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AFRISTRAT INVESTMENT HOLDINGS LIMITED - Monthly interest declaration and finalisation announcement

Release Date: 31/05/2021 08:30
Wrap Text
Monthly interest declaration and finalisation announcement

AFRISTRAT INVESTMENT HOLDINGS LIMITED
(formerly Ecsponent Limited)
Incorporated in the Republic of South Africa
Registration number: 1998/013215/06
JSE Code: ATI - ISIN: ZAE000287587
Debt Issuer Code: ATID
Hybrid Issuer Code: ATIG
(“Afristrat” or “the Company”)




Notes                                    Series number            JSE Code            ISIN
Fixed Rate Notes                         1                        ATIFX1              ZAE000288908
                                         2                        ATIFX2              ZAE000288924
                                         3                        ATIFX3              ZAE000288940
                                         4                        ATIFX4              ZAE000288916
                                         5                        ATIFX5              ZAE000288932
                                         6                        ATIFX6              ZAE000288957
Floating Rate Notes                      1                        ATIFL1              ZAE000288965
                                         2                        ATIFL2              ZAE000288973
Zero Coupon Notes                        1                        ATIZR1              ZAE000288981
                                         2                        ATIZR2              ZAE000288999


Monthly interest declaration and finalisation announcement


Holders of Notes issued by the Company in terms of its ZAR10,000,000,000 Domestic Medium Term Note Programme
are hereby advised that the interest per Note amount, to be paid on Monday, 21 June 2021, has been finalised.

Notice is given of the declaration of the following interest in respect of the period commencing on Tuesday, 11 May 2021
and ending on the date that the Notes start trading ex-interest, being Wednesday, 15 June 2021 in respect of:

  •     Series   1   Fixed Rate Notes, an interest rate of   9%;
  •     Series   2   Fixed Rate Notes, an interest rate of   10%;
  •     Series   3   Fixed Rate Notes, an interest rate of   12%;
  •     Series   4   Fixed Rate Notes, an interest rate of   9%;
  •     Series   5   Fixed Rate Notes, an interest rate of   10%;
  •     Series   6   Fixed Rate Notes, an interest rate of   12%;
  •     Series   1   Floating Rate Notes, an interest rate   of 8.50% (being the prime rate plus 1.5%); and
  •     Series   2   Floating Rate Notes, an interest rate   of 8.50% (being the prime rate plus 1.5%).

Relevant dates in relation to this interest payment are set out below:

      Last day to trade to appear in the register on Record Date                                      Monday,     14   June   2021
      Notes start trading ex-interest                                                                 Tuesday,    15   June   2021
      Record Date                                                                                     Friday,     18   June   2021
      Payment Date                                                                                    Monday,     21   June   2021



In terms of the Debt Listings Requirements of the JSE, the following additional information is provided:
1.    The interest is paid from income reserves.
2.    The Company shall be entitled to an administration fee of 0.25% per annum on the Initial Issue Price, inclusive
      of VAT, payable monthly in arrears on the Monthly Interest Payment Dates.
3.    The administration fee is subject to the Value-Added Tax Act of 1991. The Company has the right to recover the
      monthly administration fee, from the monthly Note interest (plus the applicable VAT thereon).
4.    The Company’s income tax number is 9235/264/84/4.
5.    At the date hereof, the Company has issued the following Notes:
      •   Fixed Rate Notes: An aggregate nominal amount of R93 370 100 (comprising R1 250 000 issued in terms of
          Series 1; R16 913 000 issued in terms of Series 2; R32 150 000 issued in terms of Series 3; R330 000 issued
          in terms of Series 4; R13 013 300 issued in terms of Series 5 and R29 713 800 issued in terms of Series 6);
      •   Floating Rate Notes: An aggregate nominal amount of R38 838 600 (comprising R15 667 000 in terms of
          Series 1 and R23 171 600 in terms of Series 2); and
      •   Zero Coupon Notes: An aggregate nominal amount of R30 581 500 (comprising R10 148 000 in terms of
          Series 1 and R20 433 500 in terms of Series 2).

Fixed Rate Notes:

                                              Series 1    Series 2     Series 3   Series 4    Series 5     Series 6
 Interest per Note (cents per Note)           83.83562    93.15068    111.78082   83.83562    93.15068    111.78082
 Gross      distributable     amount     to
 Noteholders
 Less: Administration fee of 0.25% of         (2.32877)   (2.32877)   (2.32877)   (2.32877)   (2.32877)   (2.32877)
 the initial Issue Price (as set out in the
 relevant          Applicable       Pricing
 Supplements) per annum inclusive of
 VAT to be withheld by the Company
 Net      distribution      amount       to   81.50685    90.82191    109.45205   81.50685    90.82191    109.45205
 Noteholders

Floating Rate Notes:

                                                                                              Series 1     Series 2
 Interest per Note (cents per Note)                                                           79.17808     79.17808
 Gross distributable amount to Noteholders
 Less: Administration fee of 0.25% of the initial Issue Price (as set out in the relevant     (2.32877)   (2.32877)
 Applicable Pricing Supplements) per annum inclusive of VAT to be withheld by the Company
 Net distribution amount to Noteholders                                                       76.84931     76.84931


The Company may issue additional Series 1, 2, 3, 4, 5 and/or 6 Fixed Rate and/or Series 1 and/or 2 Floating Rate Notes
prior to the last day to trade date.



For more information about this announcement or the Afristrat group, email

investor.relations@afristrat.ltd or visit https://wp.me/P9idbT-b.



31 May 2021
Pretoria

Sponsor
Merchantec Capital

Date: 31-05-2021 08:30:00
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