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Thu 25 Aug 2011, 13:43 BINIT - Nitro 4 Securitisation Issuer Trust - Listing of New Instrument
JSE
BINIT                                                                           
BINIT - Nitro 4 Securitisation Issuer Trust - Listing of New Instrument         
Nitro Securitisation 4 Issuer Trust                                             
(Incorporated in the Republic of South Africa)                                  
(Master`s Reference No. IT1501/2011)                                            
Company code: BINIT                                                             
("Nitro 4")                                                                     
LISTING OF TAP ISSUES                                                           
The JSE Limited has granted Nitro 4 Securitization Issuer Trust the listing     
of its N4A111, N4A202, N4A205, N4A208, N4A211, N4A302, N4A305, N4A308,          
N4A311, N4A402, N4A405, N4A408, N4A411, N4A502, N4B508 and N4C508 Asset         
Backed Notes, under its ZAR4,000,000,000 Asset Backed Note Offering Circular    
dated 25 August 2011.                                                           
INSTRUMENT TYPE: Asset Backed Notes                                             
Instrument Code:            N4A11                                               
Nominal Issued:             R 345,000,000.00                                    
Interest Rate:              5.695%% (3 month JIBAR as at 25 August 2011         
                           of 5.575% plus 12 basis points)                      
Issue Price:                100.00%                                             
Coupon:                     Floating                                            
Trade Type:                 Price                                               
Step-up Call Date:          14 November 2011                                    
Step-up Rate:               10 Basis points plus JIBAR                          
Final Maturity Date:        14 August 2020                                      
First Interest Payment Date:14 November 2011                                    
Interest Payment Dates:     14 August, 14 November, 14 February and             
                           14 May each year the Notes are in issue              
Books Close:                4 August, 4 November, 4 February and 4              
May in each year until the Maturity Date             
Last day to Register:       By 17h00 on 3 August, 3 November, 3                 
                           February and 3 May in each year until the            
                           Maturity Date                                        
Interest Commencement Date: 25 August 2011                                      
Issue Date:                 25 August 2011                                      
Business Day Convention:    Following Business Day                              
Rating:                     Aaa.za by Moody`s                                   
ISIN:                       ZAG000087966                                        
Instrument Code:            N4A202                                              
Nominal Issued:             R 345,000,000.00                                    
Interest Rate:              5.875% (3 month JIBAR as at 25 August 2011          
of 5.575% plus 30 basis points)                      
Issue Price:                100.00%                                             
Coupon:                     Floating                                            
Trade Type:                 Price                                               
Step-up Call Date:          14 May 2012                                         
Step-up Rate:               10 Basis points plus JIBAR                          
Final Maturity Date:        14 August 2020                                      
First Interest Payment Date:14 November 2011                                    
Interest Payment Dates:     14 August, 14 November, 14 February and             
                           14 May each year the Notes are in issue              
Books Close:                4 August, 4 November, 4 February and                
                           4 May in each year until the Maturity                
Date                                                 
Last day to Register:       By 17h00 on 3 August, 3 November, 3                 
                           February and 3 May in each year until the            
                           Maturity Date                                        
Interest Commencement Date: 25 August 2011                                      
Issue Date:                 25 August 2011                                      
Business Day Convention:    Following Business Day                              
Rating:                     Aaa.za by Moody`s                                   
ISIN:                       ZAG000087974                                        
Instrument Code:            N4A205                                              
Nominal Issued:             R 330,000,000.00                                    
Interest Rate:              5.945% (3 month JIBAR as at 25 August 2011          
Of 5.575% plus 37 basis points)                      
Issue Price:                100.00%                                             
Coupon:                     Floating                                            
Trade Type:                 Price                                               
Step-up Call Date:          14 May 2012                                         
Step-up Rate:               10 Basis points plus JIBAR                          
Final Maturity Date:        14 August 2020                                      
First Interest Payment Date:14 November 2011                                    
Interest Payment Dates:     14 August, 14 November, 14 February and             
                           14 May each year the Notes are in issue              
Books Close:                4 August, 4 November, 4 February and 4              
                           May in each year until the Maturity Date             
Last day to Register:       By 17h00 on 3 August, 3 November, 3                 
