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Tue 17 Jul 2012, 15:20 REPUBLIC OF SOUTH AFRICA - RSA bonds weekly tap
I2050 I2038 I2025
RSA  bonds weekly tap

national treasury
Department:National Treasury
REPUBLIC OF SOUTH AFRICA


Settlement Date :                       18 July 2012

Instrument Type:                        Inflation Linked Bond
Bond Name:                              I2025 2.00% 2025
ISIN Code:                              ZAG000096587
Authorised Programme size:              R20,000,000,000.00
Nominal issued:                         R55, 000,000.00
Issue Price:                            99.74504%
Coupon:                                 2.00%
Maturity Date:                          31 January 2025
Interest Commencement Date:             31 July 2012
Interest Payment Dates:                 31 July, 31 January
Book Close:                             21 July, 21 January
Index:                                  122.874193548387100
Base Index:                             122.648387096774200
Index Ratio:                            1.00184108781988900


The Standard General Conditions of Issue applicable to RSA Internal Registered Bond
will apply.


Transfer of this bond may be affected electronically by book entry with the Central
Depository. The bond register is kept with the Asset and Liability Management branch of
the National Treasury in Pretoria.


For further information on the bond issue please contact:




DIRECTOR: DEBT OPERATIONS              JOHAN KRYNAUW (012) 315 5275

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