072             ISIN NO:   ZAG000208463
Bond Code:          SBC073             ISIN NO:   ZAG000208646
Bond Code:          SBC074             ISIN NO:   ZAG000208604
Bond Code:          SBC077             ISIN NO:   ZAG000208976
Bond Code:          SBC080             ISIN NO:   ZAG000209115
Bond Code:          SBC091             ISIN NO:   ZAG000210923
Bond Code:          SBC103             ISIN NO:   ZAG000212259
Bond Code:          SBC104             ISIN NO:   ZAG000212267
Bond Code:          SBC107             ISIN NO:   ZAG000212432
Bond Code:          SBC113             ISIN NO:   ZAG000212564
Bond Code:          SBC127             ISIN NO:   ZAG000213539
Bond Code:          SBC129             ISIN NO:   ZAG000213711
Bond Code:          SBC130             ISIN NO:   ZAG000213752
Bond Code:          SBC134             ISIN NO:   ZAG000214081
Bond Code:          SBC150             ISIN NO:   ZAG000214776
Bond Code:          SBC151             ISIN NO:   ZAG000214800
Bond Code:          SSN021             ISIN NO:   ZAG000110818
(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 amounts details as follows:

    Instrument              Interest Payment date             Interest rate %      Total amount in respect of aggregate
       Code                                                                                      amount
      SSN202                       01/09/2025                     9.325                       R 480 301,37
      SBC001                       01/09/2025                     9.075                        R 905 013,70
      SBC028                       01/09/2025                     10.375                     R 12 933 219,18
      SBC035                       01/09/2025                     9.155                        R 912 991,77
      SBC039                       01/09/2025                     9.345                      R 29 123 116,45
      SBC053                       01/09/2025                     10.325                       R 772 253,42
      SBC056                       01/09/2025                     8.885                       R 2 215 164,38
      SBC057                       01/09/2025                     8.925                       R 8 900 547,94
      SBC064                       01/09/2025                     9.675                       R 5 306 671,23
      SBC065                       01/09/2025                     9.915                       R 2 101 165,07
      SBC067                       01/09/2025                     9.925                        R 742 335,62
      SBC071                       01/09/2025                     9.625                      R 15 117 842,47
      SBC072                       01/09/2025                     10.825                     R 31 306 493,15
      SBC073                       01/09/2025                     11.945                       R 893 420,55
      SBC074                       01/09/2025                     9.825                        R 489 904,11
      SBC077                       01/09/2025                     10.825                     R 26 988 356,17
      SBC080                       01/09/2025                      9.325                      R 883 447,95
      SBC091                       01/09/2025                     10.325                      R 128 708,90
      SBC103                       01/09/2025                      9.825                      R 734 856,16
      SBC104                       01/09/2025                      9.325                     R 6 509 616,44
      SBC107                       01/09/2025                     10.125                      R 757 294,52
      SBC113                       01/09/2025                     10.525                     R 3 936 061,64
      SBC127                       01/09/2025                      9.025                     R 2 250 068,49
      SBC129                       01/09/2025                      9.325                     R 1 743 647,26
      SBC130                       01/09/2025                     10.325                     R 6 306 736,30
      SBC134                       01/09/2025                      9.825                     R 6 123 801,37
      SBC150                       01/09/2025                     10.325                     R 5 148 356,16
      SBC151                       01/09/2025                      8.875                     R 6 077 854,59
      SSN021                       01/09/2025                      7.000                     R 3 066 700,00



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 August 2025

Debt Sponsor: The Standard Bank of South Africa Limited

Date: 26-08-2025 01:04:00
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