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The Nitro Securitisation 5 Issuer Trust - N5A16, N5B23, N5C23, N5D23 and N5E23 - New Instruments Listing

Release Date: 08/06/2015 11:00
Code(s): N5A16 N5B23 N5C23 N5D23 N5E23     PDF:  
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N5A16, N5B23, N5C23, N5D23 and N5E23 - New Instruments Listing

The Nitro Securitisation 5 Issuer Trust
(Incorporated in the Republic of South Africa)
(Master’s Reference No. IT022168/2014)
Company code: NIT
(“Nitro 5”)

NEW FINANCIAL INSTRUMENTS LISTING

The JSE Limited has granted The Nitro Securitization 5 Issuer Trust
the listing of its N5A16, N5B23, N5C23, N5D23 and N5E23 Asset
Backed Notes, under its ZAR2,457,000,000.00 Asset Backed Notes
Offering Circular dated 4 June 2015.

INSTRUMENT TYPE:               ASSET BACKED FLOATING RATE NOTES

Bond Code:                     N5A16
Nominal Issued:                R600,000,000.00
Initial Coupon:                7.172% (Interpolated JIBAR of 6.272%
                               plus 0.9%)
Coupon:                        3 Month JIBAR plus 0.9%
Issue Price:                   100%
Coupon Rate Indicator:         Floating
Trade Type:                    Price
Expected Maturity Date:        20 June 2016
Final Maturity Date:           20 June 2016
First Interest Payment Date:   20 September 2015
Books Close:                   15 September, 15 December, 15 March,
                               15 June of each year until Maturity
Interest Payment Date(s):      20 September, 20 December, 20 March,
                               20 June of each year until Maturity
Last Day to Register:          By 17:00 on 14 September, 14 December,
                               14 March, 14 June of each year until
                               Maturity
Issue Date:                    9 June 2015
Interest Commencement Date:    9 June 2015
Date Convention:               Following Business Day
ISIN No.:                      ZAG000126830
Rating:                        zaA-1/A-2 by S&P


Bond Code:                     N5B23
Nominal Issued:                R900,000,000.00
Initial Coupon:                7.672% (Interpolated JIBAR of 6.272%
                               plus 1.4%)
Coupon:                        3 Month JIBAR plus 1.4%
Issue Price:                   100%
Coupon Rate Indicator:         Floating
Trade Type:                    Price
Expected Maturity Date:        20 December 2017
Final Maturity Date:           20 June 2023
First Interest Payment Date:   20 September 2015
Books Close:                   15 September, 15 December, 15 March,
                               15 June of each year until Maturity
Interest Payment Date(s):      20 September, 20 December, 20 March,
                               20 June of each year until Maturity
Last Day to Register:          By 17:00 on 14 September, 14 December,
                               14 March, 14 June of each year until
                               Maturity
Issue Date:                    9 June 2015
Interest Commencement Date:    9 June 2015
Date Convention:               Following Business Day
ISIN No.:                      ZAG000126848
Rating:                        zaAAA/BBB by S&P


Bond Code:                     N5C23
Nominal Issued:                R480,000,000.00
Initial Coupon:                7.772% (Interpolated JIBAR of 6.272%
                               plus 1.5%)
Coupon:                        3 Month JIBAR plus 1.5%
Issue Price:                   100%
Coupon Rate Indicator:         Floating
Trade Type:                    Price
Expected Maturity Date:        20 December 2018
Final Maturity Date:           20 June 2023
First Interest Payment Date:   20 September 2015
Books Close:                   15 September, 15 December, 15 March,
                               15 June of each year until Maturity
Interest Payment Date(s):      20 September, 20 December, 20 March,
                               20 June of each year until Maturity
Last Day to Register:          By 17:00 on 14 September, 14 December,
                               14 March, 14 June of each year until
                               Maturity
Issue Date:                    9 June 2015
Interest Commencement Date:    9 June 2015
Date Convention:               Following Business Day
ISIN No.:                      ZAG000126855
Rating:                        zaAAA/BBB by S&P


Bond Code:                     N5D23
Nominal Issued:                R252,000,000.00
Initial Coupon:                8.862% (Interpolated JIBAR of 6.272%
                               plus 2.59%)
Coupon:                        3 Month JIBAR plus 2.59%
Issue Price:                   100%
Coupon Rate Indicator:         Floating
Trade Type:                    Price
Expected Maturity Date:        20 September 2019
Final Maturity Date:           20 June 2023
First Interest Payment Date:   20 September 2015
Books Close:                   15 September, 15 December, 15 March,
                               15 June of each year until Maturity
Interest Payment Date(s):      20 September, 20 December, 20 March,
                               20 June of each year until Maturity
Last Day to Register:          By 17:00 on 14 September, 14 December,
                               14 March, 14 June of each year until
                               Maturity
Issue Date:                    9 June 2015
Interest Commencement Date:    9 June 2015
Date Convention:               Following Business Day
ISIN No.:                      ZAG000126863
Rating:                        zaB/B by S&P


Bond Code:                     N5E23
Nominal Issued:                R84,000,000.00
Initial Coupon:                9.772% (Interpolated JIBAR of 6.272%
                               plus 3.5%)
Coupon:                        3 Month JIBAR plus 3.5%
Issue Price:                   100%
Coupon Rate Indicator:         Floating
Trade Type:                    Price
Expected Maturity Date:        20 June 2023
Final Maturity Date:           20 June 2023
First Interest Payment Date:   20 September 2015
Books Close:                   15 September, 15 December, 15 March,
                               15 June of each year until Maturity
Interest Payment Date(s):      20 September, 20 December, 20 March,
                               20 June of each year until Maturity
Last Day to Register:          By 17:00 on 14 September, 14 December,
                               14 March, 14 June of each year until
                               Maturity
Issue Date:                    9 June 2015
Interest Commencement Date:    9 June 2015
Date Convention:               Following Business Day
ISIN No.:                      ZAG000126871
Rating:                        zaCCC/CCC by S&P


8 June 2015

Debt Sponsor
Rand Merchant Bank (A division of FirstRand Bank Limited)

Date: 08/06/2015 11:00:00 Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE'). 
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