Interest payment and capital redemption notifications - BINBK NEDBANK LIMITED (Incorporated in the Republic of South Africa) Registration number: 1951/000009/06 JSE alpha code: BINBK INTEREST PAYMENT AND CAPITAL REDEMPTION NOTIFICATIONS Bondholders are advised of the following interest payments and capital redemption: Bond code: NI202 ISIN: ZAG000154303 Coupon: 3.45% Interest period: 7 December 2018 to 7 June 2019 Interest amount due: R22 362 330.27 Payment date: 7 June 2019 Date convention: Following business day Bond code: NILB12 ISIN: ZAG000123811 Coupon: 3.45% Interest period: 7 December 2018 to 7 June 2019 Interest amount due: R1 956 185.51 Payment date: 7 June 2019 Date convention: Following business day Bond code: NN05 ISIN: ZAG000157637 Coupon: 9.02% Interest period: 12 March 2019 to 12 June 2019 Interest amount due: R4 547 070.39 Payment date: 12 June 2019 Date convention: Following business day Bond code: NN06 ISIN: ZAG000157645 Coupon: 9.32% Interest period: 12 March 2019 to 12 June 2019 Interest amount due: R2 936 438.22 Payment date: 12 June 2019 Date convention: Following business day Bond code: CLNF12 ISIN: ZAG000114968 Coupon: 8.95% Interest period: 20 March 2019 to 20 June 2019 Interest amount due: R2 255 890.41 Capital amount due: R100 000 000.00 Payment date: 20 June 2019 Date convention: Modified following business day Bond code: CLNF14 ISIN: ZAG000117755 Coupon: 8.95% Interest period: 20 March 2019 to 20 June 2019 Interest amount due: R2 255 890.41 Payment date: 20 June 2019 Date convention: Modified following business day Bond code: CLNF15 ISIN: ZAG000125667 Coupon: 9.3% Interest period: 20 March 2019 to 20 June 2019 Interest amount due: R2 344 109.59 Payment date: 20 June 2019 Date convention: Modified following business day Bond code: NCLN82 ISIN: ZAG000112269 Coupon: 9.15% Interest period: 20 March 2019 to 20 June 2019 Interest amount due: R917 624.27 Payment date: 20 June 2019 Date convention: Modified following business day Bond code: NCLN84 ISIN: ZAG000112335 Coupon: 9.1% Interest period: 20 March 2019 to 20 June 2019 Interest amount due: R3 440 547.95 Payment date: 20 June 2019 Date convention: Modified following business day Bond code: NCLN87 ISIN: ZAG000112756 Coupon: 9.15% Interest period: 20 March 2019 to 20 June 2019 Interest amount due: R2 306 301.37 Payment date: 20 June 2019 Date convention: Modified following business day Bond code: NCLN90 ISIN: ZAG000117417 Coupon: 9.23% Interest period: 20 March 2019 to 20 June 2019 Interest amount due: R6 979 397.26 Payment date: 20 June 2019 Date convention: Modified following business day Bond code: NCLN91 ISIN: ZAG000118811 Coupon: 9.33% Interest period: 20 March 2019 to 20 June 2019 Interest amount due: R4 703 342.47 Payment date: 20 June 2019 Date convention: Modified following business day Bond code: NCLN94 ISIN: ZAG000127713 Coupon: 9.12% Interest period: 20 March 2019 to 20 June 2019 Interest amount due: R9 539 769.86 Payment date: 20 June 2019 Date convention: Modified following business day 4 June 2019 Debt Sponsor: Nedbank Corporate and Investment Banking Date: 04/06/2019 04:15:00 Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE'). The JSE does not, whether expressly, tacitly or implicitly, represent, warrant or in any way guarantee the truth, accuracy or completeness of the information published on SENS. The JSE, their officers, employees and agents accept no liability for (or in respect of) any direct, indirect, incidental or consequential loss or damage of any kind or nature, howsoever arising, from the use of SENS or the use of, or reliance on, information disseminated through SENS.