Wrap Text
BINBK - Interest Payment and Capital Redemption Notifications
NEDBANK LIMITED
(Incorporated in the Republic of South Africa)
Registration number: 1951/000009/06
JSE alpha code: BINBK
INTEREST PAYMENT AND CAPITAL REDEMPTION NOTIFICATIONS
Bondholders are advised of the following interest payments and capital redemption:
Bond Code: NNF135
ISIN: ZAG000203324
Coupon: 10.217%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R636,813.01
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF111
ISIN: ZAG000200239
Coupon: 10.117%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R1,765,624.45
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN343
ISIN: ZAG000208919
Coupon: 8.917%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R22,231,424.66
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NNF124
ISIN: ZAG000201997
Coupon: 10.3%
Interest period: 12 September 2025 to 12 December 2025
Interest amount due: R8,345,821.92
Payment date: 12 December 2025
Date convention: Following business day
Bond Code: NN381
ISIN: ZAG000211970
Coupon: 8.317%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R414,710.68
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NN433
ISIN: ZAG000217126
Coupon: 9.517%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R11,863,657.54
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NN463
ISIN: ZAG000219411
Coupon: 8.758%
Interest period: 25 September 2025 to 17 December 2025
Interest amount due: R9,957,726.03
Payment date: 17 December 2025
Date convention: Following business day
Bond Code: NN040
ISIN: ZAG000166851
Coupon: 8.73%
Interest period: 08 September 2025 to 08 December 2025
Interest amount due: R3,917,736.99
Payment date: 08 December 2025
Date convention: Following business day
Bond Code: NN394
ISIN: ZAG000213760
Coupon: 8.767%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R5,464,363.01
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NILB12
ISIN: ZAG000123811
Coupon: 3.45%
Interest period: 07 June 2025 to 07 December 2025
Interest amount due: R2,640,642.79
Payment date: 08 December 2025
Date convention: Following business day
Bond Code: NNF128
ISIN: ZAG000202433
Coupon: 10.817%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R5,393,682.19
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN250
ISIN: ZAG000199589
Coupon: 9.267%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R9,934,731.78
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NNF118
ISIN: ZAG000200817
Coupon: 10.067%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R6,349,932.40
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF129
ISIN: ZAG000202441
Coupon: 8.767%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R2,185,745.21
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF136
ISIN: ZAG000203530
Coupon: 10.217%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R5,094,504.11
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN407
ISIN: ZAG000214511
Coupon: 8.817%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R7,693,738.36
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NN06
ISIN: ZAG000157645
Coupon: 9.17%
Interest period: 12 September 2025 to 12 December 2025
Interest amount due: R2,857,773.97
Payment date: 12 December 2025
Date convention: Following business day
Bond Code: NN339
ISIN: ZAG000208893
Coupon: 8.667%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R2,701,017.12
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NNF148
ISIN: ZAG000206871
Coupon: 8.567%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R1,067,941.10
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF108
ISIN: ZAG000199837
Coupon: 9.917%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R3,708,686.32
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF114
ISIN: ZAG000200577
Coupon: 10.617%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R5,293,956.16
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF149
ISIN: ZAG000206889
Coupon: 8.717%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R1,086,639.73
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN304
ISIN: ZAG000205717
Coupon: 9.077%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R2,263,032.88
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NNF119
ISIN: ZAG000200825
Coupon: 11.017%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R549,340.82
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN302
ISIN: ZAG000205519
Coupon: 8.967%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R5,589,020.55
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NN317
ISIN: ZAG000206962
Coupon: 8.787%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R5,476,828.77
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NN299
ISIN: ZAG000205493
Coupon: 9.167%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R6,856,413.7
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NN406
ISIN: ZAG000214396
Coupon: 8.7%
Interest period: 30 September 2025 to 31 December 2025
Interest amount due: R14,078,268.49
Payment date: 31 December 2025
Date convention: Following business day
