Wrap Text
Interest Rate Announcement - CLN170 - CLN372
THE STANDARD BANK OF SOUTH AFRICA LIMITED
Stock Code: CLN170
ISIN Code: ZAG000081399
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN170 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 2.20 %, in relation to the Credit
Linked Note CLN170 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 8.33 %.
Stock Code: CLN179
ISIN Code: ZAG000083635
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN179 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 1.65 %, in relation to the Credit
Linked Note CLN179 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 7.78 %.
Stock Code: CLN200
ISIN Code: ZAG000089814
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN200 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 5.54 %, in relation to the Credit
Linked Note CLN200 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 11.67 %.
Stock Code: CLN226
ISIN Code: ZAG000091414
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN226 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 2.40 %, in relation to the Credit
Linked Note CLN226 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 8.53 %.
Stock Code: CLN227
ISIN Code: ZAG000091406
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN227 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 3.26 %, in relation to the Credit
Linked Note CLN227 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 8.39 %.
Stock Code: CLN239
ISIN Code: ZAG000093139
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN239 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 2.52 %, in relation to the Credit
Linked Note CLN239 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 8.65 %.
Stock Code: CLN269
ISIN Code: ZAG000095035
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN269 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 3.55 %, in relation to the Credit
Linked Note CLN269 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 8.68 %.
Stock Code: CLN272
ISIN Code: ZAG000095555
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN272 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 1.85 %, in relation to the Credit
Linked Note CLN272 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 7.98 %.
Stock Code: CLN273
ISIN Code: ZAG000095563
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN273 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 1.8 %, in relation to the Credit Linked
Note CLN273 for the Interest Period 20 September 2014 up to but
excluding 20 December 2014 has been set at 7.93 %.
Stock Code: CLN274
ISIN Code: ZAG000095647
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN274 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 1.85 %, in relation to the Credit
Linked Note CLN274 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 7.98 %.
Stock Code: CLN278
ISIN Code: ZAG000095746
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN278 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 5.133% plus 2.75 %, in relation to the Credit
Linked Note CLN278 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 7.883 %.
Stock Code: CLN279
ISIN Code: ZAG000095985
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN279 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 1.83 %, in relation to the Credit
Linked Note CLN279 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 7.96 %.
Stock Code: CLN283
ISIN Code: ZAG000096751
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN283 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 1.60 %, in relation to the Credit
Linked Note CLN283 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 7.73 %.
Stock Code: CLN296
ISIN Code: ZAG000095084
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN296 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 2.97 %, in relation to the Credit
Linked Note CLN296 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 9.10 %.
Stock Code: CLN301
ISIN Code: ZAG000101122
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN301 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 3.75 %, in relation to the Credit
Linked Note CLN301 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 8.88 %.
Stock Code: CLN302
ISIN Code: ZAG000101650
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN302 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 2.85 %, in relation to the Credit
Linked Note CLN302 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 8.98 %.
Stock Code: CLN000303
ISIN Code: ZAG000102179
Interest Rate announcement in relation to the Credit Linked Note
CLN000303 for the Interest Period 20 September 2014 up to but
excluding 20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
Libor rate of 6.13% plus 8.38 %, in relation to the Credit Linked
Note CLN000303 for the Interest Period 20 September 2014 up to but
excluding 20 December 2014 has been set at 14.51%.
Stock Code: CLN000304
ISIN Code: ZAG000102187
Interest Rate announcement in relation to the Credit Linked Note
CLN000304 for the Interest Period 20 September 2014 up to but
excluding 20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
Libor rate of 6.13% plus 2.98 %, in relation to the Credit Linked
Note CLN000304 the Interest Period 20 September 2014 up to but
excluding 20 December 2014 has been set at 9.11%.
Stock Code: CLN000305
ISIN Code: ZAG000102195
Interest Rate announcement in relation to the Credit Linked Note
CLN000305 for the Interest Period 20 September 2014 up to but
excluding 20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
Libor rate of 6.13% plus 5.88 %, in relation to the Credit Linked
Note CLN000305 for the Interest Period 20 September 2014 up to but
excluding 20 December 2014 has been set at 9.01 %.
Stock Code: CLN000310
ISIN Code: ZAG000102625
Interest Rate announcement in relation to the Credit Linked Note
CLN000310 for the Interest Period 20 September 2014 up to but
excluding 20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
Libor rate of 6.13% plus 2.65 %, in relation to the Credit Linked
Note CLN000310 for the Interest Period 20 September 2014 up to but
excluding 20 March 2014 has been set at 8.78%.