                           February and 3 May in each year until the            
                           Maturity Date                                        
Interest Commencement Date: 25 August 2011                                      
Issue Date:                 25 August 2011                                      
Business Day Convention:    Following Business Day                              
Rating:                     Aaa.za by Moody`s                                   
ISIN:                       ZAG000087982                                        
Instrument Code:            N4A208                                              
Nominal Issued:             R 320,000,000.00                                    
Interest Rate:              6.02% (3 month JIBAR as at 25 August 2011           
                           of 5.575% plus 44.5 basis points)                    
Issue Price:                100.00%                                             
Coupon:                     Floating                                            
Trade Type:                 Price                                               
Step-up Call Date:          14 August 2012                                      
Step-up Rate:               10 Basis points plus JIBAR                          
Final Maturity Date:        14 August 2020                                      
First Interest Payment Date:14 November 2011                                    
Interest Payment Dates:     14 August, 14 November, 14 February and             
14 May each year the Notes are in issue              
Books Close:                4 August, 4 November, 4 February and 4              
                           May in each year until the Maturity Date             
Last day to Register:       By 17h00 on 3 August, 3 November, 3                 
February and 3 May in each year until the            
                           Maturity Date                                        
Interest Commencement Date: 25 August 2011                                      
Issue Date:                 25 August 2011                                      
Business Day Convention:    Following Business Day                              
Rating:                     Aaa.za by Moody`s                                   
ISIN:                       ZAG000087990                                        
Instrument Code:            N4A211                                              
Nominal Issued:             R 314,000,000.00                                    
Interest Rate:              6.095% (3 month JIBAR as at 25 August 2011          
                           of 5.575% plus 52 basis points)                      
Issue Price:                100.00%                                             
Coupon:                     Floating                                            
Trade Type:                 Price                                               
Step-up Call Date:          14 November 2012                                    
Step-up Rate:               16 Basis points plus JIBAR                          
Final Maturity Date:        14 August 2020                                      
First Interest Payment Date:14 November 2011                                    
Interest Payment Dates:     14 August, 14 November, 14 February and             
                           14 May each year the Notes are in issue              
Books Close:                4 August, 4 November, 4 February and 4              
                           May in each year until the Maturity Date             
Last day to Register:       By 17h00 on 3 August, 3 November, 3                 
                           February and 3 May in each year until the            
Maturity Date                                        
Interest Commencement Date: 25 August 2011                                      
Issue Date:                 25 August 2011                                      
Business Day Convention:    Following Business Day                              
Rating:                     Aaa.za by Moody`s                                   
ISIN:                       ZAG000088006                                        
Instrument Code:            N4A302                                              
Nominal Issued:             R 320,000,000.00                                    
Interest Rate:              6.155% (3 month JIBAR as at 25 August 2011          
                           of 5.575% plus 58 basis points)                      
Issue Price:                100.00%                                             
Coupon:                     Floating                                            
Trade Type:                 Price                                               
Step-up Call Date:          14 February 2013                                    
Step-up Rate:               19 Basis points plus JIBAR                          
Final Maturity Date:        14 August 2020                                      
First Interest Payment Date:14 November 2011                                    
Interest Payment Dates:     14 August, 14 November, 14 February and             
                           14 May each year the Notes are in issue              
Books Close:                4 August, 4 November, 4 February and 4              
May in each year until the Maturity Date             
Last day to Register:       By 17h00 on 3 August, 3 November, 3                 
                           February and 3 May in each year until the            
                           Maturity Date                                        
Interest Commencement Date: 25 August 2011                                      
Issue Date:                 25 August 2011                                      
Business Day Convention:    Following Business Day                              
Rating:                     Aaa.za by Moody`s                                   
ISIN:                       ZAG000088014                                        
Instrument Code:            N4A305                                              
Nominal Issued:             R 295,000,000.00                                    
