To view the PDF file, sign up for a MySharenet subscription.

AMBER HOUSE FUND 6 (RF) LIMITED - Amber House Fund 6 (RF) Limited - New Financial Instruments Listing

Release Date: 13/08/2026 11:30
Code(s): AH6A21 AHF6O1 AH6A11 AMF6D1 AMF6B1 AMF6C1     PDF:  
Wrap Text
Amber House Fund 6 (RF) Limited - New Financial Instruments Listing

Amber House Fund 6 (RF) Limited
(Registration number 2019/292306/06)
(the "Issuer")
Issuer Code: AMFI
Bond Code: AH6A11
ISIN No: ZAG000227000
Bond Code: AH6A21
ISIN No: ZAG000227018
Bond Code: AHF6O1
ISIN No: ZAG000227026
Bond Code: AMF6B1
ISIN No: ZAG000227034
Bond Code: AMF6C1
ISIN No: ZAG000227042
Bond Code: AMF6D1
ISIN No: ZAG000227059

NEW FINANCIAL INSTRUMENTS LISTING

The JSE Limited ("JSE") has granted listings to Amber House Fund 6 (RF) Limited's AH6A11,
AH6A21, AHF6O1, AMF6B1, AMF6C1 & AMF6D1 financial instruments. The Applicable Pricing
Supplements must be read in conjunction with the Issuer's ZAR4,000,000,000 Asset Backed Note
Programme ("Programme") registered with the JSE on 15 July 2026.

Authorised Programme size                      ZAR4,000,000,000.00
Total notes in issue                           ZAR1,500,000,000.00 (Including these tranches)


INSTRUMENT TYPE                                FLOATING RATE NOTES

Full note details are set out below:

Bond Code                                      AH6A11
Nominal Value                                  ZAR450,000,000.00
Issue price                                    100%
Coupon                                         1.02% plus 3 month ZAR-JIBAR-SAFEX
Coupon Step-Up Rate                            1.33% plus 3 month ZAR-JIBAR-SAFEX
Coupon Rate Indicator                          Floating
Trade Type                                     Price
Issue Date                                     17 August 2026
Interest Commencement Date                     Issue Date
Last day to register                           Close of business on the Business Day immediately
                                               preceding the first day of a Books Closed Period
Books Closed Period                            The periods 16 February to 20 February, 16 May to 20 May,
                                               16 August to 20 August and 16 November to 20 November
                                               of each calendar year
Interest Rate Determination Dates              In respect of the first Interest Period, 17 August 2026, and
                                               thereafter the 21st day of February, May, August and
                                               November of each calendar year, as adjusted in
                                               accordance with the applicable Business Day Convention
Interest Payment Dates                         21 November, 21 February, 21 May and 21 August. The first
                                               Interest Payment Date shall be 21 November 2026
Coupon Step-Up Date                            21 August 2029
Maturity Date                                  21 August 2063
Date Convention                                Following Business Day
ISIN No                                        ZAG000227000
Additional Information                         Secured Class A1 Floating Rate Note


Full note details are set out below:

Bond Code                                      AH6A21
Nominal Value                                  ZAR717,000,000.00
Issue price                                    100%
Coupon                                         1.15% plus 3 month ZAR-JIBAR-SAFEX
Coupon Step-Up Rate                            1.50% plus 3 month ZAR-JIBAR-SAFEX
Coupon Rate Indicator                          Floating
Trade Type                                     Price
Issue Date                                     17 August 2026
Interest Commencement Date                     Issue Date
Last day to register                           Close of business on the Business Day immediately
                                               preceding the first day of a Books Closed Period
Books Closed Period                            The periods 16 February to 20 February, 16 May to 20 May,
                                               16 August to 20 August and 16 November to 20 November
                                               of each calendar year
Interest Rate Determination Dates              In respect of the first Interest Period, 17 August 2026, and
                                               thereafter the 21st day of February, May, August and
                                               November of each calendar year, as adjusted in
                                               accordance with the applicable Business Day Convention
Interest Payment Dates                         21 November, 21 February, 21 May and 21 August. The first
                                               Interest Payment Date shall be 21 November 2026
Coupon Step-Up Date                            21 August 2031
Maturity Date                                  21 August 2063
Date Convention                                Following Business Day
ISIN No                                        ZAG000227018
Additional Information                         Secured Class A2 Floating Rate Note


Full note details are set out below:

Bond Code                                      AHF6O1
Nominal Value                                  ZAR120,000,000.00
Issue price                                    100%
Coupon                                         0.50% plus 3 month ZAR-JIBAR-SAFEX
Coupon Rate Indicator                          Floating
Trade Type                                     Price
Issue Date                                     17 August 2026
Interest Commencement Date                     Issue Date
Last day to register                           Close of business on the Business Day immediately
                                               preceding the first day of a Books Closed Period
Books Closed Period                            The periods 16 February to 20 February, 16 May to 20 May,
                                               16 August to 20 August and 16 November to 20 November
                                               of each calendar year
Interest Rate Determination Dates              In respect of the first Interest Period, 17 August 2026, and
                                               thereafter the 21st day of February, May, August and
                                               November of each calendar year, as adjusted in
                                               accordance with the applicable Business Day Convention
Interest Payment Dates                         21 November, 21 February, 21 May and 21 August. The first
                                               Interest Payment Date shall be 21 November 2026
Maturity Date                                  21 August 2027
Date Convention                                Following Business Day
ISIN No                                        ZAG000227026
Additional Information                         Secured Class Omega Floating Rate Note


