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Wed 29 Oct 2008, 10:56 SCIB - The Standard Bank of South Africa Limited - Adjustments to the terms and
JSE   REMSTB
SCIB                                                                            
SCIB - The Standard Bank of South Africa Limited - Adjustments to the terms and 
conditions of The Standard Remgro Ltd Securities Share Instalments              
The Standard Bank of South Africa Limited                                       
ADJUSTMENTS TO THE TERMS AND CONDITIONS OF THE STANDARD REMGRO LTD SECURITIES   
SHARE INSTALMENTS                                                               
Holders of the REMSTB share Instalment will accordingly receive 0.636977  REISTB
and 0.406054  BTISTB for every REMSTB share instalments held. The terms of the  
new share instalments shall be determined at the close of business on 28 October
2008.                                                                           
The following share instalments will be affected by this corporate action:      
Existing Terms                                                                  
ISIN               JSE Exercise Conversion Expiry Exercise                      
                 Code   Price     Ratio          Style                          
ZAE000119491    REMSTB  160.00       1:1    04- American                        
                                         June-    Call                          
09                                  
                                                                                
New Terms                                                                       
ISIN               JSE Exercise Conversion Expiry Exercise                      
Code   Price     Ratio          Style                          
ZAE000119491    REMSTB  R54.11       1:1    04- American                        
                                         June-    Call                          
                                            09                                  
ZAE000128682    REISTB  R11.18       1:1    04-                                 
                                         June- American                         
                                          2009    Call                          
ZAE000128674    BTISTB R243.26       1:1    04-                                 
June- American                         
                                          2009    Call                          
The last day to trade to qualify for the unbundling is the 27th October 2008.   
The Effective Date of the adjustment shall be 29th October 2008.                
The JSE Limited (JSE) Issuer Services Division has approved the adjustment of   
the above-mentioned share instalments.                                          
This Notice together with the Common Terms Document and Conditions Annexure     
record the terms and conditions of the agreement between the Parties.  Any terms
used in this Notice which are defined in the Common Terms Document, Conditions  
Annexure and the relevant Supplements shall bear the meaning ascribed to them   
therein, unless specifically stated otherwise herein.  Other than as set out    
herein, the terms and conditions set out in the Common Terms Document,          
Conditions Annexure and relevant Supplements remain unchanged and in full force 
and effect.                                                                     
Date: 29/10/2008 10:56:02 Produced by the JSE SENS Department.                  
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