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ABSA BANK LIMITED - ABFN10 - Interest Rate Reset

Release Date: 30/01/2015 11:45
Code(s): ABFN10     PDF:  
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ABFN10 - Interest Rate Reset

ABSA BANK LIMITED
(Incorporated with limited liability in South Africa under registration number 1986/004794/06)

Bond Code: ABFN10
ISIN Code: ZAG000109919

INTEREST RATE RESET

Notice is hereby given that the 3 month JIBAR rate as at 28 January 2015 is 6.1% p.a. (“JIBAR”).
Accordingly, the next interest payment, payable on 28 April 2015 (*Modified following), for the
period 28 January 2015 to 27 April 2015, will be calculated based on a rate of 7.08% p.a. (98bps
over JIBAR).

* When the Interest Payment Date falls on a non business day, such Interest Payment Date
shall be postponed to the next business day. However, if the first business day after the
weekend or public holiday falls in a new calendar month the last business day before the
weekend / public holiday will be used instead.
Next reset date: 28 April 2015.

30 January 2015.

Debt Sponsor
Absa Bank Limited (acting through its Corporate and Investment Banking division)

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