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Interest payment notification - KAP
KAP LIMITED
(Incorporated in the Republic of South Africa)
(Registration number: 1978/000181/06)
Company Alpha Code: KAP
LEI code: 3789001F51BC0045FD42
('KAP')
INTEREST PAYMENT NOTIFICATION
Bondholders are advised of the following interest payments:
Bond code: KAP020
ISIN: ZAG000179797
Coupon: 9.438%
Interest period: 17 March 2025 to 16 June 2025
Interest amount due: R5,947,232.88
Payment date: 17 June 2025
Date convention: Following business day
Bond code: KAP021
ISIN: ZAG000179805
Coupon: 9.458%
Interest period: 17 March 2025 to 16 June 2025
Interest amount due: R5,959,835.62
Payment date: 17 June 2025
Date convention: Following business day
Bond code: KAP030
ISIN: ZAG000200510
Coupon: 9.058%
Interest period: 17 March 2025 to 16 June 2025
Interest amount due: R11,415,561.64
Payment date: 17 June 2025
Date convention: Following business day
Bond code: KAP026
ISIN: ZAG000189952
Coupon: 8.988%
Interest period: 28 March 2025 to 29 June 2025
Interest amount due: R7,870,040.55
Payment date: 30 June 2025
Date convention: Following business day
Bond code: KAP027
ISIN: ZAG000189960
Coupon: 9.198%
Interest period: 28 March 2025 to 29 June 2025
Interest amount due: R15,634,080.00
Payment date: 30 June 2025
Date convention: Following business day
Stellenbosch
10 June 2025
Debt Sponsor
PSG Capital
Date: 10-06-2025 09:00:00
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