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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:          SBC001             ISIN NO:            ZAG000202268
Bond Code:          SBC035             ISIN NO:            ZAG000206202
Bond Code:          SBC039             ISIN NO:            ZAG000206236
Bond Code:          SBC053             ISIN NO:            ZAG000206897
Bond Code:          SBC064             ISIN NO:            ZAG000207614
Bond Code:          SBC065             ISIN NO:            ZAG000207622
Bond Code:          SBC071             ISIN NO:            ZAG000208158
Bond Code:          SBC072             ISIN NO:            ZAG000208463
Bond Code:          SBC077             ISIN NO:            ZAG000208976
Bond Code:          SBC080             ISIN NO:            ZAG000209115
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:          SBC129             ISIN NO:            ZAG000213711
Bond Code:          SBC130             ISIN NO:            ZAG000213752
Bond Code:          SBC134             ISIN NO:            ZAG000214081
Bond Code:          SSN174             ISIN NO:            ZAG000188434
Bond Code:          SST202             ISIN NO:            ZAG000189325
Bond Code:          SBS78              ISIN NO:            ZAG000192303
Bond Code:          SBS79              ISIN NO:            ZAG000192295
Bond Code:          SBS69              ISIN NO:            ZAG000164575
Bond Code:          SBS95              ISIN NO:            ZAG000213133
Bond Code:          SBS96              ISIN NO:            ZAG000213125
Bond Code:          SBS97              ISIN NO:            ZAG000213117
"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
      SBC001                       02/06/2025                     9.308                        R 958,851.51
      SBC035                       02/06/2025                     9.388                        R 967,092.60
      SBC039                       02/06/2025                     9.578                      R 30,833,287.67
      SBC053                       02/06/2025                     10.558                        R 815,713.97
      SBC064                       02/06/2025                     9.908                       R 5,613,628.49
      SBC065                       02/06/2025                     10.148                      R 2,221,438.90
      SBC071                       02/06/2025                     9.858                      R 15,994,267.43
      SBC072                       02/06/2025                     11.058                     R 33,034,638.90
      SBC077                       02/06/2025                     11.058                     R 28,478,136.99
      SBC080                       02/06/2025                     9.558                         R 935,374.68
      SBC103                       02/06/2025                     10.058                        R 777,083.84
      SBC104                       02/06/2025                     9.558                       R 6,892,234.52
      SBC107                       02/06/2025                     10.358                        R 800,261.92
      SBC113                       02/06/2025                     10.758                      R 4,155,830.14
      SBC129                       02/06/2025                     9.558                       R 1,492,619.18
      SBC130                       02/06/2025                     10.558                      R 5,315,157.53
      SBC134                       02/06/2025                     10.058                      R 4,615,657.53
      SSN174                       02/06/2025                     10.432                      R 2,014,947.95
      SBS69                       02/06/2025                      9.308                      R 23,206,246.58
      SBS78                       02/06/2025                      8.778                      R 30,157,360.11
      SBS79                       02/06/2025                      9.008                      R 36,225,240.11
      SBS95                       09/06/2025                      8.418                      R 24,063,948.49
      SBS96                       09/06/2025                      8.608                      R 13,589,319.89
      SBS97                       09/06/2025                      8.688                      R 16,601,934.90



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
28 May 2025

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

Date: 28-05-2025 03:35:00
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