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Interest And Final Redemption Payment Notification.
GROWTHPOINT PROPERTIES LIMITED
(Incorporated with limited liability in the Republic of South Africa under registration number 1987/004988/06)
(Bond issuer code: GRTI)
(“Growthpoint” or the “company”)
INTEREST AND FINAL REDEMPTION PAYMENT NOTIFICATION
Bondholders are advised of the following interest and final redemption amount payments:
JSE Alpha Coupon Rate Interest Payment Actual Payment
Code ISIN (%) Amount Date
GRT24G ZAG000150137 8.607% R6,366,821.92 09 March 2023
GRT25G ZAG000150111 8.907% R5,270,991.78 09 March 2023
GRT26G ZAG000150129 9.217% R12,727,035.62 09 March 2023
GRT29 ZAG000155995 8.515% R6,466,734.25 10 March 2023
GRT30 ZAG000156001 8.765% R12,362,252.05 10 March 2023
GRT49 ZAG000186453 8.505% R5,126,301.37 10 March 2023
GRT50 ZAG000186479 8.775% R11,635,890.41 10 March 2023
GRT51G ZAG000192402 8.917% R7,695,493.15 14 March 2023
GRT52G ZAG000192410 9.317% R14,932,726.03 14 March 2023
GRT45 ZAG000168949 9.358% R14,331,841.10 24 March 2023
GRT36 ZAG000160474 8.708% R10,616,602.74 27 March 2023
GRT27 ZAG000154329 8.558% R10,550,958.90 28 March 2023
GRT38 ZAG000160476 8.838% R13,692,846.58 31 March 2023
JSE Alpha ISIN Final Redemption Amount Actual Payment
Code Date
GRT24G ZAG000150137 R300,000,000.00 09 March 2023
3 March 2023
Debt Sponsor
Absa Bank Limited (acting through its Corporate and Investment Bank division)
Date: 03-03-2023 03:22:00
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