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Super Group Limited - New Financial Instruments Listing – SPG006 and SPG007 – updated
Super Group Limited
JSE Code: SPG006 and SPG007
ISIN Nos: ZAG000160227 and ZAG000160235
New Financial Instruments Listing – SPG006 and SPG007 – updated
Please note that this SENS replaces the SENS issued on 14 June
2019.
Super Group is pleased to announce that it has raised a total of
R1 billion in terms of its Domestic Medium Term Note Programme
dated 22 October 2013. In an auction held on 12 June 2019, bids
of R2,88 billion were received in total for both the three and
five year tranches.
The JSE Limited has granted a listing to Super Group Limited –
Issue SPG006 due 18 June 2022.
INSTRUMENT TYPE: Floating Rate Notes
Authorised Programme size R2,000,000,000.00
Total Notes in Issue
(including current issue) R1,329,000,000.00
Bond Code SPG006
Issue Price 100%
Nominal Issued R375,000,000.00
Coupon Rate 3 Month Jibar plus 145 bps per
annum
Trade Type Price
Maturity Date 18 June 2022
Interest Commencement date 18 June 2019
Business Day Convention Following Business Day
Interest Payment Dates 18 June 18, September,
18 December, 18 March of each year
until Maturity Date
Books Close 8 June to 17 June, 8 September to
17 September, 8 December to 17
December, and from 8 March to 17
March (all dates inclusive) of
each year until Maturity Date
Last day to register By 17h00 on 7 June, 7 September,
7 December, 7 March of each year
until Maturity Date
Issue Date 18 June 2019
ISIN ZAG000160227
The JSE Limited has granted a listing to Super Group Limited –
Issue SPG007 due 18 June 2024.
INSTRUMENT TYPE: Floating Rate Notes
Authorised Programme size R2,000,000,000.00
Total Notes in Issue
(including current issue) R1,954,000,000.00
Bond Code SPG007
Issue Price 100%
Nominal Issued R625,000,000.00
Coupon Rate 3 Month Jibar plus 165 bps per
annum
Trade Type Price
Maturity Date 18 June 2024
Interest Commencement date 18 June 2019
Business Day Convention Following Business Day
Interest Payment Dates 18 June 18, September,
18 December, 18 March of each year
until Maturity Date
Books Close 8 June to 17 June, 8 September to
17 September, 8 December to 17
December, and from 8 March to 17
March (all dates inclusive) of
each year until Maturity Date
Last day to register By 17h00 on 7 June, 7 September,
7 December, 7 March of each year
until Maturity Date
Issue Date 18 June 2019
ISIN ZAG000160235
Debt Security subject to guarantee; security or credit
enhancement: Guarantee applicable - Investors should study the
Pricing Supplement for full details of the guarantee.
Additional Terms and Conditions: Investors should study the
Pricing Supplement for full details of the specific terms and
conditions applicable to this specific issuance.
The Notes will be immobilized in the Central Depository (“CSD”)
and settlement will take place electronically in terms of JSE
Rules.
Sandton
26 June 2019
Debt Sponsor: Investec Bank Limited (“Investec”)
Date: 26/06/2019 04:37:00 Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE').
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