Wrap Text
Interest Rate announcement/ BISTDB
THE STANDARD BANK OF SOUTH AFRICA LIMITED
Stock Code: CLN000108
ISIN Code: ZAG000051913
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000108 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 1.95 %, in relation to the Credit
Linked Note CLN000108 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 7.075 %.
Stock Code: CLN000114
ISIN Code: ZAG000052184
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000114 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 1.95 %, in relation to the Credit
Linked Note CLN000114 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 7.075 %.
Stock Code: CLN000115
ISIN Code: ZAG000052192
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000115 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 1.95 %, in relation to the Credit
Linked Note CLN000115 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 7.075 %.
Stock Code: CLN000117
ISIN Code: ZAG000053034
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000117 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 2.00 %, in relation to the Credit
Linked Note CLN000117 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 7.125 %.
Stock Code: CLN000118
ISIN Code: ZAG000053042
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000118 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 1.50 %, in relation to the Credit
Linked Note CLN000118 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 6.625 %.
Stock Code: CLN000120
ISIN Code: ZAG000053455
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000120 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 1.10 %, in relation to the Credit
Linked Note CLN000120 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 6.225 %.
Stock Code: CLN000132
ISIN Code: ZAG000056813
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000132 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 1.50 %, in relation to the Credit
Linked Note CLN000132 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 6.625 %.
Stock Code: CLN000133
ISIN Code: ZAG000056821
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000133 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 1.15 %, in relation to the Credit
Linked Note CLN000133 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 6.275 %.
Stock Code: CLN000140
ISIN Code: ZAG000059056
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000140 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 2.10 %, in relation to the Credit
Linked Note CLN000140 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 7.225 %.
Stock Code: CLN000141
ISIN Code: ZAG000059064
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000141 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 1.75 %, in relation to the Credit
Linked Note CLN000141 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 6.875 %.
Stock Code: CLN000143
ISIN Code: ZAG000059353
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000143 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 1.85 %, in relation to the Credit
Linked Note CLN000143 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 6.975 %.
Stock Code: CLN000154
ISIN Code: ZAG000074246
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000154 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 4.00 %, in relation to the Credit
Linked Note CLN000154 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 9.125 %.
Stock Code: CLN000156
ISIN Code: ZAG000074279
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000156 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 3.50 %, in relation to the Credit
Linked Note CLN000156 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 8.625 %.
Stock Code: CLN000157
ISIN Code: ZAG000074261
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000157 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 3.50 %, in relation to the Credit
Linked Note CLN000157 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 8.625 %.
Stock Code: CLN000170
ISIN Code: ZAG000081399
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000170 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 2.20 %, in relation to the Credit
Linked Note CLN000170 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 7.325 %.
Stock Code: CLN000179
ISIN Code: ZAG000083635
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000179 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 1.65 %, in relation to the Credit
Linked Note CLN000179 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 6.775 %.
Stock Code: CLN000188
ISIN Code: ZAG000088436
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000188 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 11.00 %, in relation to the Credit
Linked Note CLN000188 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 16.125 %.
Stock Code: CLN000200
ISIN Code: ZAG000089814
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000200 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 5.54 %, in relation to the Credit
Linked Note CLN000200 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 10.665 %.
Stock Code: CLN000210
ISIN Code: ZAG000089954
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000210 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 3.13 %, in relation to the Credit
Linked Note CLN000210 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 8.255 %.
Stock Code: CLN000211
ISIN Code: ZAG000089962
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000211 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 4.91 %, in relation to the Credit
Linked Note CLN000211 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 10.035 %.
Stock Code: CLN000226
ISIN Code: ZAG000091414
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000226 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 2.40 %, in relation to the Credit
Linked Note CLN000226 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 7.525 %.
Stock Code: CLN000227
ISIN Code: ZAG000091406
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000227 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 3.26 %, in relation to the Credit
Linked Note CLN000227 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 8.385 %.
Stock Code: CLN000239
ISIN Code: ZAG000093139
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000239 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 2.515 %, in relation to the Credit
Linked Note CLN000239 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 7.64 %.
Stock Code: CLN000263
ISIN Code: ZAG000094293
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000263 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 3.76 %, in relation to the Credit
Linked Note CLN000263 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 8.885 %.
Stock Code: CLN000269
ISIN Code: ZAG000095035
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000269 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 3.55 %, in relation to the Credit
Linked Note CLN000269 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 8.675 %.
