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FIRSTRAND BANK LIMITED - FRII - Interest and Capital Payment Notifications

Release Date: 08/11/2021 07:37
Code(s): FRS277 FRC296 FRC284 FRC302 FRS200 FRS230 FRC359 FRC297     PDF:  
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FRII - Interest and Capital Payment Notifications

FirstRand Bank Limited
(Incorporated in the Republic of South Africa)
(Registration number: 1929/001225/06)
Issuer code: FRII
LEI: ZAYQDKTCATIXF9OQY690
Bond Code: FRC284              ISIN: ZAG000154642
Bond Code: FRC296              ISIN: ZAG000159369
Bond Code: FRC297              ISIN: ZAG000159351
Bond Code: FRC302              ISIN: ZAG000160029
Bond Code: FRC359              ISIN: ZAG000174012
Bond Code: FRS200              ISIN: ZAG000161571
Bond Code: FRS230              ISIN: ZAG000170168
Bond Code: FRS277              ISIN: ZAG000179763
(FRB)


INTEREST AND CAPITAL PAYMENT NOTIFICATIONS

Noteholders are advised of the following interest payments due 11 November 2021:

Bond code:                    FRC284
ISIN:                         ZAG000154642
Coupon:                       7.525%
Interest amount due:          ZAR 569 013.70

Bond code:                    FRC302
ISIN:                         ZAG000160029
Coupon:                       1.8375%
Interest amount due:          ZAR 231 575.34

Interest period:              11 August 2021 to 10 November 2021
Date Convention:              Modified Following Business Day
Payment date:                 11 November 2021

Noteholders are advised of the following interest and capital payments due 12 November 2021:

Bond code:                    FRS200
ISIN:                         ZAG000161571
Coupon:                       5.675%
Interest amount due:          ZAR 1 430 410.96
Interest period:              12 August 2021 to 11 November 2021

Bond code:                    FRS277
ISIN:                         ZAG000179763
Coupon:                       4.525%
Interest amount due:          ZAR 719 041.10
Capital amount due:           ZAR 100 000 000.00
Interest period:              15 September 2021 to 11 November 2021

Date Convention:              Modified Following Business Day
Payment date:                 12 November 2021

Noteholders are advised of the following interest payments due 15 November 2021:

Bond code:                    FRC296
ISIN:                         ZAG000159369
Coupon:                       5.675%
Interest amount due:          ZAR 282 972.60
Date Convention:              Modified Following Business Day

Bond code:                   FRC297
ISIN:                        ZAG000159351
Coupon:                      5.775%
Interest amount due:         ZAR 287 958.90
Date Convention:             Modified Following Business Day

Bond code:                   FRC359
ISIN:                        ZAG000174012
Coupon:                      6.675%
Interest amount due:         ZAR 1 248 133.56
Date Convention:             Modified Following Business Day

Bond code:                   FRS230
ISIN:                        ZAG000170168
Coupon:                      5.935%
Interest amount due:         ZAR 3 699 212.33
Date Convention:             Modified Following Business Day

Interest period:             16 August 2021 to 14 November 2021
Payment date:                15 November 2021



8 November 2021

Debt Sponsor
RAND MERCHANT BANK (A division of FirstRand Bank Limited)

Date: 08-11-2021 07:37:00
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