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SOUTH AFRICAN SECURITISATION PROGRAMME (RF) LIMITED - Interest Rate Reset

Release Date: 18/08/2025 14:20
Wrap Text
Interest Rate Reset

South African Securitisation Programme (RF) Limited
(Registration No: 1991/002706/06)
Formerly called South African Securitisation Programme (Proprietary)
Limited
(with registration number 1991/002706/07)
("South African Securitisation Programme")
Incorporated with limited liability in the Republic of South Africa

INTEREST RATE RESET

INSTRUMENT TYPE:            FLOATING RATE CALLABLE NOTE

Authorised Programme size       R 5,000,000,000.00
Total Notes Outstanding         R 1,760,000,000.00

1. Bond Code             ERSA30
Nominal Issued           R 344,000,000.00
Issue Price              R 344,000,000.00
Coupon                   9.017% (3 Month JIBAR as of 18 August 2025
                         of 7.017% plus 200 basis points)
Coupon Indictor          Floating
Trade Type               Price
Final Maturity Date      17 November 2030
Books Close              7 February, 7 May, 7 August, 7 November
Interest Date(s)         17 February, 17 May, 17 August, 17 November
Last Day to Register     by 17:00 on 6 February, 6 May, 6 August, 6
                         November
Date Convention          Following
Interest Commencement Date     18 August 2025
Next Interest Date       17 November 2025
Call / Step-up date      17 May 2027
ISIN No.                 ZAG000185778

2. Bond Code            ERSA31
Nominal Issued          R 387,000,000.00
Issue Price             R 387,000,000.00
Coupon                  9.217% (3 Month JIBAR as of 18 August 2025
                        of 7.017% plus 220 basis points)
Coupon Indictor         Floating
Trade Type              Price
Final Maturity Date     17 November 2030
Books Close             7 February, 7 May, 7 August, 7 November
Interest Date(s)        17 February, 17 May, 17 August, 17 November
Last Day to Register     by 17:00 on 6 February, 6 May, 6 August, 6
                         November
Date Convention          Following
Interest Commencement Date    18 August 2025
Next Interest Date       17 November 2025
Call / Step-Up Date      17 February 2028
ISIN No.                 ZAG000193574

3. Bond Code             ERSA32
Nominal Issued           R 263,000,000.00
Issue Price              R 263,000,000.00
Coupon                   8.917% (3 Month JIBAR as of 18 August 2025
                         of 7.017% plus 190 basis points)
Coupon Indictor          Floating
Trade Type               Price
Final Maturity Date      17 November 2030
Books Close              7 February, 7 May, 7 August, 7 November
Interest Date(s)         17 February, 17 May, 17 August, 17 November
Last Day to Register     by 17:00 on 6 February, 6 May, 6 August, 6
                         November
Date Convention          Following
Interest Commencement Date     18 August 2025
Next Interest Date       17 November 2025
Call / Step-up Date      17 August 2026
ISIN No.                 ZAG000198029

4.Bond Code              ERSA33
Nominal Issued           R 417,000,000.00
Issue Price              R 417,000,000.00
Coupon                   8.967% (3 Month JIBAR as at 18 August 2025
                         of 7.017% plus 195 basis points)
Coupon Indictor          Floating
Trade Type               Price
Final Maturity Date      17 November 2035
Books Close              7 February, 7 May, 7 August, 7 November
Interest Date(s)         17 February, 17 May, 17 August, 17 November
Last Day to Register     by 17:00 on 6 February, 6 May, 6 August, 6
                         November
Issue Date               19 May 2025
Date Convention          Following
Interest Commencement Date     18 August 2025
Next Interest Date      17 November 2025
Call / Step-Up Date     17 May 2028
ISIN No.                ZAG000215120

5.Bond Code              ERSA34
Nominal Issued           R 100,000,000.00
Issue Price              R 100,000,000.00
Coupon                   8.617% (3 Month JIBAR as at 18 August 2025
                         of 7.017% plus 160 basis points)
Coupon Indictor          Floating
Trade Type               Price
Final Maturity Date      17 November 2035
Books Close              7 February, 7 May, 7 August, 7 November
Interest Date(s)         17 February, 17 May, 17 August, 17 November
Last Day to Register     by 17:00 on 6 February, 6 May, 6 August, 6
                         November
Issue Date               19 May 2025
Date Convention          Following
Interest Commencement Date     18 August 2025
Next Interest Date       17 November 2025
Call / Step-Up Date      17 November 2026
ISIN No.                 ZAG000215542

