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THE STANDARD BANK OF SOUTH AFRICA LIMITED - New Financial Instrument Listing Announcement - CLN787

Release Date: 03/12/2021 13:36
Code(s): CLN787     PDF:  
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New Financial Instrument Listing Announcement - CLN787

The Standard Bank of South Africa Limited

New Financial Instrument Listing Announcement - “CLN787”

Stock Code: CLN787
ISIN Code: ZAG000182304


The JSE Limited has granted a listing to The      Standard Bank of
South Africa Limited – CLN787 Senior Unsecured   Mixed Rate Credit
Linked Notes due 31 March 2032 - sponsored by    The Standard Bank
of South Africa Limited, under its Structured    Note Programme.

Authorised Programme size           ZAR80,000,000,000
Total notes issued
(including current issue)           ZAR62,840,165,397.61
Full Note details are as follows:
Issue Date:                         06 December 2021
Nominal Issued:                     ZAR30,000,000
Coupon Rate:                        Fixed Notes – From, and
                                    including, 30 September 2026
                                    until (but excluding) the
                                    Maturity Date: 10.7% per
                                    annum payable quarterly in
                                    arrears,    as    per    the
                                    Applicable           Pricing
                                    Supplement
                                    Floating Rate Notes - From,
                                    and including, the Interest
                                    Commencement Date to, but
                                    excluding, 30 September 2026
                                    : three month ZAR-JIBAR-
                                    SAFEX plus 3.00% as per the
                                    Applicable           Pricing
                                    Supplement
Coupon Indicator:                   Fixed Rate Notes – Fixed
                                    Floating   Rate    Notes   -
                                    Floating

Interest Determination Dates:       In respect of:

                                    Fixed Rate      Notes   –   Not
                                    Applicable

                                    Floating Rate Notes - Each
                                    31 March,           30 June,
                                    30 September and 31 December
                                    of each year, commencing on
                                    Interest Commencement Date
                                   until    (but     excluding)
                                   30 September 2026
Trade Type:                        Price
Issue Price:                       100%
Maturity Date:                     31 March 2032
Interest Commencement Date:        06 December 2021
First Interest Payment Date:       31 December 2021

Interest Payment Dates:            In respect of:

                                   Fixed Rate Notes – each
                                   31 March,           30 June,
                                   30 September and 31 December
                                   of each year until the
                                   Maturity Date,

                                   Floating Rate Notes – each
                                   31    March,     30    June,
                                   30 September and 31 December
                                   of each year until (and
                                   including)
                                   30 September 2026
Business Day Count/Convention:     Actual/365(fixed)        and
                                   Following Business Day
Books Close:                       From each 26 March, 25 June,
                                   25 September and 26 December
                                   until     the     applicable
                                   Interest Payment Date

Last day to register:              By: 17:00 on 25 March,
                                   24 June, 24 September and
                                   25 December of each year, or
                                   if such day is not a Business
                                   Day, the Business Day before
                                   each Books Closed Period
                                   until the Maturity Date
Placement Agent:                   The Standard Bank of South
                                   Africa Limited
Debt Security subject
to guarantee; security
or credit enhancement:             Not Applicable

Additional Terms and Conditions: Investors should study the
Pricing Supplement for full details of the specific terms and
conditions applicable to this specific issuance.

Notes will be deposited in the Central Depository (“CSD”) and
settlement will take place electronically in terms of JSE Rules.
Dated 03 December 2021
Sponsor – The Standard Bank of South Africa Limited
For further information on the Notes issued please contact:
Johann Erasmus           SBSA (Sponsor)
Email: johann.erasmus@standardbank.co.za

Date: 03-12-2021 01:36:00
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