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TELKOM SA SOC LIMITED - New Financial Instrument Listing Announcement TLC04 & TLC05

Release Date: 22/03/2018 09:00
Code(s): TLC04 TLC05     PDF:  
Wrap Text
New Financial Instrument Listing Announcement – TLC04 & TLC05

Telkom SA SOC Limited
(Incorporated in the Republic of South Africa)
(Registration number 1991/005476/30)
(“Telkom” or “the Company”)
Bond code: TLC04   ISIN: ZAG000150079
Bond code: TLC05   ISIN: ZAG000150087


New Financial Instrument Listing Announcement – TLC04 & TLC05


The JSE Limited has granted a listing of new financial instruments
under Telkom’s Domestic Medium Term Note Programme on the Interest
Rate Market.

Authorised programme size        R10,000,000,000.00
Total notes in issue             R3,297,000,000.00
                                 (excluding these issues)

Full instrument details are as follows:

Bond Code                        TLC04
ISIN                             ZAG000150079
Nominal Issued                   R346,000,000.00
Issue Price                      100%
Coupon Rate Indicator            Fixed
Coupon                           7.842%
Trade Type                       Yield
Issue / Settlement Date          22 March 2018
Maturity Date                    21 September 2018
Interest Commencement Date       22 March 2018
Interest Payment Date/s          21 September 2018
Last Day to Register             By 17:00 on 10 September 2018
                                 or the last day immediately
                                 preceding the commencement of
                                 the Books Closed Period (all
                                 dates inclusive)
Books Close Date(s)              From 11 September 2018 to 20
                                 September 2018 (all dates
                                 inclusive)
Date Convention                  Following Business Day


Bond Code                        TLC05
ISIN                             ZAG000150087
Nominal Issued                   R654,000,000.00
Issue Price                      100%
Coupon Rate Indicator            Floating
Coupon                           3-month JIBAR plus a margin of
                                 95 bps
Trade Type                       Price
Issue / Settlement Date          22 March 2018
Maturity Date                    22 March 2019
Interest Commencement Date       22 March 2018
Interest Payment Date/s          22 March, 22 June, 22 September
                                 and 22 December in each year
                                 until the Maturity Date, with
                                 the first Interest Payment Date
                                 being 22 June 2018
Last Day to Register             By 17:00 on 11 March, 11 June,
                                 11 September and 11 December in
                                 each year until the Maturity
                                 Date or the last day
                                 immediately preceding the
                                 commencement of the Books
                                 Closed Period (all dates
                                 inclusive)
Books Close Date(s)              From 12 March to 21 March, 12
                                 June to 21 June, 12 September
                                 to 21 September and 12 December
                                 to 21 December, in each year
                                 until the Maturity Date (all
                                 dates inclusive)
Date Convention                  Following Business Day


Centurion
22 March 2018

Debt Sponsor
The Standard Bank of South Africa Limited

Date: 22/03/2018 09:00:00 Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE'). 
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