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Thu 4 Aug 2011, 9:29 BIBG2 - Blue Granite Investments No.2 (Proprietary) Limited - New Financial
JSE
BIBG2                                                                           
BIBG2 - Blue Granite Investments No.2 (Proprietary) Limited - New Financial     
Instrument Listing Announcement                                                 
Blue Granite Investments No.2 (Proprietary) Limited - BG22A1, BG22A2, BG22A3,   
BG22B1, BG22C1, BG22D1                                                          
Dated: 3 August 2011                                                            
Stock Code: BG22A1, BG22A2, BG22A3, BG22B1, BG22C1, BG22D1                      
ISIN Code:  ZAG000087537, ZAG000087545, ZAG000087560, ZAG000087552,             
ZAG000087578, ZAG000087586                                                      
The JSE Limited has granted a listing to Blue Granite Investments No.2          
(Proprietary) Limited Floating Rate Notes due 21 July 2041 - sponsored by The   
Standard Bank of South Africa Limited (acting through its Corporate and         
Investment Banking Division), under its Asset Backed Note Programme.            
Authorised Programme size          R5,000,000,000.00                            
Total notes issued                 R2,182,493,462.00                            
Full Note details are as follows:                                               
Designation of Note:               Class A1 Note                                
Nominal Issued:                    ZAR 225,000,000.00                           
Coupon Rate:                       6.985% (being 140 bps over 3 month           
                                  JIBAR of 5.585%)                              
Coupon Step-Up Rate:               140 bps over 3 month JIBAR                   
Coupon Indicator:                  Floating                                     
Maturity Date:                     21 July 2041                                 
First Interest Payment Date:       21 October 2011                              
Coupon Step-Up Date:               21 July 2016                                 
Interest Payment Dates:            each 21 January, 21 April, 21 July           
                                  and 21 October                                
Books Close:                       each 17 January, 17 April, 17 July and       
17 October                                    
Last day to register:              By 17:00h on 16 January, 16 April,           
                                  16 July and 16 October of each year           
Interest Commencement Date:        3 August 2011                                
Settlement Date:                   3 August 2011                                
Rating:                            Aaa.za(sf) by Moody`s Investor Services      
Placement Agent:                   The Standard Bank of South Africa Limited    
Designation of Note:               Class A2 Note                                
Nominal Issued:                    ZAR 600,000,000.00                           
Coupon Rate:                       7.035% (being 145 bps over 3 month           
                                  JIBAR of 5.585%)                              
Coupon Step-Up Rate:               195 bps over 3 month JIBAR                   
Coupon Indicator:                  Floating                                     
Maturity Date:                     21 July 2041                                 
First Interest Payment Date:       21 October 2011                              
Coupon Step-Up Date:               21 July 2016                                 
Interest Payment Dates:            each 21 January, 21 April, 21 July           
                                  and 21 October                                
Books Close:                       each 17 January, 17 April, 17 July and       
                                  17 October                                    
Last day to register:              By 17:00h on 16 January, 16 April,           
                                  16 July and 16 October of each year           
Interest Commencement Date:        3 August 2011                                
Settlement Date:                   3 August 2011                                
Rating:                            Aaa.za(sf) by Moody`s Investor Services      
Placement Agent:                   The Standard Bank of South Africa Limited    
Designation of Note:               Class A3 Note                                
Nominal Issued:                    ZAR 1,102,000,000.00                         
Coupon Rate:                       7.185% (being 160 bps over 3 month           
                                  JIBAR of 5.585%)                              
Coupon Step-Up Rate:               225 bps over 3 month JIBAR                   
Coupon Indicator:                  Floating                                     
Maturity Date:                     21 July 2041                                 
First Interest Payment Date:       21 October 2011                              
Coupon Step-Up Date:               21 July 2016                                 
Interest Payment Dates:            each 21 January, 21 April, 21 July           
and 21 October                                
Books Close:                       each 17 January, 17 April, 17 July           
                                  and 17 October                                
Last day to register:              By 17:00h on 16 January, 16 April,           
16 July and 16 October of each year           
Interest Commencement Date:        3 August 2011                                
Settlement Date:                   3 August 2011                                
Rating:                            Aaa.za(sf) by Moody`s Investor Services      
Placement Agent:                   The Standard Bank of South Africa Limited    
Designation of Note:               Class B1 Note                                
Nominal Issued:                    ZAR 118,000,000.00                           
Coupon Rate:                       7.685% (being 210 bps over 3 month           
JIBAR of 5.585%)                              
Coupon Step-Up Rate:               310 bps over 3 month JIBAR                   
Coupon Indicator:                  Floating                                     
Maturity Date:                     21 July 2041                                 
First Interest Payment Date:       21 October 2011                              
Coupon Step-Up Date:               21 July 2016                                 
Interest Payment Dates:            each 21 January, 21 April, 21 July           
                                  and 21 October                                
Books Close:                       each 17 January, 17 April, 17 July           
                                  and 17 October                                
Last day to register:              By 17:00h on 16 January, 16 April,           
                                  16 July and 16 October of each year           
Interest Commencement Date:        3 August 2011                                
Settlement Date:                   3 August 2011                                
Rating:                            A1.za(sf) by Moody`s Investor Services       
Placement Agent:                   The Standard Bank of South Africa Limited    
Designation of Note:               Class C1 Note                                
Nominal Issued:                    ZAR 77,000,000.00                            
Coupon Rate:                       8.185% (being 260 bps over 3 month           
                                  JIBAR of 5.585%)                              
Coupon Step-Up Rate:               260 bps over 3 month JIBAR                   
Coupon Indicator:                  Floating                                     
Maturity Date:                     21 July 2041                                 
First Interest Payment Date:       21 October 2011                              
Coupon Step-Up Date:               21 July 2016                                 
Interest Payment Dates:            each 21 January, 21 April, 21 July           
                                  and 21 October                                
Books Close:                       each 17 January, 17 April, 17 July           
and 17 October                                
Last day to register:              By 17:00h on 16 January, 16 April,           
                                  16 July and 16 October of each year           
Interest Commencement Date:        3 August 2011                                
Settlement Date:                   3 August 2011                                
Rating:                            Baa1.za(sf) by Moody`s Investor Services     
Placement Agent:                   The Standard Bank of South Africa Limited    
Designation of Note:               Class D1 Note                                
Nominal Issued:                    ZAR 71,000,000.00                            
Coupon Rate:                       9.585% (being 400 bps over 3 month           
                                  JIBAR of 5.585%)                              
Coupon Step-Up Rate:               400 bps over 3 month JIBAR                   
Coupon Indicator:                  Floating                                     
Maturity Date:                     21 July 2041                                 
First Interest Payment Date:       21 October 2011                              
Coupon Step-Up Date:               21 July 2016                                 
Interest Payment Dates:            each 21 January, 21 April, 21 July           
                                  and 21 October                                
Books Close:                       each 17 January, 17 April, 17 July           
                                  and 17 October                                
Last day to register:              By 17:00h on 16 January, 16 April,           
                                  16 July and 16 October of each year           
Interest Commencement Date:        3 August 2011                                
Settlement Date:                   3 August 2011                                
Rating:                            Ba2.za(sf) by Moody`s Investor Services      
Placement Agent:                   The Standard Bank of South Africa Limited    
Date: 3 August 2011                                                             
Sponsor: Standard Bank                                                          
Notes will be deposited in the Central Depository ("CSD") and settlement will   
take place electronically in terms of JSE Rules.                                
Further information on the Note issued please contact:                          
Mike Brunke              SBSA (Sponsor)      (011) 378 8101                     
Email: mike.brunke@standardbank.co.za                                           
Date: 04/08/2011 09:29:01 Produced by the JSE SENS Department.                  
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