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Mon 30 May 2011, 10:32 TOY - Toyota Financial Services - New financial instrument listing
JSE
TOY                                                                             
TOY - Toyota Financial Services - New financial instrument listing              
Toyota Financial Services                                                       
Market Notice - DRAFT                                                           
Date:         27 May 2011                                                       
Subject:   New Financial Instrument Listing                                     
(Toyota Financial Services (SA) (Proprietary) Limited - "TFS81")                
The JSE Limited has granted a listing to TOYOTA FINANCIAL SERVICES (SOUTH       
AFRICA) (PROPRIETARY) LIMITED - TFS81 with effect from 30 May 2011, the first   
settlement date. The instrument is unconditionally and irrevocably guaranteed by
Toyota Motor Finance (Netherlands) B.V under its Domestic Medium Term Note      
Programme dated 30 November 2005, as amended by the Supplement to Programme     
Memorandum dated 19 March 2007.                                                 
Authorised Programme size          R5, 000,000,000.00                           
Total Notes Issued                 R 2,194,000,000                              
Bond Code                          TFS81                                        
Nominal Value                      R350,000,000.00                              
Issue Price                        98.59469%                                    
Coupon                             Zero Coupon                                  
Trade Type                         Price                                        
Maturity Date                      30th August 2011                             
Interest Date                      30th May 2011                                
Book Close                         20th August 2011                             
Last day to register               By 17h00 on 19 August 2011                   
First Settlement Date              30 May 2011                                  
ISIN ZAG000086125                                                               
Arranger  Nedbank Capital, a division of Nedbank Limited                        
Please note:  Since this is a Draft Notice the details of the instrument as     
indicated above may still change prior to Issue Date.  Please do not regard     
these details as final.                                                         
Notes will be deposited in the Central Depository ("CSD") and settlement will   
take place electronically in terms of JSE Rules.                                
For further information on the Notes issued please contact:                     
Mr. Wayne Frank Nedbank Capital, a division of Nedbank Limited   (011) 535 4027 
Ms Jackie Eberle Nedbank Capital, a division of Nedbank Limited  (011) 294 4519 
Ms Charmaine Petersen         JSE (011) 520 7783                                
Kea Sape                      JSE (011) 520 7603                                
Mr. Diboko Ledwaba            JSE (011) 520 7222                                
Date: 30/05/2011 10:32:01 Produced by the JSE SENS Department.                  
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