Bond Code: NNF116
ISIN: ZAG000200742
Coupon: 10.117%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R5,044,641.10
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF099
ISIN: ZAG000195132
Coupon: 9.325%
Interest period: 29 September 2025 to 29 December 2025
Interest amount due: R6,970,084.78
Payment date: 29 December 2025
Date convention: Following business day
Bond Code: NN235
ISIN: ZAG000197492
Coupon: 9.117%
Interest period: 09 September 2025 to 09 December 2025
Interest amount due: R4,546,010.96
Payment date: 09 December 2025
Date convention: Following business day
Bond Code: NNF137
ISIN: ZAG000204348
Coupon: 10.767%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R268,437.53
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF178
ISIN: ZAG000219940
Coupon: 7.925%
Interest period: 24 October 2025 to 22 December 2025
Interest amount due: R3,202,568.49
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN428
ISIN: ZAG000216151
Coupon: 8.708%
Interest period: 10 September 2025 to 10 December 2025
Interest amount due: R217,103.56
Payment date: 10 December 2025
Date convention: Following business day
Bond Code: NNF161
ISIN: ZAG000213307
Coupon: 11.417%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R284,643.01
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF175
ISIN: ZAG000219858
Coupon: 8.04%
Interest period: 10 October 2025 to 22 December 2025
Interest amount due: R3,216,000.00
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF113
ISIN: ZAG000200502
Coupon: 8.667%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R864,325.48
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF125
ISIN: ZAG000202052
Coupon: 9.683%
Interest period: 15 September 2025 to 15 December 2025
Interest amount due: R873,910.65
Payment date: 15 December 2025
Date convention: Following business day
Bond Code: NNF179
ISIN: ZAG000219965
Coupon: 7.925%
Interest period: 28 October 2025 to 22 December 2025
Interest amount due: R2,985,445.21
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF126
ISIN: ZAG000202136
Coupon: 9.617%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R719,298.90
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF130
ISIN: ZAG000202698
Coupon: 10.617%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R5,293,956.16
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN307
ISIN: ZAG000206038
Coupon: 10.117%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R504,464.11
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NN163
ISIN: ZAG000187238
Coupon: 9.207%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R4,590,887.67
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN310
ISIN: ZAG000206327
Coupon: 10.117%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R756,696.16
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NN179
ISIN: ZAG000189945
Coupon: 10.35%
Interest period: 15 September 2025 to 15 December 2025
Interest amount due: R1,677,267.12
Payment date: 15 December 2025
Date convention: Following business day
Bond Code: NNF165
ISIN: ZAG000214255
Coupon: 11.017%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R5,493,408.22
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN312
ISIN: ZAG000206467
Coupon: 9.1%
Interest period: 29 September 2025 to 29 December 2025
Interest amount due: R9,075,068.49
Payment date: 29 December 2025
Date convention: Following business day
Bond Code: NNF160
ISIN: ZAG000212994
Coupon: 8.897%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R11,090,780.82
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN303
ISIN: ZAG000205725
Coupon: 8.84%
Interest period: 30 September 2025 to 31 December 2025
Interest amount due: R2,228,164.38
Payment date: 31 December 2025
Date convention: Following business day
Bond Code: NNF120
ISIN: ZAG000201005
Coupon: 10.117%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R6,305,801.37
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF106
ISIN: ZAG000198904
Coupon: 10.667%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R1,329,721.92
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF176
ISIN: ZAG000219932
Coupon: 7.925%
Interest period: 17 October 2025 to 22 December 2025
Interest amount due: R2,866,027.40
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN421
ISIN: ZAG000215492
Coupon: 8.847%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R2,205,690.41
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NN429
ISIN: ZAG000216292
Coupon: 9.117%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R3,636,808.77
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NN260
ISIN: ZAG000201070
Coupon: 8.85%
Interest period: 30 September 2025 to 31 December 2025
Interest amount due: R7,807,397.26
Payment date: 31 December 2025
Date convention: Following business day
Bond Code: NN365
ISIN: ZAG000210899
Coupon: 9.267%
Interest period: 09 September 2025 to 09 December 2025
Interest amount due: R9,262,404.58
Payment date: 09 December 2025
Date convention: Following business day
Bond Code: NNF107
ISIN: ZAG000198912
Coupon: 11.067%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R2,207,335.89
