The Thekwini Fund 15 (RF) Limited Interest Rate Reset The Thekwini Fund 15 (RF) Limited (incorporated with limited liability in the Republic of South Africa) (Registration number: 2017/052656/06) Instrument Code: T15OM1 ISIN: ZAG000148727 Instrument Code: T15OM2 ISIN: ZAG000151481 Instrument Code: T15OM3 ISIN: ZAG000155318 Instrument Code: TH15A1 ISIN: ZAG000148735 Instrument Code: TH15A2 ISIN: ZAG000148743 Instrument Code: TH15A3 ISIN: ZAG000148685 Instrument Code: TH15A4 ISIN: ZAG000151424 Instrument Code: TH15A7 ISIN: ZAG000155276 Instrument Code: TH15A8 ISIN: ZAG000155284 Instrument Code: TH15B1 ISIN: ZAG000148693 Instrument Code: TH15B2 ISIN: ZAG000151457 Instrument Code: TH15B3 ISIN: ZAG000155342 Instrument Code: TH15C1 ISIN: ZAG000148701 Instrument Code: TH15C2 ISIN: ZAG000151465 Instrument Code: TH15C3 ISIN: ZAG000155334 Instrument Code: TH15D1 ISIN: ZAG000148719 Instrument Code: TH15D2 ISIN: ZAG000151473 Instrument Code: TH15D3 ISIN: ZAG000155326 The Thekwini Fund 15 (RF) Limited Interest rate reset Please note, for the interest period from and including 21 May 2019 to, but excluding, 21 August 2019, the interest rates for The Thekwini Fund 15 (RF) Limited Notes will be as follows: • R 0.00 Class ?1 Secured Floating Rate Notes due 21 November 2018 (ISIN No. ZAG000148727; Bond Exchange Listing Code T15OM1) • R 0.00 Class ?2 Secured Floating Rate Notes due 21 November 2018 (ISIN No. ZAG000151481; Bond Exchange Listing Code T15OM2) • R134 641 844.00 Class ?3 Secured Floating Rate Notes due 21 November 2020(ISIN No. ZAG000155318; Bond Exchange Listing Code T15OM3) • R413 000 000.00 Class A1 Secured Floating Rate Notes due 21 November 2052 (the Class A Notes) (ISIN No. ZAG000148735; Bond Exchange Listing Code TH15A1) • R519 000 000.00 Class A2 Secured Floating Rate Notes due 21 November 2052 (the Class A Notes) (ISIN No. ZAG000148743; Bond Exchange Listing Code TH15A2) • R 307 000 000.00 Class A3 Secured Fixed Rate Notes due 21 November 2052 (the Class A Notes) (ISIN No. ZAG000148685; Bond Exchange Listing Code TH15A3)* • R288 000 000.00 Class A4 Secured Floating Rate Notes due 21 November 2052 (the Class A Notes) (ISIN No. ZAG000151424; Bond Exchange Listing Code TH15A4) • R800 000 000.00 Class A5 Secured Floating Rate Notes due 21 November 2052 (the Class A Notes) (ISIN No. ZAG000151432; Bond Exchange Listing Code TH15A5) • R 88 000 000.00 Class A7 Secured Floating Rate Notes due 21 November 2052 (the Class A Notes) (ISIN No. ZAG000155276; Bond Exchange Listing Code TH15A7) • R 500 000 000.00 Class A8 Secured Floating Rate Notes due 21 November 2052 (the Class A Notes) (ISIN No. ZAG000155284; Bond Exchange Listing Code TH15A8) • R R49 000 000.00 Class B1 Secured Floating Rate Notes due 21 November 2052 (the Class B Notes) (ISIN No. ZAG000148693; Bond Exchange Listing Code TH15B1) • R 38 000 000.00 Class B2 Secured Floating Rate Notes due 21 November 2052 (the Class B Notes) (ISIN No. ZAG000151457; Bond Exchange Listing Code TH15B2) • R 44 000 000.00 Class B3 Secured Floating Rate Notes due 21 November 2052 (the Class B Notes) (ISIN No. ZAG000155342; Bond Exchange Listing Code TH15B3) • R44 000 000.00 Class C1 Secured Floating Rate Notes due 21 November 2052 (the Class C Notes) (ISIN No. ZAG000148701; Bond Exchange Listing Code TH15C1) • R25 000 000.00 Class C2 Secured Floating Rate Notes due 21 November 2052 (the Class C Notes) (ISIN No. ZAG000151465; Bond Exchange Listing Code TH15C2) • R 24 000 000.00 Class C3 Secured Floating Rate Notes due 21 November 2052 (the Class C Notes) (ISIN No. ZAG000155334; Bond Exchange Listing Code TH15C3) • R42 000 000.00 Class D1 Secured Floating Rate Notes due 21 November 2052 (the Class D Notes) (ISIN No. ZAG000148719; Bond Exchange Listing Code TH15D1) • R27 000 000.00 Class D2 Secured Floating Rate Notes due 21 November 2052 (the Class D Notes) (ISIN No. ZAG000151473; Bond Exchange Listing Code TH15D2) • R 24 000 000.00 Class D3 Secured Floating Rate Notes due 21 November 2052 (the Class D Notes) (ISIN No. ZAG000155326; Bond Exchange Listing Code TH15D3) Notice is hereby given, in accordance with condition 8.3.of the terms and conditions of the Notes, that the JIBAR rate for the interest period (from and including 21 May 2019 to, but excluding, 21 August 2019) based on JIBAR for 3-month Rand deposits for the floating rate Notes, was fixed at 7.158% on 21 May 2019. • Interest on the Class ?3 Floating Rate Notes for the interest period was set at 8.058% • Interest on the Class A1 Floating Rate Notes for the interest period was set at 8.608% • Interest on the Class A2 Floating Rate Notes for the interest period was set at 8.808% • *Interest on the Class A3 Fixed Rate Notes for the interest period was set at 9.828% • Interest on the Class A4 Floating Rate Notes for the interest period was set at 8.548% • Interest on the Class A5 Floating Rate Notes for the interest period was set at 8.748% • Interest on the Class A7 Floating Rate Notes for the interest period was set at 8.468% • Interest on the Class A8 Floating Rate Notes for the interest period was set at 8.568% • Interest on the Class B1 Floating Rate Notes for the interest period was set at 9.028% • Interest on the Class B2 Floating Rate Notes for the interest period was set at 8.948% • Interest on the Class B3 Floating Rate Notes for the interest period was set at 8.858% • Interest on the Class C1 Floating Rate Notes for the interest period was set at 9.498% • Interest on the Class C2 Floating Rate Notes for the interest period was set at 9.358% • Interest on the Class C3 Floating Rate Notes for the interest period was set at 9.258% • Interest on the Class D1 Floating Rate Notes for the interest period was set at 12.408% • Interest on the Class D2 Floating Rate Notes for the interest period was set at 11.908% • Interest on the Class D3 Floating Rate Notes for the interest period was set at 11.388% *Fixed note interest is paid semi-annually. 23 May 2019 Debt Sponsor The Standard Bank of South Africa Limited Date: 23/05/2019 04:40:00 Produced by the JSE SENS Department. 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