Full note details are set out below:

Bond Code                                      AMF6B1
Nominal Value                                  ZAR75,000,000.00
Issue price                                    100%
Coupon                                         1.29% plus 3 month ZAR-JIBAR-SAFEX
Coupon Step-Up Rate                            1.68% plus 3 month ZAR-JIBAR-SAFEX
Coupon Rate Indicator                          Floating
Trade Type                                     Price
Issue Date                                     17 August 2026
Interest Commencement Date                     Issue Date
Last day to register                           Close of business on the Business Day immediately
                                               preceding the first day of a Books Closed Period
Books Closed Period                            The periods 16 February to 20 February, 16 May to 20 May,
                                               16 August to 20 August and 16 November to 20 November
                                               of each calendar year
Interest Rate Determination Dates              In respect of the first Interest Period, 17 August 2026, and
                                               thereafter the 21st day of February, May, August and
                                               November of each calendar year, as adjusted in
                                               accordance with the applicable Business Day Convention
Interest Payment Dates                         21 November, 21 February, 21 May and 21 August. The first
                                               Interest Payment Date shall be 21 November 2026
Coupon Step-Up Date                            21 August 2031
Maturity Date                                  21 August 2063
Date Convention                                Following Business Day
ISIN No                                        ZAG000227034
Additional Information                         Secured Class B Floating Rate Note


Full note details are set out below:

Bond Code                                      AMF6C1
Nominal Value                                  ZAR75,000,000.00
Issue price                                    100%
Coupon                                         1.58% plus 3 month ZAR-JIBAR-SAFEX
Coupon Step-Up Rate                            1.58% plus 3 month ZAR-JIBAR-SAFEX
Coupon Rate Indicator                          Floating
Trade Type                                     Price
Issue Date                                     17 August 2026
Interest Commencement Date                     Issue Date
Last day to register                           Close of business on the Business Day immediately
                                               preceding the first day of a Books Closed Period
Books Closed Period                            The periods 16 February to 20 February, 16 May to 20 May,
                                               16 August to 20 August and 16 November to 20 November
                                               of each calendar year
Interest Rate Determination Dates              In respect of the first Interest Period, 17 August 2026, and
                                               thereafter the 21st day of February, May, August and
                                               November of each calendar year, as adjusted in
                                               accordance with the applicable Business Day Convention
Interest Payment Dates                         21 November, 21 February, 21 May and 21 August. The first
                                               Interest Payment Date shall be 21 November 2026
Coupon Step-Up Date                            21 August 2031
Maturity Date                                  21 August 2063
Date Convention                                Following Business Day
ISIN No                                        ZAG000227042
Additional Information                         Secured Class C Floating Rate Note


Full note details are set out below:

Bond Code                                      AMF6D1
Nominal Value                                  ZAR63,000,000.00
Issue price                                    100%
Coupon                                         2.45% plus 3 month ZAR-JIBAR-SAFEX
Coupon Step-Up Rate                            2.45% plus 3 month ZAR-JIBAR-SAFEX
Coupon Rate Indicator                          Floating
Trade Type                                     Price
Issue Date                                     17 August 2026
Interest Commencement Date                     Issue Date
Last day to register                           Close of business on the Business Day immediately
                                               preceding the first day of a Books Closed Period
Books Closed Period                            The periods 16 February to 20 February, 16 May to 20 May,
                                               16 August to 20 August and 16 November to 20 November
                                               of each calendar year
Interest Rate Determination Dates              In respect of the first Interest Period, 17 August 2026, and
                                               thereafter the 21st day of February, May, August and
                                               November of each calendar year, as adjusted in
                                               accordance with the applicable Business Day Convention
Interest Payment Dates                         21 November, 21 February, 21 May and 21 August. The first
                                               Interest Payment Date shall be 21 November 2026
Coupon Step-Up Date                            21 August 2031
Maturity Date                                  21 August 2063
Date Convention                                Following Business Day
ISIN No                                        ZAG000227059
Additional Information                         Secured Class D Floating Rate Note



Guarantee/Credit Enhancement             The Issuer's obligations under the notes issued is secured by a
                                         limited recourse guarantee issued by The Amber House Fund 6
                                         Security SPV (RF) Pty Limited. For information regarding credit,
                                         please refer to the Programme Memorandum which can be found
                                         at www.sahomeloans.com/investors


13 August 2026

Debt Sponsor: Absa Bank Limited, acting through its Corporate and Investment Banking Division

Date: 13-08-2026 11:30:00
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.