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BISTDB - Notification of interest amounts
The Standard Bank of South Africa Limited
Incorporated in the Republic of South Africa
Issuer code: BISTDB
(the "Issuer")
Bond Code: CLN616 ISIN NO: ZAG000163163
Bond Code: CLN839 ISIN NO: ZAG000187071
Bond Code: CLN852 ISIN NO: ZAG000187873
Bond Code: CLN853 ISIN NO: ZAG000187931
Bond Code: CLN854 ISIN NO: ZAG000188111
Bond Code: CLN855 ISIN NO: ZAG000188103
Bond Code: CLN861 ISIN NO: ZAG000188368
Bond Code: CLN862 ISIN NO: ZAG000188343
Bond Code: CLN874 ISIN NO: ZAG000188806
Bond Code: CLN890 ISIN NO: ZAG000190562
Bond Code: CLN892 ISIN NO: ZAG000190638
Bond Code: CLN894 ISIN NO: ZAG000190687
Bond Code: CLN902 ISIN NO: ZAG000191289
Bond Code: CLN903 ISIN NO: ZAG000191412
Bond Code: CLN908 ISIN NO: ZAG000192030
Bond Code: CLN913 ISIN NO: ZAG000193152
Bond Code: CLN914 ISIN NO: ZAG000194044
Bond Code: CLN915 ISIN NO: ZAG000194002
Bond Code: CLN916 ISIN NO: ZAG000194192
Bond Code: CLN918 ISIN NO: ZAG000194333
Bond Code: CLN923 ISIN NO: ZAG000194812
Bond Code: CLN924 ISIN NO: ZAG000194804
Bond Code: CLN925 ISIN NO: ZAG000194853
Bond Code: CLN926 ISIN NO: ZAG000194796
Bond Code: CLN927 ISIN NO: ZAG000194861
Bond Code: CLN929 ISIN NO: ZAG000195058
Bond Code: CLN932 ISIN NO: ZAG000195173
Bond Code: CLN934 ISIN NO: ZAG000194952
Bond Code: CLN935 ISIN NO: ZAG000194978
Bond Code: CLN936 ISIN NO: ZAG000194986
Bond Code: CLN937 ISIN NO: ZAG000195124
Bond Code: CLN938 ISIN NO: ZAG000195116
Bond Code: CLN940 ISIN NO: ZAG000195231
Bond Code: CLN941 ISIN NO: ZAG000195256
Bond Code: CLN945 ISIN NO: ZAG000195595
Bond Code: CLN947 ISIN NO: ZAG000195686
Bond Code: CLN948 ISIN NO: ZAG000195785
Bond Code: CLN949 ISIN NO: ZAG000195850
Bond Code: CLN950 ISIN NO: ZAG000195900
Bond Code: CLN953 ISIN NO: ZAG000196213
Bond Code: CLN954 ISIN NO: ZAG000196221
Bond Code: CLN955 ISIN NO: ZAG000196320
Bond Code: CLN956 ISIN NO: ZAG000196932
Bond Code: CLN957 ISIN NO: ZAG000196726
Bond Code: CLN961 ISIN NO: ZAG000197534
Bond Code: CLN967 ISIN NO: ZAG000198847
Bond Code: CLN968 ISIN NO: ZAG000198763
Bond Code: CLN970 ISIN NO: ZAG000198789
Bond Code: CLN971 ISIN NO: ZAG000198920
Bond Code: CLN980 ISIN NO: ZAG000199803
Bond Code: CLN981 ISIN NO: ZAG000199878
Bond Code: CLN982 ISIN NO: ZAG000199985
Bond Code: CLN983 ISIN NO: ZAG000200106
Bond Code: CLN990 ISIN NO: ZAG000200296
Bond Code: CLN994 ISIN NO: ZAG000201229
Bond Code: CLN997 ISIN NO: ZAG000201880
Bond Code: CLN679 ISIN NO: ZAG000168519
Bond Code: CLN687 ISIN NO: ZAG000169053
Bond Code: CLN688 ISIN NO: ZAG000169087
Bond Code: CLN690 ISIN NO: ZAG000169152
Bond Code: CLN699 ISIN NO: ZAG000169442
Bond Code: CLN709 ISIN NO: ZAG000170556
Bond Code: CLN733 ISIN NO: ZAG000173733
Bond Code: CLN810 ISIN NO: ZAG000184565
Bond Code: CLN655 ISIN NO: ZAG000167230
Notification of Interest Amounts