Stock Code: CLN000311
ISIN Code: ZAG000102575
Interest Rate announcement in relation to the Credit Linked Note
CLN000311 for the Interest Period 20 September 2014 up to but
excluding 20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
Libor rate of 6.13 plus 5.50 %, in relation to the Credit Linked
Note CLN000311 the Interest Period 20 September 2014 up to but
excluding 20 December 2014 has been set at 11.63%.
Stock Code: CLN317
ISIN Code: ZAG000103805
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN317 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 3.12 %, in relation to the Credit
Linked Note CLN317 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 9.25 %.
Stock Code: CLN322
ISIN Code: ZAG000104373
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN322 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 2.00 %, in relation to the Credit
Linked Note CLN322 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 8.13 %.
Stock Code: CLN324
ISIN Code: ZAG000104993
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN324 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 8.05 %, in relation to the Credit
Linked Note CLN324 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 14.18 %.
Stock Code: CLN325
ISIN Code: ZAG000105198
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN325 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 2.37 %, in relation to the Credit
Linked Note CLN325 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 8.50 %.
Stock Code: CLN326
ISIN Code: ZAG000105701
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN326 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 2.52 %, in relation to the Credit
Linked Note CLN326 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 8.65 %.
Stock Code: CLN327
ISIN Code: ZAG000105735
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN327 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 3.10 %, in relation to the Credit
Linked Note CLN327 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 9.23 %.
Stock Code: CLN328
ISIN Code: ZAG000105909
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN328 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 2.60 %, in relation to the Credit
Linked Note CLN328 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 8.73 %.
Stock Code: CLN329
ISIN Code: ZAG000105982
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN329 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.13% plus 6.00 %, in relation to the Credit
Linked Note CLN329 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 12.13 %.
Stock Code: CLN330
ISIN Code: ZAG000105990
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN330 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.133% plus 6.00 %, in relation to the Credit
Linked Note CLN330 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 12.133 %.
Stock Code: CLN331
ISIN Code: ZAG000106006
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN331 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.133% plus 6.00 %, in relation to the Credit
Linked Note CLN331 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 12.133 %.
Stock Code: CLN332
ISIN Code: ZAG000106634
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN332 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.133% plus 3.40 %, in relation to the Credit
Linked Note CLN332 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 9.533 %.
Stock Code: CLN336
ISIN Code: ZAG000108259
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN336 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.133% plus 1.70 %, in relation to the Credit
Linked Note CLN336for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 7.833 %.
Stock Code: CLN337
ISIN Code: ZAG000108267
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN337 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.133% plus 2.40 %, in relation to the Credit
Linked Note CLN337for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 8.533 %.
Stock Code: CLN340
ISIN Code: ZAG000109273
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN340 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.133% plus 4.57 %, in relation to the Credit
Linked Note CLN340 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 10.703 %.
Stock Code: CLN342
ISIN Code: ZAG000109489
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN342 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.133% plus 5.925 %, in relation to the Credit
Linked Note CLN342 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 12.058 %.
Stock Code: CLN343
ISIN Code: ZAG000109752
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN343 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.133% plus 3.8%, in relation to the Credit Linked
Note CLN343 for the Interest Period 20 September 2014 up to but
excluding 20 December 2014 has been set at 9.93 %.
Stock Code: CLN344
ISIN Code: ZAG000109836
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN344 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.133% plus 1.5 %, in relation to the Credit
Linked Note CLN344 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 7.63 %.
Stock Code: CLN345
ISIN Code: ZAG000109950
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN345 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.133% plus 2.82 %, in relation to the Credit
Linked Note CLN345 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 8.95 %.
Stock Code: CLN354
ISIN Code: ZAG000111345
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN354 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.133% plus 6.00 %, in relation to the Credit
Linked Note CLN354 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 12.13 %.
Stock Code: CLN360
ISIN Code: ZAG000112020
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN360 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.133% plus 1.28 %, in relation to the Credit
Linked Note CLN360 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 7.41%.
Stock Code: CLN371
ISIN Code: ZAG000114083
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN371 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.133% plus 3.70 %, in relation to the Credit
Linked Note CLN371 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 9.833 %.
Stock Code: CLN372
ISIN Code: ZAG000114505
Interest Rate Announcement
Interest Rate announcement in relation to the Credit Linked Note
CLN372 the Interest Period 20 September 2014 up to but excluding
20 December 2014.
Notice is hereby given that the Interest Rate, being the 3 month
JIBAR rate of 6.133% plus 2.93 %, in relation to the Credit
Linked Note CLN372 for the Interest Period 20 September 2014 up
to but excluding 20 December 2014 has been set at 9.063 %.
Last date to trade cum interest: 09 December 2014
Ex-interest Date: 10 December 2014
Interest Payment Date: 20 December 2014
Dated 4 December 2014
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: 04/12/2014 03:59:00 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.