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THE STANDARD BANK OF SOUTH AFRICA LIMITED - Notification of interest amounts

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Notification of interest amounts

The Standard Bank of South Africa Limited

Incorporated in the Republic of South Africa
Bond Code:          CLN649             ISIN NO:            ZAG000166273
Bond Code:          CLN614             ISIN NO:            ZAG000162876
Bond Code:          CLN697             ISIN NO:            ZAG000169350
Bond Code:          CLN698             ISIN NO:            ZAG000169467
Bond Code:          CLN705             ISIN NO:            ZAG000169723
Bond Code:          CLN746             ISIN NO:            ZAG000176405
Bond Code:          CLN776             ISIN NO:            ZAG000181371
Bond Code:          CLN778             ISIN NO:            ZAG000181504
Bond Code:          CLN801             ISIN NO:            ZAG000184144
Bond Code:          CLN807             ISIN NO:            ZAG000184417
Bond Code:          CLN834             ISIN NO:            ZAG000186875
Bond Code:          CLN835             ISIN NO:            ZAG000186883
Bond Code:          CLN836             ISIN NO:            ZAG000186909
Bond Code:          CLN837             ISIN NO:            ZAG000186891
Bond Code:          CLN858             ISIN NO:            ZAG000188202
Bond Code:          CLN873             ISIN NO:            ZAG000188798
Bond Code:          CLN895             ISIN NO:            ZAG000190703
Bond Code:          CLN898             ISIN NO:            ZAG000190810
Bond Code:          CLN917             ISIN NO:            ZAG000194325
Bond Code:          CLN919             ISIN NO:            ZAG000194408
Bond Code:          CLN920             ISIN NO:            ZAG000194374
Bond Code:          CLN922             ISIN NO:            ZAG000194598
Bond Code:          CLN958             ISIN NO:            ZAG000196692
Bond Code:          CLN959             ISIN NO:            ZAG000196718
Bond Code:          CLN979             ISIN NO:            ZAG000199472
Bond Code:          CLN985             ISIN NO:            ZAG000200361
Bond Code:          CLN998             ISIN NO:            ZAG000202128
Bond Code:          CLN999             ISIN NO:            ZAG000202185
(the "Issuer")
Notification of Interest Amounts

In accordance with paragraph 4.18(b) of the JSE Limited Debt and Specialist Securities Listings Requirements, noteholders
are hereby advised of the interest amounts details as follows:

    Instrument              Interest Payment date             Interest rate %      Total amount in respect of aggregate
       Code                                                                                      amount
      CLN649                       31/08/2025                     9.225                      R 1 494 955.47
      CLN614                       31/08/2025                     9.450                      R 15 314 178.09
      CLN697                       31/08/2025                     8.875                       R 2 662 500.00
      CLN698                       31/08/2025                     8.875                       R 2 662 500.00
      CLN705                       31/08/2025                     8.875                       R 3 106 250.00
      CLN746                       31/08/2025                     10.645                      R 1 073 251.51
      CLN776                       31/08/2025                     9.825                       R 2 449 520.55
      CLN778                       31/08/2025                     11.225                      R 2 658 633.56
      CLN801                       31/08/2025                     10.375                        R 517 328 77
      CLN807                       31/08/2025                     10.425                       R 649 777.40
      CLN834                       31/08/2025                     10.325                      R 1 287 089.04
      CLN835                       31/08/2025                     10.325                      R 1 287 089.04
      CLN836                       31/08/2025                     10.325                      R 1 287 089.04
      CLN837                       31/08/2025                     10.325                      R 1 287 089.04
      CLN858                       31/08/2025                     8.875                       R 1 553 125.00
      CLN873                       31/08/2025                     10.325                      R 1 621 732.19
      CLN895                       31/08/2025                     10.325                      R 1 415 797.94
      CLN898                       31/08/2025                      9.470                      R 7 199 794.52
      CLN917                       31/08/2025                     10.375                      R 1 293 321.92
      CLN919                       31/08/2025                     10.325                      R 1 287 089.04
      CLN920                       31/08/2025                     10.325                      R 1 287 089.04
      CLN922                       31/08/2025                     10.325                     R 11 068 965.75
      CLN958                       31/08/2025                      9.825                      R 1 224 760.27
      CLN959                       31/08/2025                      9.325                      R 1 162 431.50
      CLN979                       31/08/2025                      9.625                        R 959 863.02
      CLN985                       31/08/2025                     10.325                      R 1 315 376.71
      CLN998                       31/08/2025                      9.125                      R 1 137 500.00
      CLN999                       31/08/2025                      9.155                     R 11 412 397.26


Further details of each of these notes may be obtained from the Applicable Pricing Supplements applicable thereto which
can be viewed at or downloaded from the Issuer's website:

www.standardbank.co.za


Johannesburg
26 August 2025

Debt Sponsor: The Standard Bank of South Africa Limited

Date: 26-08-2025 12:35:00
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