Stock Code: CLN000271
ISIN Code: ZAG000095472
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000271 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 5.05 %, in relation to the Credit
Linked Note CLN000271 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 10.175 %.
Stock Code: CLN000272
ISIN Code: ZAG000095555
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000272 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 1.85 %, in relation to the Credit
Linked Note CLN000272 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 6.975 %.
Stock Code: CLN000273
ISIN Code: ZAG000095563
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000273 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 1.80 %, in relation to the Credit
Linked Note CLN000273 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 6.925 %.
Stock Code: CLN000274
ISIN Code: ZAG000095647
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000274 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 1.85 %, in relation to the Credit
Linked Note CLN000274 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 6.975 %.
Stock Code: CLN000278
ISIN Code: ZAG000095746
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000278 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 1.83 %, in relation to the Credit
Linked Note CLN000278 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 6.955 %.
Stock Code: CLN000279
ISIN Code: ZAG000095985
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000279 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 4.55 %, in relation to the Credit
Linked Note CLN000279 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 9.675 %.
Stock Code: CLN000283
ISIN Code: ZAG000096751
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000283 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 1.60 %, in relation to the Credit
Linked Note CLN000283 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 6.725 %.
Stock Code: CLN000284
ISIN Code: ZAG000093720
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000284 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 2.75 %, in relation to the Credit
Linked Note CLN000284 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 7.875 %.
Stock Code: CLN000285
ISIN Code: ZAG000097338
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000285 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 2.75 %, in relation to the Credit
Linked Note CLN000285 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 7.875 %.
Stock Code: CLN000286
ISIN Code: ZAG000097379
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000286 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 2.75 %, in relation to the Credit
Linked Note CLN000286 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 7.875 %.
Stock Code: CLN000287
ISIN Code: ZAG000097452
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000287 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 2.75 %, in relation to the Credit
Linked Note CLN000287 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 7.875 %.
Stock Code: CLN000296
ISIN Code: ZAG000095084
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000296 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.125% plus 2.97 %, in relation to the Credit
Linked Note CLN000296 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 8.095 %.
Stock Code: CLN000301
ISIN Code: ZAG000101122
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000301 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
LIBOR rate of 0.2801% plus 3.75 %, in relation to the Credit
Linked Note CLN000301 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 4.0301 %.
Stock Code: CLN000302
ISIN Code: ZAG000101650
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000302 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
LIBOR rate of 0.2801% plus 2.85 %, in relation to the Credit
Linked Note CLN000302 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 3.1301 %.
Stock Code: CLN000303
ISIN Code: ZAG000102179
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000303 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
LIBOR rate of 0.2801% plus 8.38 %, in relation to the Credit
Linked Note CLN000303 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 8.6601 %.
Stock Code: CLN000304
ISIN Code: ZAG000102187
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000304 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
LIBOR rate of 0.2801% plus 2.98 %, in relation to the Credit
Linked Note CLN000304 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 3.2601 %.
Stock Code: CLN000305
ISIN Code: ZAG000102195
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000305 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
LIBOR rate of 0.2801% plus 5.88 %, in relation to the Credit
Linked Note CLN000305 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 6.1601 %.
Stock Code: CLN000310
ISIN Code: ZAG000102625
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000310 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
LIBOR rate of 0.2801% plus 2.65 %, in relation to the Credit
Linked Note CLN000310 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 2.9301 %.
Stock Code: CLN000311
ISIN Code: ZAG000102575
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000311 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
LIBOR rate of 0.2801% plus 5.50 %, in relation to the Credit
Linked Note CLN000311 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 5.7801 %.
Stock Code: CLN000312
ISIN Code: ZAG000102922
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN000312 the Interest Period 20 March 2013 up to but excluding
20 June 2013.
Notice is hereby given that the Interest Rate, being the 3 month
LIBOR rate of 0.2801% plus 3.30 %, in relation to the Credit
Linked Note CLN000312 for the Interest Period 20 March 2013 up
to but excluding 20 June 2013 has been set at 3.5801 %.
Last date to trade cum interest: 09 June 2013
Ex-interest Date: 10 June 2013
Interest Payment Date: 20 June 2013
Dated 10 April 2013
Sponsor – The Standard Bank of South Africa Limited
For further information contact:
Standard Bank
Johann Erasmus
Tel (011) 378 7826
Email: johann.erasmus@standardbank.co.za
Sponsor: Standard Bank
Date: 10/04/2013 11:05:00 Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE').
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