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THE STANDARD BANK OF SOUTH AFRICA LIMITED - Notification of Interest Amounts

Wrap Text
Notification of Interest Amounts

The Standard Bank of South Africa Limited
(Registration number 1962/000738/06)
Incorporated in the Republic of South Africa
Issuer Code: BISTDB


Bond Code:         CLN742              ISIN NO: ZAG000175910
Bond Code:         CLN785              ISIN NO: ZAG000182098
Bond Code:         CLN787              ISIN NO: ZAG000182304
Bond Code:         CLN796              ISIN NO: ZAG000168170
Bond Code:         CLN838              ISIN NO: ZAG000187097
Bond Code:         CLN849              ISIN NO: ZAG000187642
Bond Code:         CLN896              ISIN NO: ZAG000190794
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: ZAG0000107004
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: ZAG000194598
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:         SBC038              ISIN NO: ZAG000206251
Bond Code:         SBC041              ISIN NO: ZAG000206301
Bond Code:         SBC046              ISIN NO: ZAG000206533
Bond Code:         SBC052              ISIN NO: ZAG000206921
Bond Code:         SBC076              ISIN NO: ZAG000208612
Bond Code:         SBC079              ISIN NO: ZAG000209073
Bond Code:         SBC090              ISIN NO: ZAG000210444
Bond Code:         SBC106              ISIN NO: ZAG000212424
Bond Code:         SBC114              ISIN NO: ZAG000212689
Bond Code:         SBC115              ISIN NO: ZAG000212671
Bond Code:         SBC124              ISIN NO: ZAG000213315
Bond Code:         SBC160              ISIN NO: ZAG000216110
Bond Code:         SBC207              ISIN NO: ZAG000219866
Bond Code:         SBC212              ISIN NO: ZAG000220112
Bond Code:         CLN598              ISIN NO: ZAG000160912
Bond Code:         CLN666              ISIN NO: ZAG000167719
Bond Code:         CLN879              ISIN NO: ZAG000189010
Bond Code:         CLN880              ISIN NO: ZAG000189085
Bond Code:         CLN897              ISIN NO: ZAG000190786

(the "Issuer")
Notification of Interest Amounts

In accordance with 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
     CLN742                     31/12/2025                     10.570                     R 2 795 831.61
     CLN785                     31/12/2025                     10.000                      R 1 890 410.96
     CLN787                     31/12/2025                     10.000                      R 756 164.39
     CLN796                     31/12/2025                     10.000                      R 756 164.38
     CLN838                     31/12/2025                     10.000                     R 1 008 219.18
     CLN849                     31/12/2025                     10.000                     R 1 260 273.98
     CLN896                     31/12/2025                     10.000                     R 1 512 328.77
     CLN942                     31/12/2025                     10.000                     R 5 041 095.89
     CLN943                     31/12/2025                     10.000                     R 8 821 917.81
     CLN944                     31/12/2025                     10.000                     R 25 205 479.45
     CLN951                     31/12/2025                     10.000                     R 1 260 273.97
     CLN960                     31/12/2025                     10.000                     R 1 260 273.97
     CLN962                     31/12/2025                     10.000                      R 756 164.38
     CLN986                     31/12/2025                      8.625                     R 7 608 904.11
     CLN987                     31/12/2025                      8.675                     R 6 559 726.02
     CLN988                     31/12/2025                      8.700                     R 7 675 068.49
     CLN989                     31/12/2025                      8.750                     R 11 027 397.26
     CLN991                     31/12/2025                      8.800                     R 7 763 287.67
     CLN922                     31/12/2025                      8.850                     R 6 692 054.80
     CLN993                     31/12/2025                      8.900                     R 8 973 150.69
     SBC029                     31/12/2025                      9.500                     R 2 538 191.78
     SBC032                     31/12/2025                      9.500                     R 4 789 041.10
     SBC033                     31/12/2025                     10.000                     R 3 553 972.60
     SBC036                     31/12/2025                      9.500                     R 11 972 602.74
     SBC038                     31/12/2025                      8.930                     R 16 881 369.87
     SBC041                     31/12/2025                      9.500                     R 1 197 260.27
     SBC046                     31/12/2025                      9.200                     R 2 318 904.11
     SBC052                     31/12/2025                      9.500                      R 718 356.17
     SBC076                     31/12/2025                      9.135                     R 7 322 015.34
     SBC079                     31/12/2025                      8.700                     R 21 928 767.13
     SBC090                     31/12/2025                      8.580                      R 648 789.04
     SBC106                     31/12/2025                      9.300                      R 703 232.87
     SBC114                     31/12/2025                      8.270                      R 521 123.29
     SBC115                     31/12/2025                      9.000                     R 2 268 493.15
     SBC124                     31/12/2025                      8.800                     R 3 705 205.48
     SBC160                     31/12/2025                      8.490                     R 1 069 972.61
     SBC207                     31/12/2025                      8.800                     R 8 004 383.57
     SBC212                     31/12/2025                      8.708                     R 9 065 863.01
     CLN598                      2/1/2026                       9.000                     R 2 449 972.60
     CLN666                      2/1/2026                      10.150                     R 4 983 677.81
     CLN879                      2/1/2026                       9.000                     R 1 134 246.58
     CLN880                      2/1/2026                       8.950                     R 2 255 890.41
     CLN897                      2/1/2026                       8.550                     R 2 155 068.50



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 December 2025

Debt Sponsor: The Standard Bank of South Africa Limited

Date: 29-12-2025 12:56:00
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