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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
STANDARD BANK GROUP LIMITED
Registration number 1969/017128/06
Incorporated in the Republic of South Africa
Issuer code: SBKI
Bond Code SBC088 ISIN ZAG000210295
Bond Code CLN908 ISIN ZAG000192030
Bond Code CLN996 ISIN ZAG000201443
Bond Code CLN981 ISIN ZAG000199878
Bond Code CLN967 ISIN ZAG000198847
Bond Code CLN932 ISIN ZAG000195173
Bond Code CLN915 ISIN ZAG000194002
Bond Code SBC062 ISIN ZAG000207598
Bond Code SBC061 ISIN ZAG000207606
Bond Code CLN616 ISIN ZAG000163163
Bond Code SBC140 ISIN ZAG000214537
Bond Code SBC084 ISIN ZAG000209420
Bond Code CLN655 ISIN ZAG000167230
Bond Code SST204 ISIN ZAG000203779
Bond Code SBT209 ISIN ZAG000177353
Bond Code SBS67 ISIN ZAG000160490
Bond Code SSN017 ISIN ZAG000108473
Bond Code CLN990 ISIN ZAG000200296
Bond Code SBC007 ISIN ZAG000202474
Bond Code SBC081 ISIN ZAG000209164
Bond Code SBC219 ISIN ZAG000221466
Bond Code CLN923 ISIN ZAG000194812
Bond Code CLN934 ISIN ZAG000194952
Bond Code CLN929 ISIN ZAG000195058
Bond Code SBC161 ISIN ZAG000216318
Bond Code CLN913 ISIN ZAG000193152
Bond Code SBC083 ISIN ZAG000209388
Bond Code CLN980 ISIN ZAG000197534
Bond Code CLN865 ISIN ZAG000188426
Bond Code CLN940 ISIN ZAG000195231
Bond Code CLN862 ISIN ZAG000188343
Bond Code SBC122 ISIN ZAG000213190
Bond Code SBC154 ISIN ZAG000215047
Bond Code SBC189 ISIN ZAG000218066
Bond Code CLN866 ISIN ZAG000188442
Bond Code CLN918 ISIN ZAG000194333
Bond Code CLN969 ISIN ZAG000198649
Bond Code CLN926 ISIN ZAG000194796
Bond Code SBC208 ISIN ZAG000220021
Bond Code SBC009 ISIN ZAG000202680
Bond Code CLN852 ISIN ZAG000187873
Bond Code CLN956 ISIN ZAG000196932
Bond Code SBC100 ISIN ZAG000212226
Bond Code CLN937 ISIN ZAG000195124
Bond Code SBC119 ISIN ZAG000213075
Bond Code CLN949 ISIN ZAG000195850
Bond Code CLN984 ISIN ZAG000200015
Bond Code SBC015 ISIN ZAG000203787
Bond Code SBC027 ISIN ZAG000204587
Bond Code CLN963 ISIN ZAG000198227
Bond Code SBC132 ISIN ZAG000213778
Bond Code SBC157 ISIN ZAG000215765
Bond Code SBC128 ISIN ZAG000213646
Bond Code CLN853 ISIN ZAG000187931
Bond Code CLN950 ISIN ZAG000195900
Bond Code CLN971 ISIN ZAG000198920
Bond Code SBC096 ISIN ZAG000211996
Bond Code SBC146 ISIN ZAG000214735
Bond Code SBC082 ISIN ZAG000209156
Bond Code SBC204 ISIN ZAG000219395
Bond Code CLN891 ISIN ZAG000190489
Bond Code CLN768 ISIN ZAG000180126
Bond Code CLN901 ISIN ZAG000191271
Bond Code CLN938 ISIN ZAG000195116
Bond Code CLN909 ISIN ZAG000192048
Bond Code CLN968 ISIN ZAG000198763
Bond Code CLN933 ISIN ZAG000194945
Bond Code SBC022 ISIN ZAG000203985
Bond Code SBC125 ISIN ZAG000213430
Bond Code SBC155 ISIN ZAG000215021
Bond Code SBC184 ISIN ZAG000217910
Bond Code SBC221 ISIN ZAG000221482
Bond Code CLN839 ISIN ZAG000187071
Bond Code CLN902 ISIN ZAG000191289
Bond Code CLN769 ISIN ZAG000180274
Bond Code CLN892 ISIN ZAG000190638
Bond Code CLN945 ISIN ZAG000195595
Bond Code SBC051 ISIN ZAG000206830
