FRS422 FRS423 FRS424 - Listing of New Financial Instruments FirstRand Bank Limited (Incorporated in the Republic of South Africa) (Registration number: 1929/001225/06) Issuer code: FRII LEI: ZAYQDKTCATIXF9OQY690 Bond code: FRS422 ISIN: ZAG000216086 Bond code: FRS423 ISIN: ZAG000216078 Bond code: FRS424 ISIN: ZAG000216060 (FRB) LISTING OF NEW FINANCIAL INSTRUMENTS The JSE has granted FRB the listings of its FRS422, FRS423 and FRS424 unsecured structured notes, in terms of its note programme (the programme) dated 29 November 2011, as amended or supplemented from time to time, effective 3 June 2025. Type of debt security: Single index notes Debt security code: FRS422 ISIN: ZAG000216086 Nominal issued: R34 000 000.00 Last day to register: By 17:00 on 29 May 2030 Books close: 30 May 2030 Maturity date: 3 June 2030, as adjusted in accordance with the applicable business day convention, as specified in the pricing supplement Final maturity amount: An amount in ZAR determined and calculated by the calculation agent equal to the index linked redemption amount: ILRA = ANA * (100% + PPN * MAX((FIL / IIL) – CS; 0) * (FXFVD/FXFSD)), all definitions used in this calculation are as per the pricing supplement Debt security code: FRS423 ISIN: ZAG000216078 Nominal issued: R33 000 000.00 Last day to register: By 17:00 on 29 May 2030 Books close: 30 May 2030 Maturity date: 3 June 2030, as adjusted in accordance with the applicable business day convention, as specified in the pricing supplement Final maturity amount: An amount in ZAR determined and calculated by the calculation agent equal to the index linked redemption amount: ILRA = ANA * (100% + PPN * MAX((FIL / IIL) – CS; 0) * (FXFVD/FXFSD)) all definitions used in this calculation are as per the pricing supplement Debt security code: FRS424 ISIN: ZAG000216060 Nominal issued: R33 000 000.00 Last day to register: By 17:00 on 29 May 2030 Books close: 30 May 2030 Maturity date: 3 June 2030, as adjusted in accordance with the applicable business day convention, as specified in the pricing supplement Final maturity amount: An amount in ZAR determined and calculated by the calculation agent equal to the index linked redemption amount: ILRA = ANA * (100% + PPN * MAX((FIL / IIL) – CS; 0) * (FXFVD/FXFSD)) all definitions used in this calculation are as per the pricing supplement THE BELOW SECTION IS APPLICABLE TO THE FRS422, FRS423 AND FRS424 NOTES ABOVE: Issue date: 3 June 2025 Issue price: 100% of par Business day convention: Following business day Summary of additional terms: In addition to the terms and conditions contained in the programme, please refer to the redemption/payment basis, the early redemption at the option of the issuer, the final and early redemption amounts, the any conditions additional to, or modified from, those set forth in the terms and conditions and the FX disruption provisions contained in the pricing supplements Programme amount: R60 000 000 000.00 Total notes in issue under programme: R52 139 503 155.76 as at the signature date of the FRS424 pricing supplement Dealer: FirstRand Bank Limited, acting through its Rand Merchant Bank division 30 May 2025 Debt sponsor FirstRand Bank Limited Date: 30-05-2025 04:00:00 Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE'). The JSE does not, whether expressly, tacitly or implicitly, represent, warrant or in any way guarantee the truth, accuracy or completeness of the information published on SENS. The JSE, their officers, employees and agents accept no liability for (or in respect of) any direct, indirect, incidental or consequential loss or damage of any kind or nature, howsoever arising, from the use of SENS or the use of, or reliance on, information disseminated through SENS.