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INVESTEC BANK LIMITED - New Financial Instrument Listing Announcement - IVC184

Release Date: 29/09/2020 11:54
Code(s): IVC184     PDF:  
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New Financial Instrument Listing Announcement - IVC184

Investec Bank Limited
(Incorporated in the Republic of South Africa)
(Registration number: 1969/004763/06)
Issuer code: BIINLP
LEI No: 549300RH5FFHO48FXT69


New Financial Instrument Listing Announcement


ISSUE OF IVC184 SENIOR UNSECURED FLOATING RATE CREDIT LINKED NOTES
(“IVC184 NOTES”)

Application has been made to the JSE Limited (“JSE”) for the listing of R75,000,000 (Seventy
five million Rand) senior unsecured floating rate credit linked Notes (stock code IVC184),
under Investec Bank Limited’s Credit Linked Note Programme dated 10 May 2010.

The IVC184 Notes will be issued to Noteholders on the date of listing being 30 September
2020 with effect from commencement of trade.

Salient features of the IVC184 Notes are listed below:


Issuer                                          Investec Bank Limited

Issue Price                                     R75,000,000

Instrument                                      Senior   unsecured    credit   linked
                                                Notes

Issue Date                                      30 September 2020

Nominal Amount per Note                         R1,000,000

Interest Rate                                   3-month JIBAR plus the Margin

Interest Determination Date                     30 September 30 December, 30
                                                March and 30 June of each year, as
                                                adjusted in accordance with the
                                                applicable     Business      Day
                                                Convention

Margin                                          3.00% (three percent) for the period
                                                beginning on and including the
                                                Issue Date to but excluding 30
                                                September 2021;
                                                3.25% (three-point two five percent)
                                                for the period beginning on and
                                                including 30 September 2021 to and
                                                excluding the Scheduled Maturity
                                                Date
Scheduled Maturity Date                         30 March 2022

Optional Redemption Date (Call)                 30 September 2021

Issue price per Note                            100%

Final Redemption Amount per Note                The Nominal Amount per Note (plus
                                                accrued unpaid interest, if any, to
                                                the Maturity Date)

Interest Commencement Date                      Issue Date

Books Close Period                              From 21 September to 30
                                                September, 21 December to 30
                                                December, 21 March to 30 March
                                                and 21 June to 30 June (all dates
                                                inclusive) of each year until the
                                                Scheduled Maturity Date

Last Day to Register                            20 September, 20 December, 20
                                                March and 20 June of each year,
                                                and if such day is not a Business
                                                Day, the Last Day to Register will be
                                                the Business Day immediately
                                                preceding the first day of the
                                                relevant Books Closed Period

Interest Payment Dates                          30 September, 30 December, 30
                                                March and 30 June of each year,
                                                adjusted in accordance with the
                                                applicable      Business        Day
                                                Convention., with the first Interest
                                                Payment Date being 30 December
                                                2020

Business Day Convention                         Following Business Day

JSE Stock Code                                  IVC184

ISIN                                            ZAG000171315

Aggregate Nominal Amount of Notes Outstanding   ZAR8 041 191 236 (eight billion
under the Programme after this issuance         forty one million one hundred and
                                                ninety one thousand two hundred
                                                and thirty six Rand)
The Pricing Supplement does not contain any
additional terms and conditions or changes to the
terms and conditions as contained in the
Programme Memorandum

Investors should study the Applicable Pricing
Supplement for full details of the terms and
conditions applicable to these Notes.


Date: 29 September 2020
Debt Sponsor:
Investec Bank Limited
abotha@investec.co.za

Date: 29-09-2020 11:54:00
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