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DEVELOPMENT BANK OF SOUTHERN AFRICA - New Financial Instruments Listing Announcement - DV2021; DV24

Release Date: 01/07/2014 10:00
Code(s): DV24 DV2021     PDF:  
Wrap Text
New Financial Instruments Listing Announcement - DV2021; DV24

DEVELOPMENT BANK OF SOUTHERN AFRICA LIMITED
New Financial Instruments Listing Announcement


Dated: 1 July 2014
Stock Code: DV2021; DV24
ISIN Code: ZZAG000116906, ZAG000112608


The JSE Limited has granted a listing to DEVELOPMENT BANK OF
SOUTHERN AFRICA LIMITED – “DV2021,DV24” Senior Unsecured
Floating and Fixed Rate Coupon Note due 18 June 2021, 18
February 2024 respectively, under its Domestic Medium Term
Note Programme dated 21 January 2008.

Authorised Programme size      R35,000,000,000.00
Total notes issued            R25,883,000,000.00

Full Note details are as follows:

Bond Code                           DVF24
Amount Issued:                      ZAR 123,000,000.00
Issue Price:                        100%
Coupon Indicator:                   Fixed
Coupon Rate                         9.69%
Maturity Date:                      18 February 2024
Interest Commencement Date:         01 July 2014
Interest Payment Date:              18 February and 18 August
                                    of each year up to and
                                    including     the     Maturity
                                    Date,    with     the    first
                                    Interest Payment Date being
                                    18 August 2014
Books Close:                        08 February to 18 February
                                    and 08 August to 18 August
                                    (all dates inclusive) of
                                    each    year     until     the
                                    Maturity Date
Last day to register:               17h00 on 07 February and 07
                                    August of each year until
                                    the   Maturity    Date   which
                                    shall    mean      that    the
                                    Register   will    be   closed
                                    from   each   Last    Day   to
                                    Register    to     the    next
                                    applicable Payment Day or
                                    10 days prior to the actual
                                    redemption date
Settlement Date:                    1 July 2014
Placement Agent:                    The Standard Bank of South
                                    Africa Limited
Bond Code                           DV2021
Amount Issued:                      ZAR120,000,000.00
Issue Price:                        100%
Coupon Indicator:                   Fixed
Coupon Rate                         9.03%
Maturity Date:                      18 June 2021
Interest Commencement Date:         18 June 2014
Interest Payment Date:              18 June and 18 December of
                                    each    year    up     to    and
                                    including      the     Maturity
                                    Date,     with     the     first
                                    Interest Payment Date being
                                    18 December 2014
Books Close:                        08 March to 18 March, 08
                                    June to 18 June and 08
                                    December    to   18    December
                                    (all dates inclusive) of
                                    each     year     until      the
                                    Maturity Date
Last day to register:               17h00 on 07 June and 07
                                    December of each year until
                                    the   Maturity     Date    which
                                    shall     mean      that     the
                                    Register    will    be    closed
                                    from   each    Last    Day    to
                                    Register     to     the     next
                                    applicable Payment Day or
                                    10 days prior to the actual
                                    redemption date
Settlement Date:                    18 June 2014
Placement Agent:                    The Standard Bank of South
                                    Africa Limited


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:



SBSA (Debt Sponsor)      Zoya Sisulu    (011) 721 6032

Date: 01/07/2014 10:00:00 Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE'). 
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