I2029 201607220042A
New Bond I2029
National Treasury
Department:
National Treasury
REPUBLIC OF SOUTH AFRICA
Private Bag X115, Pretoria, 0001. Tel: (+27 12) 315 5337. Fax: (+27 12) 323 1783
NEW BOND I2029
Bond Code I2029
Nominal Issued R395 million
Issue Price 100.65971
Coupon) 1.875%
Coupon Rate Indicator Fixed
Trade Type Inflation-Linked
Final Maturity Date 31 March 2029
Books Close Date(s) 21 March, 20 September
Interest Payment Date(s) 31 March, 30 September
Last Day to Register By 17:00 on 20 March, 19 September
Issue Date 27 July 2016
Date Convention Following
Interest Commencement Date 31 March 2016
First Interest Payment Date 30 September 2016
Base CPI 121.0387096774194
ISIN No. ZAG000137191
Additional Information RSA Guarantee
For further enquiries contact:
T Moahloli S Mpakama
Chief Director: Liability Management Director: Debt Issuance and Management
012 315 5140 012 315 5317
Issued by National Treasury
Date: 22 July 2016
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