LIBERTY GROUP LIMITED - Liberty Group Limited-Interest Rate Payment Amounts
LGL06 LGL08 LGL09 LGL05 LGL07 LGL10 201902210032A
Liberty Group Limited-Interest Rate Payment Amounts
LIBERTY GROUP LIMITED
Incorporated in the Republic of South Africa
(Registration number: 1957/002788/06)
("Liberty") or ("the Company")
UPCOMING INTEREST PAYMENT DETAILS FOR LIBERTY GROUP LIMITED NOTES
As per the JSE Debt Listings Requirements, Noteholders are advised of the following interest
payment details:
ISIN Number Coupon rate Type Coupon payment Date payable
LGL08-ZAG000146226 9.308% Floating rate R 21 115 134.25 28 February 2019
LGL09-ZAG000146234 9.608% Floating rate R 26 639 167.12 28 February 2019
LGL05-ZAG000122250 9.650% Floating rate R 11 897 260.27 12 March 2019
LGL06-ZAG000139536 10.200% Fixed rate R 20 400 000.00 04 April 2019
LGL07-ZAG000139544 9.430% Floating rate R 13 951 232.88 04 April 2019
LGL10-ZAG000154618 9.040% Floating rate R 22 290 410.96 08 April 2019
Johannesburg
21 February 2019
Debt Sponsor
The Standard Bank of South Africa Limited
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