Bond Code CLN947 ISIN ZAG000195686
Bond Code CLN957 ISIN ZAG000196726
Bond Code CLN994 ISIN ZAG000201229
Bond Code CLN903 ISIN ZAG000191412
Bond Code SBC164 ISIN ZAG000216847
Bond Code CLN983 ISIN ZAG000200106
Bond Code CLN941 ISIN ZAG000195256
Bond Code SBC105 ISIN ZAG000212275
Bond Code SBC148 ISIN ZAG000214743
Bond Code SBC048 ISIN ZAG000206558
Bond Code SBC220 ISIN ZAG000221441
Bond Code SBC097 ISIN ZAG000211988
Bond Code SBC060 ISIN ZAG000207556
Bond Code SBC063 ISIN ZAG000207580
Bond Code CLN894 ISIN ZAG000190687
Bond Code CLN948 ISIN ZAG000195785
Bond Code CLN982 ISIN ZAG000199985
Bond Code SBC152 ISIN ZAG000214875
Bond Code SBC011 ISIN ZAG000203233
Bond Code SBC145 ISIN ZAG000214594
Bond Code SBC025 ISIN ZAG000204215
Bond Code SBC008 ISIN ZAG000202672
Bond Code SBC217 ISIN ZAG000221177
Bond Code SBC218 ISIN ZAG000221458
Bond Code CLN916 ISIN ZAG000194192
Bond Code SBC192 ISIN ZAG000218132
Bond Code CLN914 ISIN ZAG000194044
Bond Code CLN874 ISIN ZAG000188806
Bond Code CLN952 ISIN ZAG000196239
Bond Code SBC205 ISIN ZAG000219577
Bond Code SBC226 ISIN ZAG000221540
Bond Code SBC222 ISIN ZAG000221581
Bond Code SBC224 ISIN ZAG000221565
Bond Code SBC227 ISIN ZAG000221532
Bond Code SBC225 ISIN ZAG000221557
Bond Code SBC223 ISIN ZAG000221573
Bond Code SBC030 ISIN ZAG000204934
Bond Code CLN861 ISIN ZAG000188368
Bond Code CLN890 ISIN ZAG000190562
Bond Code CLN854 ISIN ZAG000188111
Bond Code SBC216 ISIN ZAG000221078
Bond Code CLN997 ISIN ZAG000201880
Bond Code CLN855 ISIN ZAG000188103
Bond Code CLN924 ISIN ZAG000194804
Bond Code SBC058 ISIN ZAG000207242
Bond Code CLN925 ISIN ZAG000194853
Bond Code CLN927 ISIN ZAG000194861
Bond Code CLN970 ISIN ZAG000198789
Bond Code SBC006 ISIN ZAG000202565
Bond Code CLN935 ISIN ZAG000194978
Bond Code SBC196 ISIN ZAG000218405
Bond Code CLN955 ISIN ZAG000196320
Bond Code SBC162 ISIN ZAG000216417
Bond Code CLN936 ISIN ZAG000194986
Bond Code CLN954 ISIN ZAG000196221
Bond Code SBC078 ISIN ZAG000209065
Bond Code SBC190 ISIN ZAG000218090
Bond Code CLN953 ISIN ZAG000196213
Bond Code SBC221 ISIN ZAG000221482
(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 Code Interest Payment Date Interest rate % Total amount in respect
of aggregate amount
SBC088 22-Dec-25 8.567 R 10,679,410.95
CLN908 22-Dec-25 12.467 R 10,679,812.85
CLN996 22-Dec-25 10.64 R 10,785,753.42
SBC136 22-Dec-25 8.717 R 10,866,397.26
CLN981 22-Dec-25 14.783 R 11,056,873.97
CLN967 22-Dec-25 14.663 R 12,429,403.29
CLN932 22-Dec-25 10.867 R 13,546,534.24
SBC101 22-Dec-25 8.767 R 13,770,194.79
SBC014 22-Dec-25 8.767 R 14,207,343.84
CLN915 22-Dec-25 11.767 R 14,668,452.06
SBC062 22-Dec-25 12.3 R 14,962,191.78
SBC061 22-Dec-25 14.023 R 19,578,413.15
CLN616 22-Dec-25 10.717 R 20,445,452.18
SBC140 22-Dec-25 8.767 R 21,857,452.05
SBC084 22-Dec-25 8.892 R 22,169,095.89
CLN655 22-Dec-25 12.317 R 29,934,291.94
SST204 22-Dec-25 8.817 R 33,236,949.70
SBT209 29-Dec-25 9.1 R 39,068,169.86
SBS67 29-Dec-25 8.598 R 58,324,120.77
