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Wed 30 Nov 2011, 12:22 BIBAY - Bayport Securitisation (RF) Ltd - Listing of new financial
JSE
BIBAY                                                                           
BIBAY - Bayport Securitisation (RF) Ltd - Listing of new financial              
instruments                                                                     
Bayport Securitisation (RF) Ltd                                                 
(Incorporated with limited liability in the Republic of South Africa)           
(Registration number M2008/003557/06)                                           
Formerly called Bayport Securitisation (Proprietary) Limited                    
(with registration number 2008/003557/07)                                       
("Bayport Securitisation")                                                      
Listing of new financial instruments                                            
The JSE Limited ("JSE") has granted a listing to Bayport Securitisation         
under its Asset Backed Note Programme ("the Programme") on the terms and        
conditions contained in the Programme Memorandum dated 20 May 2011 as           
supplemented from time to time ("Programme Memorandum"). The authorised         
Programme size is ZAR4,400,000,000 and the total notes issued before the        
issue referred to below are R2,248,559,159. The full details of the notes in    
respect of which a listing has been granted are as follows:-                    
Bond Code                     BAYA18                                            
Nominal Value                 R 100,000,000.00                                  
Coupon                        3m JIBAR + 445bps                                 
Trade Type                    Price                                             
Class Type                    Class A                                           
Coupon Indicator              Floating                                          
Maturity Date                 30 September 2016                                 
Interest Dates                31 March, 30 June, 30 September and 31            
                             December                                           
Books Close                   21 March, 20 June, 20 September and 21            
                             December                                           
Last day to register          By 17:00 on 20 March, 19 June, 19 September       
                             and 20 December                                    
First Interest Payment        31 December 2011                                  
Interest Commencement Date    30 November 2011                                  
First Settlement Date         30 November 2011                                  
Business Date Convention      Following                                         
ISIN No.                      ZAG000090879                                      
Bond Code                     BAYA19                                            
Nominal Value                 R 135,000,000.00                                  
Coupon                        3m JIBAR + 445bps                                 
Trade Type                    Price                                             
Class Type                    Class A                                           
Coupon Indicator              Floating                                          
Maturity Date                 31 December 2016                                  
Interest Dates                31 March, 30 June, 30 September and 31            
                             December                                           
Books Close                   21 March, 20 June, 20 September and 21            
                             December                                           
Last day to register          By 17:00 on 20 March, 19 June, 19 September       
                             and 20 December                                    
First Interest Payment        31 December 2011                                  
Interest Commencement Date    30 November 2011                                  
First Settlement Date         30 November 2011                                  
Business Date Convention      Following                                         
ISIN No.                      ZAG000090887                                      
Bond Code                     BAYA20                                            
Nominal Value                 R 150,000,000.00                                  
Coupon                        3m JIBAR + 390bps                                 
Trade Type                    Price                                             
Class Type                    Class A                                           
Coupon Indicator              Floating                                          
Maturity Date                 30 September 2014                                 
Interest Dates                31 March, 30 June, 30 September and 31            
                             December                                           
Books Close                   21 March, 20 June, 20 September and 21            
                             December                                           
Last day to register          By 17:00 on 20 March, 19 June, 19 September       
                             and 20 December                                    
First Interest Payment        31 December 2011                                  
Interest Commencement Date    30 November 2011                                  
First Settlement Date         30 November 2011                                  
Business Date Convention      Following                                         
ISIN No.                      ZAG000090895                                      
Bond Code                     BAYB03                                            
Nominal Value                 R 55,000,000.00                                   
Coupon                        15.36%                                            
Trade Type                    Price                                             
Class Type                    Class B                                           
Coupon Indicator              Fixed                                             
Maturity Date                 31 December 2016                                  
Interest Dates                31 March, 30 June, 30 September and 31            
                             December                                           
Books Close                   21 March, 20 June, 20 September and 21            
                             December                                           
Last day to register          By 17:00 on 20 March, 19 June, 19 September       
                             and 20 December                                    
First Interest Payment        31 December 2011                                  
Interest Commencement Date    30 November 2011                                  
First Settlement Date         30 November 2011                                  
Business Date Convention      Following                                         
ISIN No.                      ZAG000090903                                      
The Programme Memorandum can be found on the JSE`s website or at the            
following address:                                                              
http://www.transactioncapital.co.za/baysecdebt.aspx                             
For further information on the Notes issued please contact:                     
Mr Mark Herskovits (Transaction Capital)     (011) 531 5391                     
Mr Natasha Hossain                           (011) 775 7237                     
(Deutsche Bank AG Johannesburg Branch)                                          
30 November 2011                                                                
Debt Sponsor                                                                    
Deutsche Bank AG, Johannesburg                                                  
Branch                                                                          
Date: 30/11/2011 12:22:44 Produced by the JSE SENS Department.                  
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