BNP PARIBAS ISSUANCE B.V. - Redemption Of Index Linked Redemption Notes Due 29 July 2019 ZA071
ZA071 201907220037A
Redemption Of Index Linked Redemption Notes Due 29 July 2019 – ZA071
BNP Paribas Issuance B.V.
(Incorporated in the Netherlands)
JSE Stock Code: ZA071
ISIN: ZAE000191318
Series: EI0179BRD
("BNP")
REDEMPTION OF INDEX LINKED REDEMPTION NOTES DUE 29 JULY 2019
Holders of the BNP Index Linked Redemption Notes due 29 July 2019 (the
Notes) are hereby advised that the final redemption amount to be paid on
Monday, 29 July 2019 (the Redemption Date), will be determined on 22
July 2019 (the Redemption Valuation Date).
The salient dates relating to this redemption are as follows:
Last date to trade Tuesday, 23 July
Suspension date Wednesday, 24 July
Record Date Friday, 26 July
Payment/Redemption Date Monday, 29 July
Termination date Tuesday, 30 July
Johannesburg
22 July 2019
Debt Sponsor
The Standard Bank of South Africa Limited
Date: 22/07/2019 03:30:00
Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE').
The JSE does not, whether expressly, tacitly or implicitly, represent, warrant or in any way guarantee the truth, accuracy or completeness of
the information published on SENS. The JSE, their officers, employees and agents accept no liability for (or in respect of) any direct,
indirect, incidental or consequential loss or damage of any kind or nature, howsoever arising, from the use of SENS or the use of, or reliance on,
information disseminated through SENS.
Profile Group (Pty) Ltd. has taken care in preparing all information on this website, but does not accept any liability for errors or out-of-date information.