COUPON PAYMENT NOTIFICATION FOR THE GS120C NOTES
GOLDMAN SACHS INTERNATIONAL
(incorporated with unlimited liability in England and Wales on 2 June 1988)
Structured Product Issuer Code: GDIP
(the Issuer)
THE GOLDMAN SACHS GROUP, INC.
(incorporated in the State of Delaware on 21 July 1998)
(as Guarantor)
Stock Code: GS120C
ISIN: ZAE000355525
COUPON PAYMENT NOTIFICATION FOR THE GS120C NOTES
Holders of the GS120C Notes are hereby advised of the coupon payment amount
details as follows:
Instrument Interest Interest Interest Rate in Total Amount
Code Payment Date Rate% Cents per Note to be paid
GS120C 27 May 2026 104.9725134% 104972.51345 cents R 104972513.45
Settlement will take place electronically in terms of JSE Rules.
The salient dates relating to this payment are as follows:
Last date to trade Thursday, 21 May 2026
Ex date Friday, 22 May 2026
Record Date Tuesday, 26 May 2026
Payment Date Wednesday, 27 May 2026
Applicable Pricing Supplement: www.goldmansachs.co.za/en/services
/pricingsupplements
Johannesburg
15 May 2026
Debt Sponsor: The Standard Bank of South Africa Limited
Date: 15-05-2026 01:55:00
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