To view the PDF file, sign up for a MySharenet subscription.

THE THEKWINI FUND 11 (RF) LTD - New Instruments Listing

Release Date: 01/11/2013 12:30
Code(s): TH11C2 TH11D2 TH11A4 TH11A5 TH11B2 TH11A6     PDF:  
Wrap Text
New Instruments Listing

The Thekwini Fund 11 (RF) Limited
New Financial Instrument Listing Announcement

Dated: 1 November 2013
Stock Code: TH11A4, TH11A5, TH11A6, TH11B2, TH11C2, TH11D2
ISIN Code: ZAG000110289, ZAG000110297, ZAG000110305,
ZAG000110313, ZAG000110263, ZAG000110271

The JSE Limited has granted a financial instrument listing to The
Thekwini Fund 11 (RF) Limited “TH11A4, TH11A5, TH11B2, TH11C2,
TH11D2” Floating Rate Notes and “TH11A6” Fixed Rate Notes all due 18
July 2041 (Step up and call date 18 July 2018) and issued by The
Thekwini Fund 11 (RF) Limited in terms of its Programme Memorandum
dated on or about 31 July 2013.

Authorised Programme size                R 4,000,000,000.00
Total notes issued (incl. this issue)    R 2,270,000,000.00

Full Note details are as follows:

Designation of Note:                Class A4 Note
Nominal Issued:                     ZAR 374,000,000.00
Coupon Rate:                        6.342% (being 120 bps over 3
                                    month JIBAR of 5.142%)
Coupon Step-Up Rate:                160 bps over 3 month JIBAR
Coupon Indicator:                   Floating
Maturity Date:                      18 July 2041
First Interest Payment Date:        18 January 2014
Coupon Step-Up Date:                18 July 2018
Interest Payment Dates:             18th January, 18th April, 18th
                                    July and 18th October of each
                                    year
Books Close:                        13th January, 13th April, 13th
                                    July and 13th October of each
                                    year
Last day to register:               By 17:00 on 12th January, 12th
                                    April,   12th  July  and   12th
                                    October of each year
Interest Commencement Date:         4 November 2013
Settlement Date:                    4 November 2013
Rating:                             AAA(zaf) by Fitch Ratings
Placement Agent:                    The Standard Bank of South
                                    Africa Limited


Designation of Note:                Class A5 Note
Nominal Issued:                     ZAR 433,000,000.00
Coupon Rate:                   6.632% (being 149 bps over 3
                               month JIBAR of 5.142%)
Coupon Step-Up Rate:           202 bps over 3 month JIBAR
Coupon Indicator:              Floating
Maturity Date:                 18 July 2041
First Interest Payment Date:   18 January 2014
Coupon Step-Up Date:           18 July 2018
Interest Payment Dates:        18th January, 18th April, 18th
                               July and 18th October of each
                               year
Books Close:                   13th January, 13th April, 13th
                               July and 13th October of each
                               year
Last day to register:          By 17:00 on 12th January, 12th
                               April,   12th  July  and   12th
                               October of each year
Interest Commencement Date:    4 November 2013
Settlement Date:               4 November 2013
Rating:                        AAA(zaf) by Fitch Ratings
Placement Agent:               The Standard Bank of South
                               Africa Limited

Designation of Note:           Class A6 Note
Nominal Issued:                ZAR 253,000,000.00
Coupon Rate:                   8.20% per annum
Coupon Step-Up Rate:           202 bps over 3 month JIBAR
Coupon Indicator:              Fixed until Coupon Step-Up
                               Date then Floating thereafter
Maturity Date:                 18 July 2041
First Interest Payment Date:   18 January 2014
Coupon Step-Up Date:           18 July 2018
Interest Payment Dates:        18th January and 18th July of
                               each year until Coupon Step-
                               up Date then 18th January, 18th
                               April,   18th  July  and   18th
                               October     of    each    year
                               thereafter
Books Close:                   13th January and 13th July of
                               each year until Coupon Step-
                               up Date then 13th January, 13th
                               April,   13th  July  and   13th
                               October     of    each    year
                               thereafter
Last day to register:          By 17:00 on 12th January and
                               12th July of each year until
                               Coupon Step-up Date the 12th
                               January, 12th April, 12th July
                               and 12th October of each year
                               thereafter
Interest Commencement Date:    4 November 2013
Settlement Date:               4 November 2013
Rating:                        AAA(zaf) by Fitch Ratings
Placement Agent:               The Standard Bank of South
                               Africa Limited

