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Fri 21 Feb 2025, 13:40 New Financial Instrument Listing Announcement - “SBC117”
New Financial Instrument Listing Announcement - “SBC117”

The Standard Bank of South Africa Limited

New Financial Instrument Listing Announcement - "SBC117"

Stock Code: SBC117
ISIN Code:   ZAG000212903

The JSE Limited has granted a listing to The Standard Bank of
South Africa Limited – SBC117 Senior Unsecured Mixed Rate Notes
31 January 2037 - sponsored by The Standard Bank of South Africa
Limited, under its Structured Note Programme.

Authorised Programme size             ZAR120,000,000,000
Total notes issued
(including current issue)             ZAR102,540,714,429.70.
Full Note details are as follows:
Issue Date:                           24 February 2025
Nominal Issued:                       ZAR65,000,000

Coupon Rate:                          In respect of each Interest
                                      Period from, and including:
                                (i)   Each 31 January, 30 April,
                                      31 July, and 31 October
                                      commencing 30 April 2025
                                      until (but excluding) 31
                                      January 2030: three month
                                      ZAR-JIBAR-SAFEX plus 3.00%
                                      quarterly; and

                                (ii) 31 January and 31 July
                                     from, and including, 31
                                     January 2030 until, but
                                     excluding,  the  Maturity
                                     Date: Fixed 10.65% semi-
                                     annually.


Coupon Indicator:                     Fixed Rate Notes – Fixed
                                      Floating   Rate   Notes      -
                                      Floating



Interest Determination Dates:         In respect of:

                                      Fixed Rate   Notes   –     Not
                                      Applicable

                                      Each 31 January, 30 April,
                                      31 July, 31 October of each
                                      Determination Date(s) year,
                               commencing on Issue Date
                               until (but excluding) 31
                               January 2030

Trade Type:                    Price
Issue Price:                   100%
Maturity Date:                 31 January 2037
Interest Commencement Date:    Issue Date
First Interest Payment Date:   30 April 2025

Interest Payment Dates:        In respect of:

                               Fixed Rate Notes - Each 31
                               January and 31 July of each
                               year   until   the   Maturity
                               Date,    with    the    first
                               Interest Payment Date being
                               31 July 2030 or, if such day
                               is not a Business Day, the
                               Business Day on which the
                               interest will be paid, as
                               determined    in   accordance
                               with the applicable Business
                               Day Convention (as specified
                               in this Applicable Pricing
                               Supplement)

                               Floating Rate Notes –

                               Each 31 January, 30 April,
                               31 July, 31 October of each
                               year until (and including)
                               31 January 2030 with the
                               first Interest Payment Date
                               being 30 April 2025, if such
                               day is not a Business Day,
                               the Business Day on which
                               the interest will be paid,
                               as determined in accordance
                               with the applicable Business
                               Day Convention (as specified
                               in this Applicable Pricing
                               Supplement)
Business Day Count/Convention:     Actual/365(Fixed)and
                                   Following Business Day.

Books Close:                        The Books Closed Period
                                    (during which the Register
                                    will be closed) will be
                                    from each 26 January, 25
                                    April, 26 July and 26
                                    October,     until      the
                                    applicable Interest Payment
                                    Date.

Last day to register:               17h00 on 25 January, 24
                                    April, 25 July and 25
                                    October of each year, or if
                                    such day is not a Business
                                    Day,   the   Business   Day
                                    before each Books Closed
                                    Period.


Placement Agent:                   The Standard Bank of South
                                   Africa Limited
Debt Security subject
to guarantee; security
or credit enhancement:             Not Applicable

Additional Terms and Conditions: Investors should study the
Pricing Supplement for full details of the specific terms and
conditions applicable to this specific issuance.

Notes will be deposited in the Central Depository ("CSD") and
settlement will take place electronically in terms of JSE Rules.

Dated 21 February 2025
Sponsor – The Standard Bank of South Africa Limited
For further information on the Notes issued please contact:
Johann Erasmus           SBSA (Sponsor)
Email: johann.erasmus@standardbank.co.za

Date: 21-02-2025 01:40:00
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