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ECSPONENT LIMITED - Issue of Notes under the ZAR10,000,000,000 Domestic Medium Term Note Programme

Release Date: 19/08/2019 08:30
Code(s): ECS ECSFL1 ECSZR1 ECSFX2 ECSFX3     PDF:  
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Issue of Notes under the ZAR10,000,000,000 Domestic Medium Term Note Programme

ECSPONENT LIMITED
Incorporated in the Republic of South Africa
Registration number: 1998/013215/06
JSE Code: ECS - ISIN: ZAE000179594
Debt Issuer Codes: ECSP and ECSD
(“the Company” or “Ecsponent”)

  Notes                                Series number          JSE Code                   ISIN
  Fixed Rate Notes                     2                      ECSFX2                     ZAE000266813
  Fixed Rate Notes                     3                      ECSFX3                     ZAE000266821
  Floating Rate Notes                  1                      ECSFL1                     ZAE000265401
  Zero Coupon Notes                    1                      ECSZR1                     ZAE000265419

Issue of Notes under the ZAR10,000,000,000 Domestic Medium Term Note Programme

The Company is pleased to announce that the Notes summarised in the table below will be issued and listed
as detailed in the table.

                                                                        Fixed Rate Notes                               Fixed Rate Notes
                                                                                 Series 2                                       Series 3
  Type of issue                                                                 Tap issue                                      Tap issue

  Number of Notes                                                                  22 930                                         77 000

  Nominal amount of this Tranche                                               R2 293 000                                     R7 700 000

  Issue Price per Preference Share                                                   R100                                           R100
  Issue date                                                              20 August 2019                                 20 August 2019

  Interest Commencement Date                                                 16 July 2019                                   16 July 2019

  Interest Rate                                     10% per annum, payable monthly in              12% per annum, payable monthly in
                                                    arrears on the third Monday of each            arrears on the third Monday of each
                                                                                 month                                          month

  Implied yield                                                                       N/A                                            N/A

  First interest payment date                                             26 August 2019                                 26 August 2019

  Interest periods                                      Each period commencing on (and                 Each period commencing on (and
                                                including) an Interest Payment Date and        including) an Interest Payment Date and
                                                 ending on (but excluding) the following        ending on (but excluding) the following
                                               Interest Payment Date; provided that the       Interest Payment Date; provided that the
                                                  first Interest Period will commence on         first Interest Period will commence on
                                                                 (and include) the interest                     (and include) the interest
                                                  commencement date and end on (but              commencement date and end on (but
                                                     exclude) 22 July 2019 (each Interest           exclude) 22 July 2019 (each Interest
                                                Payment Date as adjusted in accordance         Payment Date as adjusted in accordance
                                                         with the applicable Business Day               with the applicable Business Day
                                                                              Convention).                                   Convention).
  Any other items relating to the particular                                   Actual / 365                                   Actual / 365
  method of calculating dividends
 Redemption Record Date                                                 14 January 2022               14 January 2022

 Redemption Payment Date                                                17 January 2022               17 January 2022

 Redemption Amount                                                                  R100                        R100




                                                                    Floating Rate Notes            Zero Coupon Notes
                                                                                Series 1                     Series 1
 Type of issue                                                                 Tap issue                    Tap issue

 Number of Notes                                                                    9 000                      5 700

 Nominal amount of this Tranche                                                R900 000                     R570 000

 Issue Price per Preference Share                                                   R100                        R100
 Issue date                                                              20 August 2019               20 August 2019

 Interest Commencement Date                                                 16 July 2019                         N/A

 Interest Rate                                     Prime (which as at the Issue Date is                          N/A
                                                  10.00%) plus 1.5% per annum(nacm)
                                                payable monthly in arrears on the third
                                                               Monday of each month
 Implied yield                                                                     N/A       10.66% per annum (NACM)

 First interest payment date                                             26 August 2019                          N/A

 Interest periods                                      Each period commencing on (and                            N/A
                                               including) an Interest Payment Date and
                                                ending on (but excluding) the following
                                              Interest Payment Date; provided that the
                                                 first Interest Period will commence on
                                                                (and include) the interest
                                                 commencement date and end on (but
                                                    exclude) 22 July 2019 (each Interest
                                               Payment Date as adjusted in accordance
                                                        with the applicable Business Day
                                                                             Convention).
 Any other items relating to the particular                                   Actual / 365               Actual / 365
 method of calculating dividends

 Redemption Record Date                                              10 December 2021               10 December 2021

 Redemption Payment Date                                             13 December 2021               13 December 2021

 Redemption Amount                                                                  R100                     R137.49



Following the listing of the additional Notes detailed in this announcement, the total amount issued under
the Domestic Medium Term Note Programme is R69 128 000.

Interest Record and Payment Dates in respect of the Notes
Declaration and finalisation announcements will be released on SENS, in compliance with Schedule 4 Form A5 of
the JSE Listings Requirements.
Other relevant information in respect of the Notes:
The Company shall be entitled to an administration fee in respect of the Notes of 0.25% per annum on the Initial
Issue Price, inclusive of VAT, payable monthly in arrears on the Monthly Interest Payment Dates, in respect of
the Fixed and Floating Rate Notes, and on redemption in respect of the Zero-Coupon Notes.
The administration fee is subject to the Value-Added Tax Act of 1991. The Company has the right to recover the
monthly administration fee, from the monthly interest on the Notes (plus the applicable VAT thereon)

For more information about this announcement or the Ecsponent group, email:
investor.relations@ecsponent.com or visit www.ecsponentlimited.com/investor-relations

19 August 2019
Pretoria

Sponsor to Ecsponent
Questco Corporate Advisory (Pty) Ltd

Date: 19/08/2019 08:30:00
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