| Tue 29 Apr 2025, 14:50 | | Notification of Interest Amounts |
|
Notification of Interest Amounts
The Standard Bank of South Africa Limited
Incorporated in the Republic of South Africa
Bond Code: CLN627 ISIN NO: ZAG000164351
Bond Code: CLN743 ISIN NO: ZAG000176025
Bond Code: CLN744 ISIN NO: ZAG000176330
Bond Code: CLN745 ISIN NO: ZAG000176140
Bond Code: CLN748 ISIN NO: ZAG000176603
Bond Code: CLN755 ISIN NO: ZAG000177783
Bond Code: CLN767 ISIN NO: ZAG000179615
Bond Code: CLN774 ISIN NO: ZAG000180738
Bond Code: CLN779 ISIN NO: ZAG000181595
Bond Code: CLN780 ISIN NO: ZAG000181686
Bond Code: CLN783 ISIN NO: ZAG000181991
Bond Code: CLN784 ISIN NO: ZAG000182072
Bond Code: CLN788 ISIN NO: ZAG000182551
Bond Code: CLN789 ISIN NO: ZAG000182668
Bond Code: CLN790 ISIN NO: ZAG000183336
Bond Code: CLN791 ISIN NO: ZAG000183369
Bond Code: CLN794 ISIN NO: ZAG000183625
Bond Code: CLN795 ISIN NO: ZAG000183732
Bond Code: CLN797 ISIN NO: ZAG000184078
Bond Code: CLN798 ISIN NO: ZAG000184086
Bond Code: CLN799 ISIN NO: ZAG000184094
Bond Code: CLN800 ISIN NO: ZAG000184185
Bond Code: CLN804 ISIN NO: ZAG000184243
Bond Code: CLN806 ISIN NO: ZAG000184433
Bond Code: CLN808 ISIN NO: ZAG000184631
Bond Code: CLN815 ISIN NO: ZAG000185000
Bond Code: CLN816 ISIN NO: ZAG000185315
Bond Code: CLN817 ISIN NO: ZAG000185414
Bond Code: CLN818 ISIN NO: ZAG000185489
Bond Code: CLN820 ISIN NO: ZAG000185653
Bond Code: CLN823 ISIN NO: ZAG000185901
Bond Code: CLN824 ISIN NO: ZAG000186156
Bond Code: CLN825 ISIN NO: ZAG000186164
Bond Code: CLN826 ISIN NO: ZAG000186180
Bond Code: CLN827 ISIN NO: ZAG000186289
Bond Code: CLN829 ISIN NO: ZAG000186438
Bond Code: CLN830 ISIN NO: ZAG000186461
Bond Code: CLN832 ISIN NO: ZAG000186727
Bond Code: CLN833 ISIN NO: ZAG000186776
Bond Code: CLN850 ISIN NO: ZAG000187634
Bond Code: CLN860 ISIN NO: ZAG000188350
Bond Code: CLN869 ISIN NO: ZAG000188475
Bond Code: CLN870 ISIN NO: ZAG000188657
Bond Code: CLN871 ISIN NO: ZAG000188624
Bond Code: CLN878 ISIN NO: ZAG000188913
Bond Code: CLN882 ISIN NO: ZAG000189101
Bond Code: CLN883 ISIN NO: ZAG000189390
Bond Code: CLN912 ISIN NO: ZAG000193145
Bond Code: CLN928 ISIN NO: ZAG000194895
Bond Code: CLN972 ISIN NO: ZAG000199209
Bond Code: CLN973 ISIN NO: ZAG000199225
Bond Code: CLN974 ISIN NO: ZAG000199217
Bond Code: CLN975 ISIN NO: ZAG000199241
Bond Code: CLN976 ISIN NO: ZAG000199399
Bond Code: CLN977 ISIN NO: ZAG000199407
(the "Issuer")
("("BISTDB")
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:
Instrument Interest Payment date Interest rate % Total amount in respect of aggregate
Code amount
CLN627 30/04/2025 10,353 R 11,359,935.62
CLN743 30/04/2025 9,318 R 5,802,841.94
CLN744 30/04/2025 10,39 R10,133,808.22
CLN745 30/04/2025 10 R975,342.47
CLN748 30/04/2025 10,08 R7,865,161.64
CLN755 30/04/2025 9,308 R34,044,328.77
CLN767 30/04/2025 8,37 R 1,020,452.05
CLN774 30/04/2025 10,773 R 7,830,613.31
CLN779 30/04/2025 9,558 R349,587.12
CLN780 30/04/2025 9,608 R 562,265.42
CLN783 30/04/2025 9,858 R 288,447.78
CLN784 30/04/2025 9,968 R 340,277.48
CLN788 30/04/2025 10,558 R 1,287,208.22
CLN789 30/04/2025 10,558 R 20,595,331.51
CLN790 30/04/2025 9,32 R568,136.99
CLN791 30/04/2025 9,39 R 12,592,890.41
CLN794 30/04/2025 9,21 R 1,179,006.16
CLN795 30/04/2025 9,28 R 678,838.36
CLN797 30/04/2025 8,94 R 1,089,945.21
CLN798 30/04/2025 9,21 R 1,347,435.62
CLN799 30/04/2025 10,608 R 517,321.64
CLN800 30/04/2025 10,608 R 517,321.64
CLN804 30/04/2025 9,638 R47,001,753.42
CLN806 30/04/2025 10,658 R 12,994,000.00
CLN808 30/04/2025 9,958 R 6,070,287.67
CLN815 30/04/2025 9,27 R971,953.15
CLN816 30/04/2025 10,558 R 3,861,624.66
CLN817 30/04/2025 10,658 R 3,898,200.00
CLN818 30/04/2025 9,558 R 7,504,470.25
CLN820 30/04/2025 10,558 R 1,029,766.58
CLN823 30/04/2025 12,862 R 1,411,296.16
CLN824 30/04/2025 10,558 R 1,287,208.22
CLN825 30/04/2025 10,558 R 514,883.29
CLN826 30/04/2025 10,558 R 1,287,208.22
CLN827 30/04/2025 10,558 R12,872,082.19
CLN829 30/04/2025 9,4 R 2,292,054.79
CLN830 30/04/2025 9,442 R 460,459.18
CLN832 30/04/2025 10,558 R772,324.93
CLN833 30/04/2025 9,65 R1,176,506.85
CLN850 30/04/2025 11,03 R1,075,802.74
CLN860 30/04/2025 10,558 R 514,883.29
CLN869 30/04/2025 9,358 R 11,409,068.49
CLN870 30/04/2025 9,458 R 11,530,986.30
CLN871 30/04/2025 9,408 R11,470,027.40
CLN878 30/04/2025 9,338 R 1,024,621.64
CLN882 30/04/2025 9,308 R 2,269,621.92
CLN883 30/04/2025 10.558 R 772,324.93
CLN912 30/04/2025 10,558 R 996,299.16
CLN928 30/04/2025 10,558 R 952,534.08
CLN972 30/04/2025 9,558 R 1,281,819.45
CLN973 30/04/2025 9,708 R 1,301,935.89
CLN974 30/04/2025 9,858 R 961,492.60
CLN975 30/04/2025 9,658 R 23,549,643.83
CLN976 30/04/2025 9,218 R 8,990,706.85
CLN977 30/04/2025 9,318 R 2,726,472.33
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
29 April 2025
Debt Sponsor: The Standard Bank of South Africa Limited
debtsponsor@standardbank.co.za
Date: 29-04-2025 02:50:00
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