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ABSA BANK LIMITED - New Financial Instruments Listing - ASN740; ASN741 and ASN742

Release Date: 17/11/2021 17:12
Code(s): ASN741 ASN742 ASN740     PDF:  
Wrap Text
New Financial Instruments Listing - ASN740; ASN741 and ASN742

ABSA BANK LIMITED
(Incorporated with limited liability on 26 November 1986 under registration number 1986/004794/06 in the Republic of
South Africa)
Bond Code: ASN740
ISIN No: ZAG000181728
Bond Code: ASN741
ISIN No: ZAG000181777
Bond Code: ASN742
ISIN No: ZAG000181769


NEW FINANCIAL INSTRUMENTS LISTING

The JSE Limited has granted financial instruments listings to ABSA BANK LIMITED “ASN740; ASN741 and ASN742”
notes under its Master Structured Note Programme Memorandum. Copies of the Master Structured Note Programme
and Pricing Supplements are available on the issuer’s website at https://www.absa.africa/absaafrica/investor-
relations/debt-investors/



Authorised Programme size                            R60,000,000,000.00

Total Notes in issue                                 R 43,287,048,415.52 (Including this Tranche)



Full Note details are as follows:

Instrument Type                                      Floating Rate Note
Bond Code                                            ASN740
Nominal Issued                                       R1,530,000,000.00
Issue Price                                          100%
Coupon                                               3 Month JIBAR plus 115bps
Coupon Rate Indicator                                Floating
Trade Type                                           Price
Final Maturity Date                                  18 February 2022
Books Close Date                                     8 February 2022
Interest Payment Date(s)                             18 February 2022
Last Day to Register                                 By 17:00 on 7 February 2022
Issue Date                                           18 November 2021
Date Convention                                      Following
Interest Commencement/Determination Date             18 November 2021
First Interest Payment Date                          18 February 2022
ISIN No.                                             ZAG000181728
Additional Information                               Unsubordinated Unsecured


Full Note details are as follows:

Instrument Type                                      Floating Rate Note
Bond Code                                            ASN741
Nominal Issued                                       R1,064,000,000.00
Issue Price                                          100%
Coupon                                               3 Month JIBAR plus 115 bps
Coupon Rate Indicator                                Variable
Trade Type                                           Price
Final Maturity Date                                  22 February 2022
Books Close                                          12 February 2022
Interest Payment Date(s)                             22 February 2022
Last Day to Register                                 By 17:00 on 11 February 2022
Issue Date                                           19 November 2021
Date Convention                                      Following
Interest Commencement/Determination Date             19 November 2021
First Interest Payment Date                          22 February 2022
ISIN No.                                             ZAG000181777
Additional Information                               Unsubordinated Unsecured




Full Note details are as follows:

Instrument Type                                      Floating Rate Note
Bond Code                                            ASN742
Nominal Issued                                       R155,000,000.00
Issue Price                                          100%
Coupon                                               3 Month JIBAR plus 210 bps)
Coupon Rate Indicator                                Floating
Trade Type                                           Price
Final Maturity Date                                  20 June 2026
Books Close                                          10 March, 10 June, 10 September, 10 December
Interest Payment Date(s)                             20 March, 20 June, 20 September, 20 December
Last Day to Register                                 By 17:00 on 9 March, 9 June, 9 September, 9 December
Issue Date                                           19 November 2021
Date Convention                                      Following
Interest Commencement/Determination Date             19 November 2021
First Interest Payment Date                          20 December 2021
ISIN No.                                             ZAG000181769
Additional Information                               Unsubordinated Unsecured



17 November 2021

Debt Sponsor
Absa Corporate and Investment Bank, a division of Absa Bank Limited

Date: 17-11-2021 05:12:00
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