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OLD MUTUAL LIFE ASSURANCE CO SA LTD - New Debt Listing Notice - OML08, OML09, OML10

Release Date: 11/09/2015 14:07
Code(s): OML08 OML09 OML10     PDF:  
Wrap Text
New Debt Listing Notice - OML08, OML09, OML10

       OLD MUTUAL LIFE ASSURANCE COMPANY (SOUTH AFRICA) LIMITED


       Old Mutual plc
       Ref 627/15
       11 September 2015




       OLD MUTUAL LIFE ASSURANCE COMPANY (SOUTH AFRICA) LIMITED – ISSUE OF
       NEW FINANCIAL INSTRUMENTS

       Old Mutual plc (the Company) announces that the JSE Limited has granted listings on the local
       Interest Rate Market with effect from 14 September 2015 of new series of financial instruments
       issued by the Company’s subsidiary, Old Mutual Life Assurance Company (South Africa) Limited
       (OMLACSA), under OMLACSA’s Unsecured Subordinated Callable Note Programme dated 4
       September 2014. Further details of the new issues are as follows:


       Stock Code:            OML08
       ISIN Code:             ZAG000129628

       Stock Code:             OML09
       ISIN Code:             ZAG000129636

       Stock Code:             OML10
       ISIN Code:             ZAG000129644


       INSTRUMENT TYPE:                            FLOATING RATE NOTE CALLABLE
       Authorised Programme Size                   R 10,000,000,000
       Total Notes Outstanding                     R 6,061,000,000
       Bond Code                                   OML08
       Nominal Issued                              R1,288,000,000
       Issue Price                                 100%
       Coupon 8.55%                                (3 Month JIBAR as at 9 September 2015 of 6.30%
                                                   plus 225bps)
       Coupon Rate Indicator                       Floating
       Trade Type                                  Price
       Final Maturity Date                         14 September 2025
       Books Close                                 4 December, 4 March, 4 June, 4 September
       Interest Payment Dates                      14 December, 14 March, 14 June, 14 September
       Last Day to Register                        By 17:00 on 3 December, 3 March, 3 June, 3
                                                   September




INVESTMENT | SAVINGS | INSURANCE | BANKING
       Issue Date                      14 September 2015
       Date Convention                 Following
       Interest Commencement Date      14 September 2015
       First Interest Payment Date     14 December 2015
       Call / Step Up Date             14 September 2020
       ISIN No.                        ZAG000129628
       Additional Information          Unsecured Subordinate Callable Notes
       Applicable Pricing Supplement   www.oldmutual.com


       INSTRUMENT TYPE:                FIXED RATE NOTE CALLABLE
       Bond Code                       OML09
       Nominal Issued                  R568,000,000
       Issue Price                     100 %
       Coupon                          10.90%
       Coupon Rate Indicator           Fixed
       Trade Type                      Yield
       Final Maturity Date             14 September 2027
       Books Close                     4 March, 4 September
       Interest Payment Dates          14 March, 14 September
       Last Day to Register            By 17:00 on 3 March, 3 September
       Issue Date                      14 September 2015
       Date Convention                 Following
       Interest Commencement Date      14 September 2015
       First Interest Payment Date     14 March 2016
       Call / Step Up Date             14 September 2022
       ISIN No.                        ZAG000129636
       Additional Information          Unsecured Subordinate Callable Notes
       Applicable Pricing Supplement   www.oldmutual.com




       INSTRUMENT TYPE:                FIXED RATE NOTE CALLABLE
       Bond Code                       OML10
       Nominal Issued                  R623,000,000
       Issue Price                     100 %
       Coupon                          11.35%
       Coupon Rate Indicator           Fixed




INVESTMENT | SAVINGS |INSURANCE | BANKING
       Trade Type                                      Yield
       Final Maturity Date                            14 September 2030
       Books Close                                    4 March, 4 September
       Interest Payment Dates                         14 March, 14 September
       Last Day to Register                           By 17:00 on 3 March, 3 September
       Issue Date                                     14 September 2015
       Date Convention                                Following
       Interest Commencement Date                     14 September 2015
       First Interest Payment Date                    14 March 2016
       Call / Step Up Date                            14 September 2025
       ISIN No.                                       ZAG000129644
       Additional Information                         Unsecured Subordinate Callable Notes
       Applicable Pricing Supplement                   www.oldmutual.com


       The notes will be immobilised in the Central Securities Depository (CSD) and settlement will take
       place electronically in terms of JSE Rules.


       Enquiries
       External communications
       Patrick Bowes                   UK      +44 20 7002 7440
       Investor relations
       Dominic Lagan                   UK      +44 20 7002 7190
       Sizwe Ndlovu                    SA      +27 11 217 1163

       Media
       William Baldwin-Charles                 +44 20 7002 7133
                                               +44 7834 524833


       Notes to Editors
       Old Mutual provides investment, savings, insurance and banking services to more than 17 million
       customers in Africa, the Americas, Asia and Europe. Originating in South Africa in 1845, Old Mutual
       has been listed on the London and Johannesburg Stock Exchanges, among others, since 1999.
       In the year ended 31 December 2014, the Group reported adjusted operating profit before tax of £1.6
       billion (on an IFRS basis) and had £319 billion of funds under management from core operations.
       For further information on Old Mutual plc, please visit the corporate website at www.oldmutual.com

               th
       Date: 11 September 2015
       Debt Sponsor: Nedbank Capital




INVESTMENT | SAVINGS |INSURANCE | BANKING

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