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SASFIN HOLDINGS LIMITED - Pillar III Risk Management Report for the period ended 31 March 2022

Release Date: 08/06/2022 12:00
Code(s): SFN     PDF:  
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Pillar III Risk Management Report for the period ended 31 March 2022

SASFIN HOLDINGS LIMITED
(Incorporated in The Republic of South Africa)
(Registration Number 1987/002097/06)
Ordinary share code: SFN
ISIN: ZAE000006565
(“Sasfin” or “the Company”)

Pillar III Risk Management Report for the period ended 31 March 2022

Sasfin Holdings Limited and Sasfin Bank Limited are required, in terms of Regulation 43(1)(e)(ii) of the
Banks Act, no 94 of 1990, as amended, as well as in accordance with the Basel Committee on Banking
Supervision (BCBS) revised Pillar III disclosure requirements, the South African Reserve Bank (SARB)
Directives 4 of 2014, 11 of 2015 and 1 of 2018, and Regulations, to publicly report on their capital
management plan, capital strategy, capital structure, capital adequacy and leverage ratio.

The capital structure and capital adequacy of Sasfin Holdings Limited, and the leverage and liquidity
coverage ratios of Sasfin Bank Limited at 31 March 2022 are disclosed in the Pillar III Risk
Management Report, which is available for viewing on the following websites:

Company’s website: https://www.sasfin.com/investor-relations/

JSE website: https://senspdf.jse.co.za/documents/2022/jse/isse/sfn/plr-3.pdf

Sasfin’s risk governance framework is fully disclosed in the Group’s 2021 Annual Financial Statements,
which are available at www.sasfin.com, alternatively hard copies may be requested from the Company
Secretary (email Charissa.DeJager@sasfin.com).

Johannesburg
8 June 2022

Sponsor: Questco Corporate Advisory Proprietary Limited

Co-sponsor: Deloitte & Touche Sponsor Services Proprietary Limited

Date: 08-06-2022 12:00:00
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