Interest Rate:              6.255% (3 month JIBAR as at 25 August 2011          
of 5.575% plus 68 basis points)                      
Issue Price:                100.00%                                             
Coupon:                     Floating                                            
Trade Type:                 Price                                               
Step-up Call Date:          14 May 2013                                         
Step-up Rate:               21 Basis points plus JIBAR                          
Final Maturity Date:        14 August 2020                                      
First Interest Payment Date:14 November 2011                                    
Interest Payment Dates:     14 August, 14 November, 14 February and             
                           14 May each year the Notes are in issue              
Books Close:                4 August, 4 November, 4 February and 4              
                           May in each year until the Maturity Date             
Last day to Register:       By 17h00 on 3 August, 3 November, 3                 
                           February and 3 May in each year until the            
                           Maturity Date                                        
Interest Commencement Date: 25 August 2011                                      
Issue Date:                 25 August 2011                                      
Business Day Convention:    Following Business Day                              
Rating:                     Aaa.za by Moody`s                                   
ISIN:                       ZAG000088022                                        
Instrument Code:            N4A308                                              
Nominal Issued:             R 150,000,000.00                                    
Interest Rate:              6.305% (3 month JIBAR as at 25 August 2011          
                           of 5.575% plus 73 basis points)                      
Issue Price:                100.00%                                             
Coupon:                     Floating                                            
Trade Type:                 Price                                               
Step-up Call Date:          14 August 2013                                      
Step-up Rate:               23 Basis points plus JIBAR                          
Final Maturity Date:        14 August 2020                                      
First Interest Payment Date:14 November 2011                                    
Interest Payment Dates:     14 August, 14 November, 14 February and             
14 May each year the Notes are in issue              
Books Close:                4 August, 4 November, 4 February and 4              
                           May in each year until the Maturity Date             
Last day to Register:       By 17h00 on 3 August, 3 November, 3                 
February and 3 May in each year until the            
                           Maturity Date                                        
Interest Commencement Date: 25 August 2011                                      
Issue Date:                 25 August 2011                                      
Business Day Convention:    Following Business Day                              
Rating:                     Aaa.za by Moody`s                                   
ISIN:                       ZAG000088030                                        
Instrument Code:            N4A311                                              
Nominal Issued:             R 140,000,000.00                                    
Interest Rate:              6.365% (3 month JIBAR as at 25 August 2011          
                           of 5.575% plus 79 basis points)                      
Issue Price:                100.00%                                             
Coupon:                     Floating                                            
Trade Type:                 Price                                               
Step-up Call Date:          14 November 2013                                    
Step-up Rate:               24 Basis points plus JIBAR                          
Final Maturity Date:        14 August 2020                                      
First Interest Payment Date:14 November 2011                                    
Interest Payment Dates:     14 August, 14 November, 14 February and             
                           14 May each year the Notes are in issue              
Books Close:                4 August, 4 November, 4 February and 4              
                           May in each year until the Maturity Date             
Last day to Register:       By 17h00 on 3 August, 3 November, 3                 
                           February and 3 May in each year until the            
Maturity Date                                        
Interest Commencement Date: 25 August 2011                                      
Issue Date:                 25 August 2011                                      
Business Day Convention:    Following Business Day                              
Rating:                     Aaa.za by Moody`s                                   
ISIN:                       ZAG000088048                                        
Instrument Code:            N4A402                                              
Nominal Issued:             R 130,000,000.00                                    
Interest Rate:              6.515% (3 month JIBAR as at 25 August 2011          
                           of 5.575% plus 94 basis points)                      
Issue Price:                100.00%                                             
Coupon:                     Floating                                            
Trade Type:                 Price                                               
Step-up Call Date:          14 February 2014                                    
Step-up Rate:               25 Basis points plus JIBAR                          
Final Maturity Date:        14 August 2020                                      
First Interest Payment Date:14 November 2011                                    
