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Thu 29 Mar 2012, 11:33 BIRDF - Redefine Properties Limited - New Financial Instrument Listing
JSE
BIRDF                                                                           
BIRDF - Redefine Properties Limited - New Financial Instrument Listing          
Redefine Properties Limited                                                     
(Registration No. 1999/018591/06)                                               
Company code: BIRDF                                                             
("Redefine")                                                                    
NEW FINANCIAL INSTRUMENT LISTING                                                
The JSE Limited has granted Redefine a listing of its RDFB01 Senior Unsecured   
Notes, due 30 March 2015, in terms of its Domestic Medium-Term Note Programme   
dated 29 August 2011.                                                           
                                                                                
Authorised programme size:            R5,000,000,000.00                         
Total notes in issue (before this     R250,000,000.00                           
issue):                                                                         
Bond code:                            RDFB01                                    
Nominal issued:                       R500,000,000.00                           
Issue price:                          100%                                      
Coupon:                               7.0% (3month Jibar of 5.6% as at 27       
                                     March 2012 plus 140 bps)                   
Coupon Rate Indicator:                Floating                                  
Trade type:                           Yield                                     
Issue date:                           30 March 2012                             
Maturity date:                        30 March 2015                             
Interests commencement date:          30 March 2012                             
Last day to register:                 By 17:00 on 25 June, 25 September,        
                                     25 December and 25 March of each           
                                     year until the Maturity Date               
Books close:                          25 June, 25 September, 25 December        
and 25 March of each year until the        
                                     Maturity Date                              
Interests payment dates:              30 June, 30 September, 30 December        
                                     and 30 March                               
ISIN No.:                             ZAG000094228                              
Business date convention:             Modified Following                        
                                                                                
29 March 2012                                                                   
Debt Sponsor                                                                    
Java Capital                                                                    
Date: 29/03/2012 11:33:01 Produced by the JSE SENS Department.                  
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