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HYPROP INVESTMENTS LIMITED - New Listing Notification HILB17 & HILB18

Release Date: 29/06/2023 09:37
Code(s): HILB17 HILB18     PDF:  
Wrap Text
New Listing Notification – HILB17 & HILB18

HYPROP INVESTMENTS LIMITED
(Incorporated in the Republic of South Africa)
 (Registration number 1987/005284/06)
(Approved as a REIT by the JSE)
 (“Hyprop” or “the Company”)

New Listing Notification – HILB17 & HILB18

The JSE Limited has granted a listing to Hyprop Investments Limited on the Interest Rate Market with
effect from 5 April 2023.

INSTRUMENT TYPE:                       FLOATING RATE NOTE

Total amount in issue (excluding       R2,083,000,000.00
this issuance)
Bond Code                               HILB17

Nominal Issued                          R240,000,000

Issue Price                             100%

Coupon                                  9,028%(3 Month JIBAR as at 11am on 31 March 2023 of
                                        7,598% plus 143 bps)

Coupon Rate Indicator                   Floating

Trade Type                              Price

Final Maturity Date                     5 April 2026

Books Close Date                        26 March, 25 June, 25 September, 26 December

Interest Payment Date(s)                5 April, 5 July, 5 October, 5 January

Last Day to Register                    By 17:00 on 25 March, 24 June, 24 September, 25 December

Issue Date                              5 April 2023

Date Convention                         Following Business Day

Interest Commencement Date              5 April 2023

First Interest Payment Date             5 July 2023

ISIN No.                                ZAG000195157

Additional Information                  Senior Unsecured


Bond Code                               HILB18

Nominal Issued                          R760,000,000

Issue Price                             100%

Coupon                                9,238% (3 Month JIBAR as at 11am on 31 March of 7,598%
                                      plus 164 bps)

Coupon Rate Indicator                 Floating

Trade Type                            Price

Final Maturity Date                   5 April 2028

Books Close Date                      26 March, 25 June, 25 September, 26 December

Interest Payment Date(s)              5 April, 5 July, 5 October, 5 January

Last Day to Register                  By 17:00 on 25 March, 24 June, 24 September, 25 December

Issue Date                            5 April 2023

Date Convention                       Following Business Day

Interest Commencement Date            5 April 2023

First Interest Payment Date           5 July 2023

ISIN No.                              ZAG000195249

Additional Information                Senior Unsecured



Johannesburg
29 June 2023
Debt Sponsor
The Standard Bank of South Africa Limited (Debt Sponsor)

Date: 29-06-2023 09:37:00
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