Designation of Note:           Class B2 Note
Nominal Issued:                ZAR 66,000,000.00
Coupon Rate:                   7.032% (being 189 bps over 3
                               month JIBAR of 5.142%)
Coupon Step-Up Rate:           260 bps over 3 month JIBAR
Coupon Indicator:              Floating
Maturity Date:                 18 July 2041
First Interest Payment Date:   18 January 2014
Coupon Step-Up Date:           18 July 2018
Interest Payment Dates:        18th January, 18th April, 18th
                               July and 18th October of each
                               year
Books Close:                   13th January, 13th April, 13th
                               July and 13th October of each
                               year
Last day to register:          By 17:00 on 12th January, 12th
                               April,   12th  July  and   12th
                               October of each year
Interest Commencement Date:    4 November 2013
Settlement Date:               4 November 2013
Rating:                        A+(zaf) by Fitch Ratings
Placement Agent:               The Standard Bank of South
                               Africa Limited

Designation of Note:           Class C2 Note
Nominal Issued:                ZAR 54,000,000.00
Coupon Rate:                   7.982% (being 284 bps over 3
                               month JIBAR of 5.142%)
Coupon Step-Up Rate:           284 bps over 3 month JIBAR
Coupon Indicator:              Floating
Maturity Date:                 18 July 2041
First Interest Payment Date:   18 January 2014
Coupon Step-Up Date:           18 July 2018
Interest Payment Dates:        18th January, 18th April, 18th
                               July and 18th October of each
                               year
Books Close:                   13th January, 13th April, 13th
                               July and 13th October of each
                               year
Last day to register:             By 17:00 on 12th January, 12th
                                  April,   12th  July  and   12th
                                  October of each year
Interest Commencement Date:       4 November 2013
Settlement Date:                  4 November 2013
Rating:                           BBB-(zaf) by Fitch Ratings
Placement Agent:                  The Standard Bank of South
                                  Africa Limited

Designation of Note:              Class D2 Note
Nominal Issued:                   ZAR 20,000,000.00
Coupon Rate:                      11.182% (being 604 bps over 3
                                  month JIBAR of 5.142%)
Coupon Step-Up Rate:              604 bps over 3 month JIBAR
Coupon Indicator:                 Floating
Maturity Date:                    18 July 2041
First Interest Payment Date:      18 January 2014
Coupon Step-Up Date:              18 July 2018
Interest Payment Dates:           18th January, 18th April, 18th
                                  July and 18th October of each
                                  year
Books Close:                      13th January, 13th April, 13th
                                  July and 13th October of each
                                  year
Last day to register:             By 17:00 on 12th January, 12th
                                  April,   12th  July  and   12th
                                  October of each year
Interest Commencement Date:       4 November 2013
Settlement Date:                  4 November 2013
Rating:                           Not Rated
Placement Agent:                  The Standard Bank of South
                                  Africa Limited


Sponsor: Standard Bank
Notes will be deposited in the Central Depository (“CSD”) and
settlement will take place electronically in terms of JSE Rules.

Further information on the Note issued please contact:
Mike Brunke    Standard Bank (Sponsor)       (011) 721 8101
Email: mike.brunke@standardbank.co.za

Date: 01/11/2013 12:30:00 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.

Share This Story