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AMBER HOUSE FUND 2 (RF) LIMITED - CLASS A NOTES, THE CLASS B NOTES, THE CLASS C NOTES AND THE CLASS D NOTES - REDEMPTION

Release Date: 26/06/2026 11:55
Code(s): AH2A31 AH2A21 AH2C11 AHF2D1 AH2B11 AH2A12 AHF2D2     PDF:  
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CLASS A NOTES, THE CLASS B NOTES, THE CLASS C NOTES AND THE CLASS D NOTES - REDEMPTION

Amber House Fund 2 (RF) Limited
(incorporated with limited liability in the Republic of South
Africa)
(Registration number: 2012/065 316/06))
("Amber House Fund 2" or "Issuer")
Issuer Code: AHFI

Instrument   Code:   AH2A12   ISIN:   ZAG000206624
Instrument   Code:   AH2A21   ISIN:   ZAG000177809
Instrument   Code:   AH2A31   ISIN:   ZAG000177817
Instrument   Code:   AH2B11   ISIN:   ZAG000177940
Instrument   Code:   AH2C11   ISIN:   ZAG000177932
Instrument   Code:   AHF2D1   ISIN:   ZAG000177833
Instrument   Code:   AHF2D2   ISIN:   ZAG000206632

NOTICE OF THE REDEMPTION BY THE ISSUER ON 20 JULY 2026 OF EACH
OF THE CLASS A NOTES, THE CLASS B NOTES, THE CLASS C NOTES AND
THE   CLASS  D   NOTES   ISSUED  BY   THE  ISSUER   UNDER  THE
ZAR4,000,000,000 ASSET BACKED NOTE PROGRAMME OF THE ISSUER

Noteholders are advised that in accordance with the Terms and
Conditions of the Amber House Fund 2's ZAR4,000,000,000 Asset
Backed Note Programme, the Issuer shall, on 20 July 2026,
fully redeem the Outstanding Principal Amount under:

  •   R 95 812 743.00 Class A1 Secured Floating Rate Notes due
      18 July 2056 (the Class A12 Notes) (ISIN No.
      ZAG000206624; Bond Exchange Listing Code AH2A12);


  •   R 1 645 000 000.00 Class A2 Secured Floating Rate Notes
      due 18 July 2056 (the Class A21 Notes) (ISIN No.
      ZAG000177809; Bond Exchange Listing Code AH2A21);


  •   R 130 000 000.00 Class A3 Secured Fixed Rate Notes due 18
      July 2056 (the Class A31 Notes) (ISIN No. ZAG000177817;
      Bond Exchange Listing Code AH2A31);


  •   R 110 000 000.00 Class B1 Secured Floating Rate Notes due
      18 July 2056 (the Class B1 Notes) (ISIN No. ZAG000177940;
      Bond Exchange Listing Code AH2B11);

  •   R 96 000 000.00 Class C1 Secured Floating Rate Notes due
      18 July 2056 (the Class C1 Notes) (ISIN No. ZAG000177932;
      Bond Exchange Listing Code AH2C11);
  •   R 83 000 000.00 Class D1 Secured Floating Rate Notes due
      18 July 2056 (the Class D1 Notes) (ISIN No. ZAG000177833;
      Bond Exchange Listing Code AHF2D1);

  •   R 17 000 000.00 Class D2 Secured Floating Rate Notes due
      18 July 2056 (the Class D2 Notes) (ISIN No. ZAG000206632;
      Bond Exchange Listing Code AHF2D2); and




(collectively, the "Notes"), which Notes were issued under the
Issuer's   ZAR4,000,000,000   asset  backed   note   programme
established in terms of a programme memorandum dated on or
about 2 July 2021 and amended, novated from time to time
("Programme Memorandum").

The Notes shall be fully redeemed on 20 July 2026, being the
Coupon Step-Up Date of each of the Class A Notes, the Class B
Notes, the Class C Notes and the Class D Notes respectively.

Capitalised terms and expressions used in this notice, and not
otherwise defined herein, shall have the meanings assigned to
such terms and expressions in the Programme Memorandum.

Johannesburg
26 June 2026


Debt Sponsor
The Standard Bank of South Africa Limited

Date: 26-06-2026 11:55:00
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