6. Bond Code             ERS3B9
Nominal Issued           R 79,000,000.00
Issue Price              R 79,000,000.00
Coupon                   9.217% (3 Month JIBAR as of 18 August 2025
                         of 7.017% plus 220 basis points)
Coupon Indictor          Floating
Trade Type               Price
Final Maturity Date      17 November 2030
Books Close              7 February, 7 May, 7 August, 7 November
Interest Date(s)         17 February, 17 May, 17 August, 17 November
Last Day to Register     by 17:00 on 6 February, 6 May, 6 August, 6
                         November
Date Convention          Following
Interest Commencement Date     18 August 2025
Next Interest Date       17 November 2025
Call / Step-up Date      17 May 2027
ISIN No. ZAG000185802
7. Bond Code             ERSB10
Nominal Issued           R 46,000,000.00
Issue Price              R 46,000,000.00
Coupon                   9.417% (3 Month JIBAR as of 18 August 2025
                         of 7.017% plus 240 basis points)
Coupon Indictor          Floating
Trade Type               Price
Final Maturity Date      17 November 2030
Books Close              7 February, 7 May, 7 August, 7 November
Interest Date(s)         17 February, 17 May, 17 August, 17 November
Last Day to Register     by 17:00 on 6 February, 6 May, 6 August, 6
                         November
Date Convention          Following
Interest Commencement Date     18 August 2025
Next Interest Date       17 November 2025
Call / Step-up date      17 February 2028
ISIN No.                 ZAG000193509

8.Bond Code              ERSB11
Nominal Issued           R 56,000,000.00
Issue Price              R56,000,000.00
Coupon                   9.117% (3 Month JIBAR as at 18 August 2025
                         of 7.017% plus 210 basis points)
Coupon Indictor          Floating
Trade Type               Price
Final Maturity Date      17 November 2035
Books Close              7 February, 7 May, 7 August, 7 November
Interest Date(s)         17 February, 17 May, 17 August, 17 November
Last Day to Register     by 17:00 on 6 February, 6 May, 6 August, 6
                         November
Issue Date               19 May 2025
Date Convention          Following
Interest Commencement Date    18 August 2025
Next Interest Date       17 November 2025
Call / Step-Up Date      17 May 2028
ISIN No.                 ZAG000215138

9. Bond Code            ERS3C9
Nominal Issued          R 24,000,000.00
Issue Price             R 24,000,000.00
Coupon                   9.367% (3 Month JIBAR as of 18 August 2025
                         of 7.017% plus 235 basis points)
Coupon Indictor          Floating
Trade Type               Price
Final Maturity Date      17 November 2030
Books Close              7 February, 7 May, 7 August, 7 November
Interest Date(s)         17 February, 17 May, 17 August, 17 November
Last Day to Register     by 17:00 on 6 February, 6 May, 6 August, 6
                         November
Date Convention          Following
Interest Commencement Date     18 August 2025
Next Interest Date       17 November 2025
Call / Step-up Date      17 May 2027
ISIN No.                 ZAG000185786

10. Bond Code            ERSC10
Nominal Issued           R 17,000,000.00
Issue Price              R 17,000,000.00
Coupon                   9.567% (3 Month JIBAR as of 18 August 2025
                         of 7.017% plus 255 basis points)
Coupon Indictor          Floating
Trade Type               Price
Final Maturity Date      17 November 2030
Books Close              7 February, 7 May, 7 August, 7 November
Interest Date(s)         17 February, 17 May, 17 August, 17 November
Last Day to Register     by 17:00 on 6 February, 6 May, 6 August, 6
                         November
Date Convention          Following
Interest Commencement Date     18 August 2025
Next Interest Date       17 November 2025
Call / Step-Up Date      17 February 2028
ISIN No.                 ZAG000193517

11.Bond Code   ERSC11
Nominal Issued          R 27,000,000.00
Issue Price             R27,000,000.00
Coupon                  9.367% (3 Month JIBAR as at 18 August 2025
                        of 7.017% plus 235 basis points)
Coupon Indictor         Floating
Trade Type              Price
Final Maturity Date     17 November 2035
Books Close              7 February, 7 May, 7 August, 7 November
Interest Date(s)         17 February, 17 May, 17 August, 17 November
Last Day to Register     by 17:00 on 6 February, 6 May, 6 August, 6
                         November
Issue Date               19 May 2025
Date Convention          Following
Interest Commencement Date    18 August 2025
Next Interest Date       17 November 2025
Call / Step-Up Date      17 May 2028
ISIN No.                 ZAG000215161

Additional Information   Secured notes

The notes will be immobilised in the Central Securities Depository
(CSD") and settlement will take place electronically in terms of JSE
Rules.

For further information please contact: Mrs. Harriet Heymans (Sasfin
Bank Limited) (011) 809 7500

Johannesburg
18 August 2025

Sponsor
Sasfin Bank Limited

Date: 18-08-2025 02:20:00
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