Interest Payment Dates:     14 August, 14 November, 14 February and             
                           14 May each year the Notes are in issue              
Books Close:                4 August, 4 November, 4 February and 4              
May in each year until the Maturity Date             
Last day to Register:       By 17h00 on 3 August, 3 November, 3                 
                           February and 3 May in each year until the            
                           Maturity Date                                        
Interest Commencement Date: 25 August 2011                                      
Issue Date:                 25 August 2011                                      
Business Day Convention:    Following Business Day                              
Rating:                     Aaa.za by Moody`s                                   
ISIN:                       ZAG000088055                                        
Instrument Code:            N4A405                                              
Nominal Issued:             R 115,000,000.00                                    
Interest Rate:              6.615% (3 month JIBAR as at 25 August 2011          
of 5.575% plus 104 basis points)                     
Issue Price:                100.00%                                             
Coupon:                     Floating                                            
Trade Type:                 Price                                               
Step-up Call Date:          14 May 2014                                         
Step-up Rate:               26 Basis points plus JIBAR                          
Final Maturity Date:        14 August 2020                                      
First Interest Payment Date:14 November 2011                                    
Interest Payment Dates:     14 August, 14 November, 14 February and             
                           14 May each year the Notes are in issue              
Books Close:                4 August, 4 November, 4 February and 4              
                           May in each year until the Maturity Date             
Last day to Register:       By 17h00 on 3 August, 3 November, 3                 
                           February and 3 May in each year until the            
                           Maturity Date                                        
Interest Commencement Date: 25 August 2011                                      
Issue Date:                 25 August 2011                                      
Business Day Convention:    Following Business Day                              
Rating:                     Aaa.za by Moody`s                                   
ISIN:                       ZAG000088063                                        
Instrument Code:            N4A408                                              
Nominal Issued:             R 100,000,000.00                                    
Interest Rate:              6.725% (3 month JIBAR as at 25 August 2011          
                           of 5.575% plus 115 basis points)                     
Issue Price:                100.00%                                             
Coupon:                     Floating                                            
Trade Type:                 Price                                               
Step-up Call Date:          14 August 2014                                      
Step-up Rate:               28 Basis points plus JIBAR                          
Final Maturity Date:        14 August 2020                                      
First Interest Payment Date:14 November 2011                                    
Interest Payment Dates:     14 August, 14 November, 14 February and             
14 May each year the Notes are in issue              
Books Close:                4 August, 4 November, 4 February and 4              
                           May in each year until the Maturity Date             
Last day to Register:       By 17h00 on 3 August, 3 November, 3                 
February and 3 May in each year until the            
                           Maturity Date                                        
Interest Commencement Date: 25 August 2011                                      
Issue Date:                 25 August 2011                                      
Business Day Convention:    Following Business Day                              
Rating:                     Aaa.za by Moody`s                                   
ISIN:                       ZAG000088071                                        
Instrument Code:            N4A411                                              
Nominal Issued:             R 85,000,000.00                                     
Interest Rate:              6.825% (3 month JIBAR as at 25 August 2011          
                           of 5.575% plus 125 basis points)                     
Issue Price:                100.00%                                             
Coupon:                     Floating                                            
Trade Type:                 Price                                               
Step-up Call Date:          14 November 2014                                    
Step-up Rate:               29 Basis points plus JIBAR                          
Final Maturity Date:        14 August 2020                                      
First Interest Payment Date:14 November 2011                                    
Interest Payment Dates:     14 August, 14 November, 14 February and             
                           14 May each year the Notes are in issue              
Books Close:                4 August, 4 November, 4 February and 4              
                           May in each year until the Maturity Date             
Last day to Register:       By 17h00 on 3 August, 3 November, 3                 
                           February and 3 May in each year until the            
Maturity Date                                        
Interest Commencement Date: 25 August 2011                                      
Issue Date:                 25 August 2011                                      
Business Day Convention:    Following Business Day                              
