Not logged in
  Home   Markets   Shares   Funds   Portfolio   Toolbox   Charting   Alerts   Directory   
 Admin   

Fri 30 May 2025, 13:00 Interest payments: RDFB21 RDFB28 RDFB29 RDFB34 RDFB35 RDFB36 RDFB40 RDFB41 RDFB42 RDFG01 RDFG02 RDFG03 RDFG04
Interest payments: RDFB21 RDFB28 RDFB29 RDFB34 RDFB35 RDFB36 RDFB40 RDFB41 RDFB42 RDFG01 RDFG02 RDFG03 RDFG04

REDEFINE PROPERTIES LIMITED
(Incorporated in the Republic of South Africa)
(Registration no: 1999/018591/06)
Company code: BIRDF
LEI: 37890061EC026A7DA532
(Approved as a REIT by the JSE)


INTEREST PAYMENT NOTIFICATIONS: RDFB21, RDFB28, RDFB29, RDFB34, RDFB35, RDFB36, RDFB40, RDFB41, 
RDFB42, RDFG01, RDFG02, RDFG03 AND RDFG04


In accordance with the terms and conditions of the R30 000 000 000 Domestic Medium-Term Note
Programme dated 20 July 2021, noteholders are advised of the following information in respect of
interest payments:

 Bond code:                            RDFB21
 ISIN:                                 ZAG000157959
 Interest period:                      24 March 2025 to 22 June 2025
 Coupon rate:                          9.358%
 Capital amount due:                   -
 Interest amount due:                  R 3 966 253.70
 Interest payment date:                23 June 2025
 Date convention:                      Following business day*

 Bond code:                            RDFB28
 ISIN:                                 ZAG000203928
 Interest period:                      14 March 2025 to 16 June 2025
 Coupon rate:                          9.048%
 Capital amount due:                   -
 Interest amount due:                  R 8 878 195.07
 Interest payment date:                17 June 2025
 Date convention:                      Following business day*

 Bond code:                            RDFB29
 ISIN:                                 ZAG000203936
 Interest period:                      14 March 2025 to 16 June 2025
 Coupon rate:                          9.208%
 Capital amount due:                   -
 Interest amount due:                  R 9 682 275.07
 Interest payment date:                17 June 2025
 Date convention:                      Following business day*

 Bond code:                            RDFB34
 ISIN:                                 ZAG000208083
 Interest period:                      3 March 2025 to 1 June 2025
 Coupon rate:                          8.828%
 Capital amount due:                   -
 Interest amount due:                  R 9 133 956.71
 Interest payment date:                2 June 2025
 Date convention:                      Following business day*

 Bond code:                            RDFB35
 ISIN:                                 ZAG000208091
 Interest period:                      3 March 2025 to 1 June 2025
 Coupon rate:                          9.008%
 Capital amount due:                   -
 Interest amount due:                  R 3 031 870.68
 Interest payment date:                2 June 2025
 Date convention:                      Following business day*

 Bond code:                            RDFB36
 ISIN:                                 ZAG000208109
 Interest period:                      3 March 2025 to 1 June 2025
 Coupon rate:                          9.208%
 Capital amount due:                   -
 Interest amount due:                  R 8 034 926.03
 Interest payment date:                2 June 2025
 Date convention:                      Following business day*

 Bond code:                            RDFB40
 ISIN:                                 ZAG000212325
 Interest period:                      3 March 2025 to 1 June 2025
 Coupon rate:                          8.748%
 Capital amount due:                   -
 Interest amount due:                  R 6 543 024.66
 Interest payment date:                2 June 2025
 Date convention:                      Following business day*

 Bond code:                            RDFB41
 ISIN:                                 ZAG000212333
 Interest period:                      3 March 2025 to 1 June 2025
 Coupon rate:                          8.958%
 Capital amount due:                   -
 Interest amount due:                  R 11 166 821.92
 Interest payment date:                2 June 2025
 Date convention:                      Following business day*

 Bond code:                            RDFB42
 ISIN:                                 ZAG000213067
 Interest period:                      3 March 2025 to 1 June 2025
 Coupon rate:                          9.158%
 Capital amount due:                   -
 Interest amount due:                  R 13 014 396.16
 Interest payment date:                2 June 2025
 Date convention:                      Following business day*

 Bond code:                            RDFG01
 ISIN:                                 ZAG000190083
 Interest period:                      24 March 2025 to 22 June 2025
 Coupon rate:                          9.108%
 Capital amount due:                   -
 Interest amount due:                  R 3 269 896.77
 Interest payment date:                23 June 2025
 Date convention:                      Following business day*

 Bond code:                            RDFG02
 ISIN:                                 ZAG000190075
 Interest period:                      24 March 2025 to 22 June 2025
 Coupon rate:                          9.238%
 Capital amount due:                   -
 Interest amount due:                  R 11 838 307.18
 Interest payment date:                23 June 2025
 Date convention:                      Following business day*

 Bond code:                            RDFG03
 ISIN:                                 ZAG000190067
 Interest period:                      24 March 2025 to 22 June 2025
 Coupon rate:                          9.558%
 Capital amount due:                   -
 Interest amount due:                  R 8 149 700.71
 Interest payment date:                23 June 2025
 Date convention:                      Following business day*

 Bond code:                            RDFG04
 ISIN:                                 ZAG000190059
 Interest period:                      24 March 2025 to 22 June 2025
 Coupon rate:                          9.858%
 Capital amount due:                   -
 Interest amount due:                  R 12 288 739.73
 Interest payment date:                23 June 2025
 Date convention:                      Following business day*

* When the interest payment date falls on a non-business day, such interest payment will be paid on
  the first business day after the weekend or public holiday.

30 May 2025


Debt sponsor
Java Capital

Date: 30-05-2025 01:00:00
Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE'). 
The JSE does not, whether expressly, tacitly or implicitly, represent, warrant or in any way guarantee the truth, accuracy or completeness of
 the information published on SENS. The JSE, their officers, employees and agents accept no liability for (or in respect of) any direct, 
indirect, incidental or consequential loss or damage of any kind or nature, howsoever arising, from the use of SENS or the use of, or reliance on,
 information disseminated through SENS.
Profile Group (Pty) Ltd. has taken care in preparing all information on this website, but does not accept any liability for errors or out-of-date information.
Other Profile Group sites: FundsData Online (unit trust data)  |  Profile Group corporate site
Terms of Use |  Privacy Policy |  PAIA manual |  FAQs/Help |  Site Map |  © Copyright Reserved 2026  ]
  


Powered by ProfileData


Follow us on: