GRB90 201301250026A
Grayston Conduit 1 (Pty) Ltd
New Financial Instrument Listing - GRB90
Grayston Conduit 1 (Proprietary) Limited
JSE Code: GRB90
ISIN No: ZAG000102419
New Financial Instrument Listing GRB90
The JSE Limited has granted a listing to Grayston Conduit 1 (Proprietary) Limited (Grayston) Issue GRB90 of Series 2: Tranche 1 Class B90 due 26 April 2013 in terms of its Domestic Multi-Seller Asset Backed Note Program dated 05 August 2003.
INSTRUMENT TYPE: Secured Zero Coupon Notes
Authorised Programme size R10, 000, 000, 000.00
Total Notes Issued (Series 2) R 157, 020, 000.00
Bond Code GRB90
Nominal Issued R157, 020, 000.00
Coupon Rate 3 Month Jibar
Trade Type Yield
Maturity Date 26 April 2013
First Interest Date Not Applicable
Interest Dates Not Applicable
Books Close 19 April 2013
Last day to register 18 April 2013
Issue Date 25 January 2013
ISIN ZAG000102419
Dealer Investec Bank Limited
The Notes will be immobilized in the Central Depository (CSD) and settlement will take place electronically in terms of JSE Rules.
Date 25 January 2013
Sponsor: Investec Bank Limited (Investec)
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