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ABSA BANK LIMITED - Fixed Interim Payments ASN884, ASN892, ASN893, ASN895, AMB404, AMB405 and AMB409

Release Date: 06/06/2025 15:37
Code(s): ASN884 ASN893 ASN895 ASN892 AMB405 AMB404 AMB409     PDF:  
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Fixed Interim Payments – ASN884, ASN892, ASN893, ASN895, AMB404, AMB405 and AMB409

ABSA BANK LIMITED
(Registration number 1986/004794/06)
JSE Alpha Code: ASN884
ISIN: ZAE000312187
JSE Alpha Code: ASN892
ISIN: ZAE000313037
JSE Alpha Code: ASN893
ISIN: ZAE000312906
JSE Alpha Code: ASN895
ISIN: ZAE000313284
JSE Alpha Code: AMB404
ISIN: ZAE000337721
JSE Alpha Code: AMB405
ISIN: ZAE000337762
JSE Alpha Code: AMB409
ISIN: ZAE000338034


FIXED INTERIM PAYMENTS – ASN884, ASN892, ASN893, ASN895, AMB404, AMB405 AND AMB409

Noteholders are advised of the following fixed interim payments, payable to all noteholders, in accordance with
paragraph 30, 32 or 34 (a), (b) and (c) of the relevant Applicable Pricing Supplements.


Full Note details are as follows:
JSE Short Code                                        ABMBSN884
JSE Alpha Code                                        ASN884
JSE Long Code                                         ABMBSN884-06JULY2027
ISIN                                                  ZAE000312187
Issue Size                                            79,058
Capital Payment (per unit)*                           R500.00
Interest Payment (per unit)*                          R203.00
Last Date to Trade                                    Monday, 30 June 2025
Ex Date                                               Tuesday, 01 July 2025
Record Date                                           Thursday, 03 July 2025
Payment Date*                                         Friday, 04 July 2025


Full Note details are as follows:
JSE Short Code                                        ABMBSN892
JSE Alpha Code                                        ASN892
JSE Long Code                                         ABMBSN892-26JULY2027
ISIN                                                  ZAE000313037
Issue Size                                            91,919
Capital Payment (per unit)*                           R250.00
Interest Payment (per unit)*                          R118.25
Last Date to Trade                                    Monday, 21 July 2025
Ex Date                                               Tuesday, 22 July 2025
Record Date                                           Thursday, 24 July 2025
Payment Date*                                         Friday, 25 July 2025


Full Note details are as follows:
JSE Short Code                                        ABMBSN893
JSE Alpha Code                                        ASN893
JSE Long Code                                         ABMBSN893-22July2027
ISIN                                                  ZAE000312906
Issue Size                                            12,300
Capital Payment (per unit)*                           R400.00
Interest Payment (per unit)*                          R215.20
Last Date to Trade                                    Thursday, 17 July 2025
Ex Date                                               Friday, 18 July 2025
Record Date                                           Tuesday, 22 July 2025
Payment Date*                                         Wednesday, 23 July 2025


Full Note details are as follows:
JSE Short Code                                        ABMBSN895
JSE Alpha Code                                        ASN895
JSE Long Code                                         ABMBSN895-22JULY2027
ISIN                                                  ZAE000313284
Issue Size                                            48,051
Capital Payment (per unit)*                           R481.63
Interest Payment (per unit)*                          R175.37
Last Date to Trade                                    Friday, 18 July 2025
Ex Date                                               Monday, 21 July 2025
Record Date                                           Wednesday, 23 July 2025
Payment Date*                                         Thursday, 24 July 2025


Full Note details are as follows:
JSE Short Code                                        ABMBMB404
JSE Alpha Code                                        AMB404
JSE Long Code                                         ABMBMB404-27JULY2029
ISIN                                                  ZAE000337721
Issue Size                                            25,942
Capital Payment (per unit)*                           R250.00
Interest Payment (per unit)*                          R57.50
Last Date to Trade                                    Tuesday, 22 July 2025
Ex Date                                               Wednesday, 23 July 2025
Record Date                                           Friday, 25 July 2025
Payment Date*                                         Monday, 28 July 2025


Full Note details are as follows:
JSE Short Code                                        ABMBMB405
JSE Alpha Code                                        AMB405
JSE Long Code                                         ABMBMB405-30JULY2029
ISIN                                                  ZAE000337762
Issue Size                                            51,177
Capital Payment (per unit)*                           R500.00
Interest Payment (per unit)*                          R76.25
Last Date to Trade                                    Wednesday, 23 July 2025
Ex Date                                               Thursday, 24 July 2025
Record Date                                           Monday, 28 July 2025
Payment Date*                                         Tuesday, 29 July 2025


Full Note details are as follows:
JSE Short Code                                        ABMBMB409
JSE Alpha Code                                        AMB409
JSE Long Code                                         ABMBMB409-02AUGUST2029
ISIN                                                  ZAE000338034
Issue Size                                            25,000
Capital Payment (per unit)*                           R250.00
Interest Payment (per unit)*                          R60.63
Last Date to Trade                                    Monday, 28 July 2025
Ex Date                                               Tuesday, 29 July 2025
Record Date                                           Thursday, 31 July 2025
Payment Date*                                         Friday, 01 August 2025



*Settlement is outside of Strate.



06 June 2025

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

Date: 06-06-2025 03:37:00
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