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GOLDMAN SACHS INTERNATIONAL - New Listing Notification GS101C

Release Date: 23/10/2025 12:18
Code(s): GS101C     PDF:  
Wrap Text
New Listing Notification – GS101C

GOLDMAN SACHS INTERNATIONAL
(incorporated with unlimited liability in in England and Wales on 2 June 1988)
Structured Product Issuer Code: GDIP
(the Issuer)

GOLDMAN SACHS GROUP, INC
(incorporated in the State of Delaware on 21 July 1998)
(as Guarantor)


New Listing Notification – GS101C


The JSE Limited has granted a listing to Goldman Sachs International under the Series P Programme for
the issuance of Warrants, Notes and Certificates on the Main Board with effect from 24 October 2025.



Bond Code                              GS101C

ISIN No.                               ZAE000353686

Nominal Amount                         ZAR200,000,000.00

Issue Price                            ZAR1,000.00 per Note

                                       A basket of:

                                (i)      the FTSE China A50 Index (Bloomberg page: XIN9I Index;
                                         Reuters screen: .FTXIN9); and

                                (ii)     the EURO STOXX® Select Dividend 30 Index (Price EUR)
                                         (Bloomberg page: SD3E Index; Reuters screen: .SD3E).


Finalisation Date                      By 11:00. Friday, 17 October 2031

Last Day to Trade                      Monday, 20 October 2031

Suspension Date                        Tuesday, 21 October 2031

Record Date                            Thursday, 23 October 2031

Final Maturity / Settlement Date       Friday, 24 October 2031

Termination Date                       Monday, 27 October 2031

Applicable Pricing Supplement: www.goldmansachs.co.za/en/services/pricingsupplements

Johannesburg
23 October 2025

Debt Sponsor
The Standard Bank of South Africa Limited (Debt Sponsor)

Date: 23-10-2025 12:18:00
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