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Tue 12 Aug 2014, 13:12 ABSA BANK LIMITED - ACL082-ACL141-Interest Rate Resets
ACL082 ACL083 ACL084 ACL086 ACL087 ACL139 ACL141 201408120016A
ACL082-ACL141-Interest Rate Resets

ABSA BANK LIMITED
(Incorporated with limited liability in South Africa under registration number 1986/004794/06)
Bond Code: ACL082
ISIN Code : ZAG000081001
Bond Code: ACL083
ISIN Code : ZAG000081126
Bond Code: ACL084
ISIN Code : ZAG000081118
Bond Code: ACL086
ISIN Code : ZAG000081258
Bond Code: ACL087
ISIN Code : ZAG000081266
Bond Code: ACL139
ISIN Code : ZAG000089384
Bond Code: ACL141
ISIN Code : ZAG000089467

INTEREST RATE RESET

Notice is hereby given that the 3 month JIBAR compounded rate as at 30 July 2014 is 5.958% p.a
(“JIBAR”).

Accordingly, the next interest payment, payable on 30 January 2015 (*Following), for the period
30 July 2014 to 29 January 2015, will be calculated based on the following rates:

ACL082                  8.608% p.a. (265bps over JIBAR)

ACL083                  8.608% p.a. (265bps over JIBAR)

ACL084                  8.658% p.a. (270bps over JIBAR)

ACL086                  8.658% p.a. (270bps over JIBAR)

ACL087                  8.558% p.a. (260bps over JIBAR)

ACL139                  8.458% p.a. (250bps over JIBAR)

ACL141                  8.508% p.a. (255bps over JIBAR)

* When the Interest Payment Date falls on a non business day, such Interest Payment Date shall be
postponed to the next business day.
Next reset: 30 January 2015.

12 August 2014

Debt Sponsor
Absa Bank Limited (acting through its Corporate and Investment Banking division)

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