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Wed 14 Dec 2011, 13:10 FTG1 - First Strut (Proprietary) Limited - Listing of Tap Issue
JSE
BIFSL                                                                           
FTG1 - First Strut (Proprietary) Limited - Listing of Tap Issue                 
First Strut (Proprietary) Limited                                               
(Incorporated in the Republic of South Africa)                                  
(Registration No. 1992/001604/07)                                               
Company code: BIFSL                                                             
("First Strut")                                                                 
LISTING OF TAP ISSUE                                                            
The JSE Limited has granted First Strut the listing of its FTG1 Floating Rate   
Notes tap issue, in terms of its ZAR90,000,000 Offering Circular dated 13       
December 2011.                                                                  
INSTRUMENT TYPE:             Floating Rate Notes                                
Total Notes in Issue:        R 450,000,000.00, excluding this                   
                            issuance of Notes                                   
Instrument Code:             FTG1                                               
Nominal Issued:              R 90,000,000.00                                    
Issue Price:                 100.43854%                                         
Coupon:                      10.08% (3 month Jibar as at 05                     
                            December 2011 of 5.580% plus 450bps)                
Coupon Rate Indicator:       Floating Rate                                      
Issue Date:                  15 December 2011                                   
Interest Commencement Date:  05 December 2011                                   
First Interest Payment Date: 05 March 2012                                      
Scheduled Termination Date:  05 September 2016                                  
Last day to Register:        By 17h00 on 22 February, 25 May, 25                
                            August and 24 November of each year                 
                            until the Scheduled Termination Date                
Books Close:                 23 February, 26 May, 26 August and 25              
November of each year until the                     
                            Scheduled Termination Date                          
Interest Payment Dates:      5 March, 5 June, 5 September and 5                 
                            December of each year until the                     
Scheduled Termination Date                          
ISIN:                        ZAG000088964                                       
Business Day Convention:     Modified Following Business Day                    
Arranger: 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.                           
14 December 2011                                                                
Debt Sponsor                                                                    
Rand Merchant Bank (A division of FirstRand Bank Limited)                       
Date: 14/12/2011 13:10:30 Produced by the JSE SENS Department.                  
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