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Tue 19 Nov 2024, 15:08 MWAR16 &MWAR17-New Financial Instrument Listings
MWAR16 &MWAR17-New Financial Instrument Listings

MW ASSET RENTALS (RF) LIMITED
Reg No 2002/030074/06
Incorporated in the Republic of South Africa
JSE alpha code: MWSI

LISTINGS OF NEW FINANCIAL INSTRUMENTS

The JSE Limited has granted approval for new financial instruments listings to MW Asset Rentals (RF)
Limited under its Lease Receivables Backed Note Programme, sponsored by Nedbank Limited, as follows:

Bond code:                                     MWAR16
Authorised programme size:                     R2,500,000,000.00
Total amount in issue after this issuance:     R2,000,000,000.00
Instrument type:                               Floating rate
Nominal issued:                                R200,000,000.00
Issue price:                                   100%
Interest rate:                                 9.092% (being 3-month JIBAR as at 19 November 2024
                                               7.892% plus a margin of 1.20%)
Step-up rate:                                  3-month JIBAR as at 22 November 2025 plus a margin of
                                               1.61%
Trade type:                                    Price
Scheduled maturity date:                       22 November 2025
Final redemption date:                         22 November 2034
Books close dates:                             12 February to 22 February, 12 May to 22 May, 12 August to
                                               22 August, 12 November to 22 November
Interest payment dates:                        22 February, 22 May, 22 August, 22 November
Last day to register:                          By 17:00 on 11 February, 11 May, 11 August, 11 November
Issue date:                                    22 February 2024
Date convention:                               Modified following business day
Interest commencement date:                    22 November 2024
Interest step-up date:                         22 November 2025
First interest payment date:                   22 February 2025
ISIN:                                          ZAG000210170
Additional information:                        Secured Class A notes

Bond code:                                     MWAR17
Authorised programme size:                     R2,500,000,000.00
Total amount in issue after this issuance:     R2,000,000,000.00
Instrument type:                               Floating rate
Nominal issued:                                R400,000,000.00
Issue price:                                   100%
Interest rate:                                 9.642% (being 3-month JIBAR as at 19 November 2024 of
                                               7.892% plus a margin of 1.75%)
Step-up rate:                                  3-month JIBAR as at 22 November 2027 plus a margin of
                                               2.35%
Trade type:                                    Price
Scheduled maturity date:                       22 November 2027
Final redemption date:                         22 November 2034
Books close dates:                             12 February to 22 February, 12 May to 22 May, 12 August to
                                               22 August, 12 November to 22 November
Interest payment dates:                        22 February, 22 May, 22 August, 22 November
Last day to register:                          By 17:00 on 11 February, 11 May, 11 August, 11 November
Issue date:                                    22 November 2024
Date convention:                               Modified following business day
Interest commencement date:                    22 November 2024
Interest step-up date:                         22 November 2027
First interest payment date:                   22 February 2025
ISIN:                                          ZAG000210188
Additional information:                        Secured Class A notes

The Applicable Pricing Supplements are available at: https://merchantwest.co.za/mw-asset-rentals/

The notes relating to the new financial instruments ("Notes") will be dematerialised in the Central
Securities Depository ("CSD") and settlement will take place electronically in terms of JSE Rules. For
further information on the Note issues please contact:

Corporate Actions              JSE                     +27 11 520 7000

19 November 2024

Debt Sponsor
Nedbank Corporate and Investment Banking, a division of Nedbank Limited

Date: 19-11-2024 03:08:00
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