In accordance with 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
CLN616 22/09/2025 11.017 R 21,710,673.68
CLN839 22/09/2025 9.347 R 4,814,345.21
CLN852 22/09/2025 9.417 R 2,425,200.00
CLN853 22/09/2025 9.837 R 3,166,705.48
CLN854 22/09/2025 10.467 R 673,902.74
CLN855 22/09/2025 10.667 R 686,779.45
CLN861 22/09/2025 9.917 R 638,491.78
CLN862 22/09/2025 9.317 R 1,679,612.60
CLN874 22/09/2025 9.567 R 492,766.03
CLN890 22/09/2025 10.417 R 670,683.56
CLN892 22/09/2025 9.897 R 5,097,632.88
CLN894 22/09/2025 9.637 R 7,445,572.60
CLN902 22/09/2025 9.317 R 4,918,865.48
CLN903 22/09/2025 11.200 R 5,768,767.12
CLN908 22/09/2025 12.767 R 11,297,360.90
CLN913 22/09/2025 10.317 R 1,328,490.41
CLN914 22/09/2025 11.417 R 441,040.27
CLN915 22/09/2025 12.067 R 15,538,328.77
CLN916 22/09/2025 10.500 R 405,616.44
CLN918 22/09/2025 9.377 R 1,931,918.90
CLN923 22/09/2025 11.657 R 1,200,830.69
CLN924 22/09/2025 10.947 R 704,806.85
CLN925 22/09/2025 11.017 R 709,313.70
CLN926 22/09/2025 11.117 R 2,004,105.75
CLN927 22/09/2025 11.067 R 712,532.88
CLN929 22/09/2025 9.383 R 1,208,221.92
CLN932 22/09/2025 11.167 R 14,379,424.66
CLN934 22/09/2025 9.383 R 1,208,221.92
CLN935 22/09/2025 12.317 R 793,012.33
CLN936 22/09/2025 13.317 R 857,395.89
CLN937 22/09/2025 7.750 R 2,494,863.01
CLN938 22/09/2025 12.317 R 3,965,061.64
CLN940 22/09/2025 12.317 R 1,586,024.66
CLN941 22/09/2025 11.867 R 6,112,317.81
CLN945 22/09/2025 10.367 R 5,339,715.07
CLN947 22/09/2025 10.517 R 5,416,975.34
CLN948 22/09/2025 11.667 R 7,511,630.14
CLN949 22/09/2025 10.817 R 2,785,747.95
CLN950 22/09/2025 12.267 R 3,159,172.60
CLN953 22/09/2025 10.783 R 971,947.12
CLN954 22/09/2025 10.783 R 833,097.53
CLN955 22/09/2025 11.017 R 851,176.44
CLN956 22/09/2025 9.417 R 2,425,200.00
CLN957 22/09/2025 10.517 R 5,416,975.34
CLN961 22/09/2025 11.317 R 1,457,257.53
CLN967 22/09/2025 14.363 R 12,576,478.90
CLN968 22/09/2025 11.067 R 4,560,210.41
CLN970 22/09/2025 10.087 R 779,324.38
CLN971 22/09/2025 10.467 R 3,234,733.15
CLN980 22/09/2025 9.817 R 1,457,827.42
CLN981 22/09/2025 14.483 R 11,189,605.48
CLN982 22/09/2025 10.767 R 8,318,613.70
CLN983 22/09/2025 14.783 R 5,710,693.15
CLN990 22/09/2025 10.337 R 1,064,852.60
CLN994 22/09/2025 10.667 R 5,494,235.62
CLN997 22/09/2025 10.567 R 680,341.10
CLN679 22/09/2025 9.367 R 467,066.85
CLN687 22/09/2025 9.200 R 2,981,808.22
CLN688 22/09/2025 7.317 R 573,424.66
CLN690 22/09/2025 9.517 R 12,812,750.13
CLN699 22/09/2025 9.667 R 9,209,102.02
CLN709 22/09/2025 9.377 R 7,644,695.59
CLN733 22/09/2025 7.430 R 463,102.74
CLN810 22/09/2025 9.017 R 5,103,127.92
CLN655 22/09/2025 12.617 R 30,663,388.92
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 websites:
www.standardbank.co.za
Johannesburg
18 September 2025
Debt Sponsor: The Standard Bank of South Africa Limited
Date: 18-09-2025 03:20:00
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