FRII - Interest Payment Notifications
FirstRand Bank Limited
(Incorporated in the Republic of South Africa)
(Registration number: 1929/001225/06)
Issuer code: FRII
LEI: ZAYQDKTCATIXF9OQY690
Bond code: FRC381 ISIN: ZAG000181272
Bond code: FRC481 ISIN: ZAG000198623
Bond code: FRC489 ISIN: ZAG000199969
Bond code: FRC498 ISIN: ZAG000202995
Bond code: FRC544 ISIN: ZAG000208927
Bond code: FRC545 ISIN: ZAG000209321
Bond code: FRC548 ISIN: ZAG000209354
Bond code: FRC550 ISIN: ZAG000209545
Bond code: FRC557 ISIN: ZAG000212135
Bond code: FRC558 ISIN: ZAG000212127
Bond code: FRC559 ISIN: ZAG000212119
Bond code: FRC572 ISIN: ZAG000213901
Bond code: FRS225 ISIN: ZAG000169517
Bond code: FRS334 ISIN: ZAG000196791
Bond code: FRC486 ISIN: ZAG000198961
Bond code: FRC444 ISIN: ZAG000191164
Bond code: FRS371 ISIN: ZAG000204033
(FRB)
INTEREST PAYMENT NOTIFICATIONS
Noteholders are advised of the following interest payments due 20 March 2026:
Bond code: FRC381
ISIN: ZAG000181272
Coupon: 9.5250%
Interest amount due: R3 306 836.79
Bond code: FRC481
ISIN: ZAG000198623
Coupon: 10.7750%
Interest amount due: R2 493 869.91
Bond code: FRC489
ISIN: ZAG000199969
Coupon: 11.0750%
Interest amount due: R1 281 652.40
Bond code: FRC498
ISIN: ZAG000202995
Coupon: 8.7750%
Interest amount due: R1 269 369.86
Bond code: FRC544
ISIN: ZAG000208927
Coupon: 8.5250%
Interest amount due: R760 476.71
Bond code: FRC545
ISIN: ZAG000209321
Coupon: 9.0350%
Interest amount due: R1 306 980.82
Bond code: FRC548
ISIN: ZAG000209354
Coupon: 8.3850%
Interest amount due: R1 010 794.52
Bond code: FRC550
ISIN: ZAG000209545
Coupon: 8.7750%
Interest amount due: R909 715.07
Bond code: FRC557
ISIN: ZAG000212135
Coupon: 8.2750%
Interest amount due: R1 995 068.49
Bond code: FRC558
ISIN: ZAG000212127
Coupon: 8.5750%
Interest amount due: R1 033 698.63
Bond code: FRC559
ISIN: ZAG000212119
Coupon: 9.1750%
Interest amount due: R2 212 054.79
Bond code: FRC572
ISIN: ZAG000213901
Coupon: 9.8050%
Interest amount due: R2 363 945.21
Interest period: 22 December 2025 to 19 March 2026
Date convention: Modified following business day
Payment date: 20 March 2026
Noteholders are advised of the following interest payments due 23 March 2026:
Bond code: FRS225
ISIN: ZAG000169517
Coupon: 8.7750%
Interest amount due: R364 623.29
Interest period: 22 December 2025 to 22 March 2026
Bond code: FRS334
ISIN: ZAG000196791
Coupon: 8.8350%
Interest amount due: R3 964 857.53
Interest period: 22 December 2025 to 22 March 2026
Bond code: FRC486
ISIN: ZAG000198961
Coupon: 9.6750%
Interest amount due: R723 636.99
Interest period: 22 December 2025 to 22 March 2026
Bond code: FRC444
ISIN: ZAG000191164
Coupon: 9.9750%
Interest amount due: R1 229 794.52
Interest period: 23 December 2025 to 22 March 2026
Date convention: Modified following business day
Payment date: 23 March 2026
Noteholders are advised of the following interest payments due 25 March 2026:
Bond code: FRS371
ISIN: ZAG000204033
Coupon: 8.6080%
Interest amount due: R608 455.89
Interest period: 29 December 2025 to 24 March 2026
Date convention: Modified following business day
Payment date: 25 March 2026
13 March 2026
Debt sponsor
FirstRand Bank Limited
Date: 13-03-2026 03:30:00
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