SSN017 22-Dec-25 10.5 R 65,541,000.00
CLN990 22-Dec-25 10.037 R 1,000,950.14
SBC007 22-Dec-25 10.167 R 1,013,914.52
SBC081 22-Dec-25 8.817 R 1,099,105.48
SBC219 22-Dec-25 9.133 R 1,106,769.47
CLN923 22-Dec-25 11.357 R 1,132,588.49
CLN934 22-Dec-25 9.683 R 1,207,058.90
CLN929 22-Dec-25 9.683 R 1,207,058.90
SBC161 22-Dec-25 9.097 R 1,247,410.55
CLN913 22-Dec-25 10.017 R 1,248,694.52
SBC083 23-Dec-25 9.008 R 1,272,637.09
CLN980 22-Dec-25 9.517 R 1,368,116.98
CLN961 22-Dec-25 11.017 R 1,373,352.05
CLN865 22-Dec-25 12.74 R 1,401,225.48
CLN940 22-Dec-25 12.017 R 1,498,009.59
CLN862 22-Dec-25 9.017 R 1,573,651.78
SBC122 22-Dec-25 8.697 R 1,626,219.86
SBC154 22-Dec-25 2.65 R 1,651,712.33
SBC189 22-Dec-25 9.267 R 1,732,802.05
CLN866 22-Dec-25 14.42 R 1,732,849.42
CLN918 22-Dec-25 9.077 R 1,810,426.30
CLN969 22-Dec-25 12.4 R 1,885,479.46
CLN926 22-Dec-25 10.817 R 1,887,788.77
SBC208 22-Dec-25 8.475 R 2,031,678.09
SBC009 22-Dec-25 8.817 R 2,198,210.96
CLN852 22-Dec-25 9.117 R 2,273,005.48
CLN956 22-Dec-25 9.117 R 2,273,005.48
SBC100 22-Dec-25 9.467 R 2,360,265.76
CLN937 22-Dec-25 7.75 R 2,415,239.73
SBC119 22-Dec-25 9.717 R 2,422,594.52
CLN949 22-Dec-25 10.517 R 2,622,046.58
CLN984 22-Dec-25 12.95 R 2,625,479.45
SBC015 22-Dec-25 8.747 R 2,660,525.87
SBC027 22-Dec-25 11.017 R 2,746,704.11
CLN963 22-Dec-25 13.6 R 2,757,260.27
SBC132 22-Dec-25 9.417 R 2,817,360.00
SBC157 22-Dec-25 9.817 R 2,937,031.23
SBC128 22-Dec-25 11.817 R 2,946,156.16
CLN853 22-Dec-25 9.537 R 2,972,147.26
CLN950 22-Dec-25 11.967 R 2,983,553.42
CLN971 22-Dec-25 10.167 R 3,041,743.56
SBC096 22-Dec-25 8.517 R 3,185,124.66
SBC146 22-Dec-25 13.217 R 3,295,197.26
SBC082 22-Dec-25 8.827 R 3,301,056.16
SBC204 22-Dec-25 10.758 R 3,315,821.92
CLN891 22-Dec-25 11.74 R 3,570,246.58
CLN768 23-Dec-25 9.628 R 3,600,608.22
CLN901 22-Dec-25 12.1 R 3,741,054.80
CLN938 22-Dec-25 12.017 R 3,745,023.98
CLN909 22-Dec-25 13.9 R 3,973,495.90
CLN968 22-Dec-25 10.767 R 4,295,000.55
CLN933 22-Dec-25 12.2 R 4,328,493.16
SBC022 22-Dec-25 8.817 R 4,396,421.91
SBC125 22-Dec-25 11.817 R 4,419,234.25
SBC155 22-Dec-25 11.117 R 4,434,616.99
SBC184 22-Dec-25 9.017 R 4,496,147.95
CLN839 22-Dec-25 9.047 R 4,511,106.85
CLN902 22-Dec-25 9.017 R 4,608,551.65
CLN769 23-Dec-25 9.558 R 4,765,906.85
CLN892 22-Dec-25 9.597 R 4,785,353.42
CLN945 22-Dec-25 10.067 R 5,019,709.59
SBC051 22-Dec-25 9.95 R 5,043,150.68
CLN947 22-Dec-25 10.217 R 5,094,504.11
CLN957 22-Dec-25 10.217 R 5,094,504.11
CLN994 22-Dec-25 10.367 R 5,169,298.62
CLN903 22-Dec-25 11.2 R 5,584,657.53
SBC164 22-Dec-25 11.217 R 5,593,134.25
CLN983 22-Dec-25 15.083 R 5,640,628.77
CLN941 22-Dec-25 11.567 R 5,767,654.79
SBC105 22-Dec-25 8.717 R 5,867,854.51
SBC148 22-Dec-25 9.917 R 6,181,143.83
SBC048 22-Dec-25 10.017 R 6,493,211.51
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
22 December 2025
Debt Sponsor: The Standard Bank of South Africa Limited
Date: 22-12-2025 11:29:00
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