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Thu 27 Mar 2025, 7:05 Notification of interest amounts
Notification of interest amounts

The Standard Bank of South Africa Limited
Incorporated in the Republic of South Africa
Bond Code: CLN702       ISIN No: ZAG000169590
Bond Code: CLN785       ISIN No: ZAG000182098
Bond Code: CLN787       ISIN No: ZAG000182304
Bond Code: CLN796       ISIN No: ZAG000184060
Bond Code: CLN821       ISIN No: ZAG000185661
Bond Code: CLN838       ISIN No: ZAG000187097
Bond Code: CLN847       ISIN No: ZAG000187717
Bond Code: CLN848       ISIN No: ZAG000187675
Bond Code: CLN849       ISIN No: ZAG000187642
Bond Code: CLN896       ISIN No: ZAG000190794
Bond Code: CLN899       ISIN No: ZAG000191222
Bond Code: CLN900       ISIN No: ZAG000191263
Bond Code: CLN942       ISIN No: ZAG000195504
Bond Code: CLN943       ISIN No: ZAG000195447
Bond Code: CLN944       ISIN No: ZAG000195702
Bond Code: CLN951       ISIN No: ZAG000196122
Bond Code: CLN960       ISIN No: ZAG000197211
Bond Code: CLN962       ISIN No: ZAG000198086
Bond Code: CLN986       ISIN No: ZAG000200155
Bond Code: CLN987       ISIN No: ZAG000200205
Bond Code: CLN988       ISIN No: ZAG000200262
Bond Code: CLN989       ISIN No: ZAG000200270
Bond Code: CLN991       ISIN No: ZAG000201088
Bond Code: CLN992       ISIN No: ZAG000201062
Bond Code: CLN993       ISIN No: ZAG000201112
Bond Code: SBC029       ISIN No: ZAG000204884
Bond Code: SBC032       ISIN No: ZAG000205923
Bond Code: SBC033       ISIN No: ZAG000205881
Bond Code: SBC036       ISIN No: ZAG000206269
Bond Code: SBC041       ISIN No: ZAG000206301
Bond Code: SBC046       ISIN No: ZAG000206533
Bond Code: SBC047       ISIN No: ZAG000206442
Bond Code: SBC052       ISIN No: ZAG000206921
Bond Code: SBC076       ISIN No: ZAG000208612
Bond Code: SBC079       ISIN No: ZAG000209073
Bond Code: SBC085       ISIN No: ZAG000209636
Bond Code: SBC090       ISIN No: ZAG000210444
Bond Code: SBC114       ISIN No: ZAG000212689
Bond Code: SBC115       ISIN No: ZAG000212671
(the "Issuer")

Notification of Interest Amounts

In accordance with paragraph 4.18(b) of the JSE Limited Debt and Specialist Securities Listings
Requirements, noteholders are hereby advised of the interest amounts details as follows:
                  Interest Payment                     Total Interest Amounts in respect of
Instrument Code                      Interest Rate %
                        Date                               Aggregate Nominal Amount

    CLN702           2025/03/31           8.250                   R 2,475,000.00

    CLN785           2025/03/31          10.750                   R 1,988,013.70

    CLN787           2025/03/31          10.750                    R 795,205.48

    CLN796           2025/03/31          10.750                    R 795,205.48

    CLN821           2025/03/31          10.750                   R 2,915,753.42

    CLN838           2025/03/31          10.750                   R 1,060,273.97

    CLN847           2025/03/31          10.750                   R 1,325,342.47

    CLN848           2025/03/31          10.750                   R 1,325,342.47

    CLN849           2025/03/31          10.750                   R 1,325,342.47

    CLN896           2025/03/31          10.750                   R 1,590,410.96

    CLN899           2025/03/31           6.250                   R 1,875,000.00

    CLN900           2025/03/31           6.250                   R 1,718,750.00

    CLN942           2025/03/31          10.750                   R 5,301,369.86

    CLN943           2025/03/31          10.750                   R 9,277,397.26

    CLN944           2025/03/31          10.750                   R 26,506,849.32

    CLN951           2025/03/31          10.750                   R 1,325,342.47

    CLN960           2025/03/31          10.750                   R 1,325,342.47

    CLN962           2025/03/31          10.750                    R 795,205.48

    CLN986           2025/03/31           9.375                   R 8,090,753.42

    CLN987           2025/03/31           9.425                   R 6,971,917.81

    CLN988           2025/03/31           9.450                   R 8,155,479.45

    CLN989           2025/03/31           9.500                   R 11,712,328.77

    CLN991           2025/03/31           9.550                   R 8,241,780.82

    CLN992           2025/03/31           9.600                   R 7,101,369.86

    CLN993           2025/03/31           9.650                   R 9,517,808.22
   
    SBC029           2025/03/31          10.250                   R 2,679,041.10

    SBC032           2025/03/31          10.250                   R 5,054,794.52

    SBC033           2025/03/31          10.75                    R 3,737,465.75

    SBC036           2025/03/31          10.250                   R 12,636,986.30

    SBC041           2025/03/31          10.250                   R 1,263,698.63

    SBC046           2025/03/31          9.950                    R 2,453,424.66

    SBC047           2025/03/31          9.440                     R 698,301.37

    SBC052           2025/03/31          10.25                     R 758,219.18

    SBC076           2025/03/31          9.885                    R 7,750,923.29

    SBC079           2025/03/31          9.450                    R 23,301,369.86

    SBC085           2025/03/31          9.330                     R 920,219.18

    SBC090           2025/03/31          9.330                     R 690,164.38

    SBC114           2025/03/31          8.828                     R 241,863.01

    SBC115           2025/03/31          9.558                    R 1,047,452.05



Further details of each of these notes may be obtained from the Applicable Pricing Supplements
applicable thereto which can be viewed at or downloaded from the Issuer's website:

www.standardbank.co.za


Johannesburg
26 March 2025

Debt Sponsor: The Standard Bank of South Africa Limited
debtsponsor@standardbank.co.za

Date: 27-03-2025 07:05:00
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