Thu 12 Oct 2023, 14:50 | | FRII - Interest and capital payment notifications |
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FRII - Interest and capital payment notifications
FirstRand Bank Limited
(Incorporated in the Republic of South Africa)
(Registration number: 1929/001225/06)
Issuer code: FRII
LEI: ZAYQDKTCATIXF9OQY690
Bond Code: FRC317 ISIN: ZAG000163551
Bond Code: FRC348 ISIN: ZAG000172024
Bond Code: FRC349 ISIN: ZAG000172347
Bond Code: FRC350 ISIN: ZAG000172354
Bond Code: FRC353 ISIN: ZAG000172883
Bond Code: FRC355 ISIN: ZAG000173162
Bond Code: FRC356 ISIN: ZAG000173568
Bond Code: FRC357 ISIN: ZAG000173824
Bond Code: FRC360 ISIN: ZAG000174285
Bond Code: FRC361 ISIN: ZAG000174483
Bond Code: FRC395 ISIN: ZAG000184607
Bond Code: FRC432 ISIN: ZAG000189275
Bond Code: FRC445 ISIN: ZAG000191396
Bond Code: FRC452 ISIN: ZAG000193400
Bond Code: FRC453 ISIN: ZAG000193418
Bond Code: FRS217 ISIN: ZAG000167826
(FRB)
INTEREST AND CAPITAL PAYMENT NOTIFICATIONS
Noteholders are advised of the following interest and capital payments due 30 October 2023:
Bond code: FRC445
ISIN: ZAG000191396
Coupon: 10.650%
Capital amount due: R 350 000 000.00
Interest amount due: R 9 293 219.18
Bond code: FRC452
ISIN: ZAG000193400
Coupon: 10.650%
Capital amount due: R 600 000 000.00
Interest amount due: R 15 931 232.88
Bond code: FRC453
ISIN: ZAG000193418
Coupon: 10.550%
Interest amount due: R 526 054.79
Bond code: FRS217
ISIN: ZAG000167826
Coupon: 4.835%
Interest amount due: R 1 205 438.36
Interest period: 31 July 2023 to 29 October 2023
Date Convention: Modified Following Business Day
Payment Date: 30 October 2023
Noteholders are advised of the following interest payments due 31 October 2023:
Bond code: FRC317
ISIN: ZAG000163551
Coupon: 10.630%
Interest amount due: R 1 339 671.23
Bond code: FRC348
ISIN: ZAG000172024
Coupon: 11.401%
Interest amount due: R 3 735 779.73
Bond code: FRC349
ISIN: ZAG000172347
Coupon: 11.050%
Interest amount due: R 2 785 205.48
Bond code: FRC350
ISIN: ZAG000172354
Coupon: 10.450%
Interest amount due: R 790 191.78
Bond code: FRC353
ISIN: ZAG000172883
Coupon: 11.150%
Interest amount due: R 2 810 410.96
Bond code: FRC355
ISIN: ZAG000173162
Coupon: 11.160%
Interest amount due: R 2 812 931.51
Bond code: FRC356
ISIN: ZAG000173568
Coupon: 11.010%
Interest amount due: R 1 110 049.32
Bond code: FRC357
ISIN: ZAG000173824
Coupon: 11.091%
Interest amount due: R 978 438.90
Bond code: FRC360
ISIN: ZAG000174285
Coupon: 10.850%
Interest amount due: R 1 367 397.26
Bond code: FRC361
ISIN: ZAG000174483
Coupon: 10.770%
Interest amount due: R 950 120.55
Bond code: FRC395
ISIN: ZAG000184607
Coupon: 11.450%
Interest amount due: R 2 164 520.55
Bond code: FRC432
ISIN: ZAG000189275
Coupon: 10.585%
Interest amount due: R 800 400.00
Interest period: 31 July 2023 to 30 October 2023
Date Convention: Modified Following Business Day
Payment Date: 31 October 2023
12 October 2023
Debt sponsor
RAND MERCHANT BANK (a division of FirstRand Bank Limited)
Date: 12-10-2023 02:50:00
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