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN363
ISIN: ZAG000210709
Coupon: 8.75%
Interest period: 30 September 2025 to 31 December 2025
Interest amount due: R441,095.89
Payment date: 31 December 2025
Date convention: Following business day
Bond Code: NNF177
ISIN: ZAG000219957
Coupon: 7.925%
Interest period: 22 October 2025 to 22 December 2025
Interest amount due: R3,973,356.16
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN305
ISIN: ZAG000205782
Coupon: 8.62%
Interest period: 30 September 2025 to 31 December 2025
Interest amount due: R2,042,349.59
Payment date: 31 December 2025
Date convention: Following business day
Bond Code: NNF100
ISIN: ZAG000195199
Coupon: 9.3%
Interest period: 30 September 2025 to 30 December 2025
Interest amount due: R2,318,630.14
Payment date: 30 December 2025
Date convention: Following business day
Bond Code: NNF141
ISIN: ZAG000206087
Coupon: 10.008%
Interest period: 10 September 2025 to 10 December 2025
Interest amount due: R4,740,775.89
Payment date: 10 December 2025
Date convention: Following business day
Bond Code: NNF155
ISIN: ZAG000211764
Coupon: 12.55%
Interest period: 20 June 2025 to 22 December 2025
Interest amount due: R12,721,917.81
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN356
ISIN: ZAG000209966
Coupon: 8.93%
Interest period: 29 September 2025 to 29 December 2025
Interest amount due: R2,671,660.27
Payment date: 29 December 2025
Date convention: Following business day
Bond Code: NNF146
ISIN: ZAG000206780
Coupon: 9.017%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R3,372,110.96
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NNF170
ISIN: ZAG000216672
Coupon: 9.0%
Interest period: 30 September 2025 to 31 December 2025
Interest amount due: R5,671,232.88
Payment date: 31 December 2025
Date convention: Following business day
Bond Code: NNF164
ISIN: ZAG000213588
Coupon: 10.497%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R654,265.07
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF109
ISIN: ZAG000200023
Coupon: 13.0%
Interest period: 20 June 2025 to 20 December 2025
Interest amount due: R2,737,479.45
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF115
ISIN: ZAG000200684
Coupon: 10.067%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R5,019,709.59
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF157
ISIN: ZAG000211962
Coupon: 9.567%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R715,559.18
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF102
ISIN: ZAG000195629
Coupon: 9.267%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R5,776,006.85
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF162
ISIN: ZAG000213406
Coupon: 10.727%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R2,674,402.74
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF163
ISIN: ZAG000213596
Coupon: 9.817%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R1,835,644.52
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN374
ISIN: ZAG000211707
Coupon: 8.658%
Interest period: 23 June 2025 to 22 December 2025
Interest amount due: R21,585,182.81
Capital amount due: R17,241,379.31
Reason for partial
redemption: Amortising bond
Payment date: 24 December 2025
Date convention: Following business day
Bond Code: NN247
ISIN: ZAG000198896
Coupon: 8.937%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R557,032.19
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NN391
ISIN: ZAG000213091
Coupon: 9.24%
Interest period: 30 September 2025 to 31 December 2025
Interest amount due: R1,164,493.17
Payment date: 31 December 2025
Date convention: Following business day
Bond Code: NI202
ISIN: ZAG000154303
Coupon: 3.45%
Interest period: 07 June 2025 to 07 December 2025
Interest amount due: R30,186,772.14
Payment date: 08 December 2025
Date convention: Following business day
Bond Code: NNF150
ISIN: ZAG000207903
Coupon: 9.25%
Interest period: 30 September 2025 to 31 December 2025
Interest amount due: R6,994,520.55
Payment date: 31 December 2025
Date convention: Following business day
Bond Code: NN234
ISIN: ZAG000197468
Coupon: 8.85%
Interest period: 29 September 2025 to 29 December 2025
Interest amount due: R6,619,315.07
Payment date: 29 December 2025
Date convention: Following business day
Bond Code: NNF145
ISIN: ZAG000206459
Coupon: 9.037%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R450,613.60
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN395
ISIN: ZAG000213802
Coupon: 8.058%
Interest period: 25 September 2025 to 29 December 2025
Interest amount due: R2,097,287.67
Payment date: 29 December 2025
Date convention: Following business day
Bond Code: NN226
ISIN: ZAG000197005
Coupon: 9.48%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R3,545,260.27
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN430
ISIN: ZAG000216490
Coupon: 8.817%
Interest period: 19 September 2025 to 19 December 2025
Interest amount due: R1,099,105.48
Payment date: 19 December 2025
Date convention: Following business day
Bond Code: NN405
ISIN: ZAG000214339
Coupon: 9.0%
