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MW ASSET RENTALS (RF) LIMITED - MW Asset Rentals Interest Payment And Capital Redemption Notifications MWSI

Release Date: 18/11/2025 08:00
Code(s): MWAR14 MWAR17 MWAR16 MWAR09 MWAR13 MWAR11 MWAR18     PDF:  
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MW Asset Rentals Interest Payment And Capital Redemption Notifications MWSI

MW ASSET RENTALS (RF) LIMITED
Reg No 2002/030074/06
Incorporated in the Republic of South Africa
JSE alpha code: MWSI

INTEREST PAYMENT AND CAPITAL REDEMPTION NOTIFICATIONS

Bondholders are advised of the following interest payments.


Bond code:                      MWAR09
ISIN:                           ZAG000191297
Coupon:                         8.897%
Interest period:                22 August 2025 to 24 November 2025
Interest amount due:            R 10 310 769.86
Capital amount due:             R450 000 000.00
Payment date:                   24 November 2025
Date convention:                Modified following business day.

Bond code:                      MWAR11
ISIN:                           ZAG000200254
Coupon:                         8.867%
Interest period:                22 August 2025 to 24 November 2025
Interest amount due:            R6 850 668.49
Payment date:                   24 November 2025
Date convention:                Modified following business day.

Bond code:                      MWAR13
ISIN:                           ZAG000202862
Coupon:                         8.917%
Interest period:                22 August 2025 to 24 November 2025
Interest amount due:            R4 478 044.11
Payment date:                   24 November 2025
Date convention:                Modified following business day.

Bond code:                      MWAR14
ISIN:                           ZAG000202854
Coupon:                         8.817%
Interest period:                22 August 2025 to 24 November 2025
Interest amount due:            R6 925 572.33
Payment date:                   24 November 2025
Date convention:                Modified following business day.

Bond code:                      MWAR16
ISIN:                           ZAG000210170
Coupon:                         8.217%
Interest period:                22 August 2025 to 24 November 2025
Interest amount due:            R4 232 317.81
Capital amount due:             R200 000 000.00
Payment date:                   24 November 2025
Date convention:                Modified following business day.

Bond code:                    MWAR17
ISIN:                         ZAG000210188
Coupon:                       8.767%
Interest period:              22 August 2025 to 24 November 2025
Interest amount due:          R9 031 210.96
Payment date:                 24 November 2025
Date convention:              Modified following business day.

Bond code:                    MWAR18
ISIN:                         ZAG000215039
Coupon:                       8.717%
Interest period:              22 August 2025 to 24 November 2025
Interest amount due:          R3 367 389.04
Payment date:                 24 November 2025
Date convention:              Modified following business day.




18 November 2025

Debt Sponsor
Nedbank Corporate and Investment Banking, a division of Nedbank Limited

Date: 18-11-2025 08:00:00
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