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NEDBANK LIMITED - New Listing of Nedbank Limited Senior Unsecured Notes

Release Date: 17/02/2016 17:16
Code(s): NBK25A NBK29B NBK30B NBK31B     PDF:  
Wrap Text
New Listing of Nedbank Limited Senior Unsecured Notes

NEDBANK LIMITED
Nedbank Limited Reg No 1951/000009/06
Incorporated in the Republic of South Africa


JSE Code: NBK25A
ISIN No: ZAG000133505

JSE Code: NBK29B
ISIN No: ZAG000133521


JSE code: NBK30B
ISIN No: ZAG000133539


JSE code: NBK31B
ISIN No: ZAG000133547


New Listing of Nedbank Limited Senior Unsecured Notes

The JSE Limited has granted a listing to NEDBANK LIMITED on the
Interest Rate Market with effect from 18 February 2016 under its
Domestic Medium Term Note Programme.

Authorised Programme size     R 75,000,000,000.00
Total Notes Outstanding       R 40,314,000,000.00

INSTRUMENT TYPE:             FIXED RATE NOTE

Bond Code                     NBK25A
Nominal Issued                R250,000,000.00
Issue Price                   100%
Coupon                        10.66%
Coupon Rate Indicator         Fixed
Trade Type                    Yield
Final Maturity Date           17 February 2023
Books Close                   12 August and 12 February
Interest Payment Date(s)      17 August and 17 February
Last Day to Register          By 17:00 on 11 August       and   11
                              February
Issue Date                    18 February 2016
Date Convention               Modified Following
Interest Commencement Date    18 February 2016
First Interest Payment Date   17 August 2016
ISIN No.                      ZAG000133505
Additional Information        Unsecured Unsubordinated

Applicable Pricing Supplement
https://www.jse.co.za/content/JSEPricingSupplementsItems/2014/Bon
dDocuments/NBK25A%20Pricing%20Supplement%2020160218.pdf




INSTRUMENT TYPE:              FLOATING RATE NOTE

Bond Code                     NBK29B
Nominal Issued                R927,000,000.00
Issue Price                   100%
Coupon                        8.433% (3 Month Jibar as at 15
                              February   2016   of   6.983% plus
                              145bps)
Coupon Rate Indicator         Floating
Trade Type                    Price
Final Maturity Date           18 February 2019
Books Close                   13 May, 13 August, 13 November and
                              13 February
Interest Payment Date(s)      18 May, 18 August, 18 November and
                              18 February
Last Day to Register          By 17:00 on 12 May, 12 August, 12
                              November and 12 February
Issue Date                    18 February 2016
Date Convention               Modified Following
Interest Commencement Date    18 February 2016
First Interest Payment Date   18 May 2016
ISIN No.                      ZAG000133521
Additional Information        Unsecured Unsubordinated

Applicable Pricing Supplement
https://www.jse.co.za/content/JSEPricingSupplementsItems/2014/Bon
dDocuments/NBK29B%20Pricing%20Supplement%2020160218.pdf
INSTRUMENT TYPE:              FLOATING RATE NOTE

Bond Code                     NBK30B
Nominal Issued                R830,000,000.00
Issue Price                   100%
Coupon                        8.783% (3 Month Jibar as at 15
                              February   2016   of   6.983% plus
                              180bps)
Coupon Rate Indicator         Floating
Trade Type                    Price
Final Maturity Date           18 February 2021
Books Close                   13 May, 13 August, 13 November and
                              13 February
Interest Payment Date(s)      18 May, 18 August, 18 November and
                              18 February
Last Day to Register          By 17:00 on 12 May, 12 August, 12
                              November and 12 February
Issue Date                    18 February 2016
Date Convention               Modified Following
Interest Commencement Date    18 February 2016
First Interest Payment Date   18 May 2016
ISIN No.                      ZAG000133539
Additional Information        Unsecured Unsubordinated

Applicable Pricing Supplement
https://www.jse.co.za/content/JSEPricingSupplementsItems/2014/Bon
dDocuments/NBK30B%20Pricing%20Supplement%2020160218.pdf



INSTRUMENT TYPE:              FLOATING RATE NOTE

Bond Code                     NBK31B
Nominal Issued                R270,000,000.00
Issue Price                   100%
Coupon                        8.983% (3 Month Jibar as at 15
                              February   2016 of  6.983% plus
                              200bps)
Coupon Rate Indicator         Floating
Trade Type                    Price
Final Maturity Date           17 February 2023
Books Close                   12 May, 12 August, 12 November and
                              12 February
Interest Payment Date(s)      17 May, 17 August, 17 November and
                              17 February
Last Day to Register          By 17:00 on 11 May, 11 August, 11
                              November and 11 February
Issue Date                    18 February 2016
Date Convention               Modified Following
Interest Commencement Date    18 February 2016
First Interest Payment Date   17 May 2016
ISIN No.                      ZAG000133547
Additional Information        Unsecured Unsubordinated

Applicable Pricing Supplement
https://www.jse.co.za/content/JSEPricingSupplementsItems/2014/BondDoc
uments/NBK31B%20Pricing%20Supplement%2020160218.pdf



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



Date 17TH February 2016

Debt Sponsor: Nedbank Corporate and Investment Banking

Date: 17/02/2016 05:16:00 Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE'). 
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