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JP MORGAN STRUCTURED PRODUCTS B.V. - Interest Rate Payment Notification - JPM002

Release Date: 12/06/2019 15:30
Code(s): JPM002     PDF:  
Wrap Text
Interest Rate Payment Notification - JPM002

 J.P. MORGAN STRUCTURED PRODUCTS B.V.
 (incorporated with limited liability in The Netherlands)
 (the Issuer)

 Interest Rate Payment Notification

 In accordance with paragraph 4.13(b) of the JSE Debt Listings
 Requirements, noteholders are hereby advised of the interest amount
 details as follows:



                                           Interest
 Bond                   Interest Payment              Interest Payment
           ISIN No                          Payment
 Code                         Date                        Amount
                                             Rate %
JPM002   ZAG000154659     20 June 2019       10,4%      ZAR 1,293,209.13



 12 June 2019


 Debt sponsor in South Africa
 The Standard Bank of South Africa Limited, acting through its
 Corporate and Investment Banking division




                                                                        
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