Interest period: 30 September 2025 to 31 December 2025
Interest amount due: R793,972.60
Payment date: 31 December 2025
Date convention: Following business day
Bond Code: NNF154
ISIN: ZAG000211731
Coupon: 8.6%
Interest period: 30 September 2025 to 31 December 2025
Interest amount due: R2,167,671.23
Payment date: 31 December 2025
Date convention: Following business day
Bond Code: NN385
ISIN: ZAG000212572
Coupon: 10.083%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R1,131,229.73
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NN402
ISIN: ZAG000214198
Coupon: 8.817%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R12,309,981.37
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NN318
ISIN: ZAG000206970
Coupon: 8.627%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R5,377,102.74
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NNF117
ISIN: ZAG000200882
Coupon: 10.567%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R1,317,256.15
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN232
ISIN: ZAG000197393
Coupon: 9.517%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R1,186,365.81
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NN369
ISIN: ZAG000211541
Coupon: 8.417%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R1,678,787.97
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NN039
ISIN: ZAG000166869
Coupon: 8.997%
Interest period: 08 September 2025 to 08 December 2025
Interest amount due: R4,486,175.34
Payment date: 08 December 2025
Date convention: Following business day
Bond Code: NN360
ISIN: ZAG000210410
Coupon: 8.017%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R3,863,600.96
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NNF158
ISIN: ZAG000211954
Coupon: 12.55%
Interest period: 20 June 2025 to 22 December 2025
Interest amount due: R12,721,917.81
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF156
ISIN: ZAG000211780
Coupon: 8.817%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R4,945,974.66
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN457
ISIN: ZAG000218934
Coupon: 9.017%
Interest period: 09 September 2025 to 01 December 2025
Interest amount due: R615,132.33
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NN231
ISIN: ZAG000197401
Coupon: 10.0%
Interest period: 30 September 2025 to 31 December 2025
Interest amount due: R1,260,273.93
Payment date: 31 December 2025
Date convention: Following business day
Bond Code: NN427
ISIN: ZAG000216144
Coupon: 8.408%
Interest period: 10 September 2025 to 10 December 2025
Interest amount due: R209,624.11
Payment date: 10 December 2025
Date convention: Following business day
Bond Code: NNF142
ISIN: ZAG000206095
Coupon: 8.608%
Interest period: 11 September 2025 to 11 December 2025
Interest amount due: R1,824,188.49
Payment date: 11 December 2025
Date convention: Following business day
Bond Code: NNF143
ISIN: ZAG000206111
Coupon: 8.558%
Interest period: 11 September 2025 to 11 December 2025
Interest amount due: R640,091.51
Payment date: 11 December 2025
Date convention: Following business day
Bond Code: NNF144
ISIN: ZAG000206129
Coupon: 8.558%
Interest period: 11 September 2025 to 11 December 2025
Interest amount due: R640,091.51
Payment date: 11 December 2025
Date convention: Following business day
Bond Code: NNF159
ISIN: ZAG000212960
Coupon: 8.867%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R6,632,030.14
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NNF167
ISIN: ZAG000214685
Coupon: 11.517%
Interest period: 10 September 2025 to 10 December 2025
Interest amount due: R2,871,361.64
Payment date: 10 December 2025
Date convention: Following business day
Bond Code: NNF174
ISIN: ZAG000218165
Coupon: 9.717%
Interest period: 22 September 2025 to 22 December 2025
Interest amount due: R1,695,816.16
Payment date: 22 December 2025
Date convention: Following business day
Bond Code: NN412
ISIN: ZAG000215112
Coupon: 8.767%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R2,185,745.21
Payment date: 30 November 2025
Date convention: Following business day
Bond Code: NN426
ISIN: ZAG000215989
Coupon: 8.827%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R1,100,352.05
Payment date: 01 December 2025
Date convention: Following business day
Bond Code: NNF147
ISIN: ZAG000206772
Coupon: 9.017%
Interest period: 01 September 2025 to 01 December 2025
Interest amount due: R6,744,221.92
Payment date: 01 December 2025
Date convention: Following business day
25 November 2025
Debt Sponsor:
Nedbank Corporate and Investment Banking, a division of Nedbank Limited
Date: 25-11-2025 03:00:00
Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE').
The JSE does not, whether expressly, tacitly or implicitly, represent, warrant or in any way guarantee the truth, accuracy or completeness of
the information published on SENS. The JSE, their officers, employees and agents accept no liability for (or in respect of) any direct,
indirect, incidental or consequential loss or damage of any kind or nature, howsoever arising, from the use of SENS or the use of, or reliance on,
information disseminated through SENS.