ZA180 - Redemption of Fixed Rate Notes with Index Linked Redemption due 27 August 2025
ZA180 - Redemption of Fixed Rate Notes with Index Linked Redemption due 27 August 2025
BNP Paribas Issuance B.V.
(Incorporated in the Netherlands)
Structured Product Issuer Code: BNPPP
Guarantor: BNP Paribas (incorporated in France on 23 May 2000)
JSE Stock Code: ZA180
ISIN: ZAE000287033
Series: EI0695BRD
("BNP")
Redemption Of Fixed Rate Notes with Index Linked Redemption due 27 August 2025
Holders of the BNP Fixed Rate Notes with Index Linked Redemption due 27 August 2025 are hereby advised that
advised that the final redemption amount is to be paid on Thursday, 27 August 2025 and the rate will be announced on
or before Thursday, 21 August 2025.
The salient dates relating to this redemption are as follows:
2025
Last date to trade Thursday, 21 August
Suspension date Friday, 22 August
Record Date Tuesday, 26 August
Payment/Redemption Date Wednesday, 27 August
Termination date Thursday, 28 August
Johannesburg
06 August 2025
Debt Sponsor
The Standard Bank of South Africa Limited
Date: 07-08-2025 07:05:00
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