Rating:                     Aaa.za by Moody`s                                   
ISIN:                       ZAG000088089                                        
Instrument Code:            N4A502                                              
Nominal Issued:             R 180,000,000.00                                    
Interest Rate:              6.875% (3 month JIBAR as at 25 August 2011          
                           of 5.575% plus 130 basis points)                     
Issue Price:                100.00%                                             
Coupon:                     Floating                                            
Trade Type:                 Price                                               
Step-up Call Date:          14 February 2015                                    
Step-up Rate:               30 Basis points plus JIBAR                          
Final Maturity Date:        14 August 2020                                      
First Interest Payment Date:14 November 2011                                    
Interest Payment Dates:     14 August, 14 November, 14 February and             
                           14 May each year the Notes are in issue              
Books Close:                4 August, 4 November, 4 February and 4              
May in each year until the Maturity Date             
Last day to Register:       By 17h00 on 3 August, 3 November, 3                 
                           February and 3 May in each year until the            
                           Maturity Date                                        
Interest Commencement Date: 25 August 2011                                      
Issue Date:                 25 August 2011                                      
Business Day Convention:    Following Business Day                              
Rating:                     Aaa.za by Moody`s                                   
ISIN:                       ZAG000088097                                        
Instrument Code:            N4B508                                              
Nominal Issued:             R 286,000,000.00                                    
Interest Rate:              7.475% (3 month JIBAR as at 25 August 2011          
of 5.575% plus 190 basis points)                     
Issue Price:                100.00%                                             
Coupon:                     Floating                                            
Trade Type:                 Price                                               
Step-up Call Date:          14 August 2015                                      
Step-up Rate:               51 Basis points plus JIBAR                          
Final Maturity Date:        14 August 2020                                      
First Interest Payment Date:14 November 2011                                    
Interest Payment Dates:     14 August, 14 November, 14 February and             
                           14 May each year the Notes are in issue              
Books Close:                4 August, 4 November, 4 February and 4              
                           May in each year until the Maturity Date             
Last day to Register:       By 17h00 on 3 August, 3 November, 3                 
                           February and 3 May in each year until the            
                           Maturity Date                                        
Interest Commencement Date: 25 August 2011                                      
Issue Date:                 25 August 2011                                      
Business Day Convention:    Following Business Day                              
Rating:                     A1.za by Moody`s                                    
ISIN:                       ZAG000088105                                        
Instrument Code:            N4C508                                              
Nominal Issued:             R 140,000,000.00                                    
Interest Rate:              8.175% (3 month JIBAR as at 25 August 2011          
                           of 5.575% plus 260 basis points)                     
Issue Price:                100.00%                                             
Coupon:                     Floating                                            
Trade Type:                 Price                                               
Step-up Call Date:          14 August 2015                                      
Step-up Rate:               81 Basis points plus JIBAR                          
Final Maturity Date:        14 August 2020                                      
First Interest Payment Date:14 November 2011                                    
Interest Payment Dates:     14 August, 14 November, 14 February and             
14 May each year the Notes are in issue              
Books Close:                4 August, 4 November, 4 February and 4              
                           May in each year until the Maturity Date             
Last day to Register:       By 17h00 on 3 August, 3 November, 3                 
February and 3 May in each year until the            
                           Maturity Date                                        
Interest Commencement Date: 25 August 2011                                      
Issue Date:                 25 August 2011                                      
Business Day Convention:    Following Business Day                              
Rating:                     Baa1.za by Moody`s                                  
ISIN:                       ZAG000088113                                        
Dealer: Rand Merchant Bank, a division of FirstRand Bank Limited                
The Notes will be immobilised in the Central Depository ("CSD") and             
settlement will take place electronically in terms of JSE Rules.                
25 August 2011                                                                  
Debt Sponsor                                                                    
Rand Merchant Bank (A division of FirstRand Bank Limited)                       
Date: 25/08/2011 13:43:01 Produced by the JSE SENS Department.                  
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