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DAIMLER TRUCK SOUTHERN AFRICA LIMITED - DTF011 and DTF012 New Listing

Release Date: 25/06/2025 12:50
Code(s): DTF011 DTF012     PDF:  
Wrap Text
DTF011 and DTF012 New Listing

Daimler Truck Southern Africa Limited
(Registration number: 2018/300147/06)
Bond Issuer code: DAII
Bond code: DTF011 ISIN: ZAG000216409
Bond code: DTF012 ISIN: ZAG000216391
(the "Issuer")

New Listing Announcement – DTF011 and DTF012

The JSE Limited has granted a listing to Daimler Truck Southern Africa
Limited on Interest Rate Market with effect from 30 June 2025.

Total Notes in issue          R 12 724 000 000.00 (excluding current issues)

INSTRUMENT TYPE:              FLOATING RATE NOTES



Bond Code                     DTF011

Nominal Issued                R 559 000 000.00

Issue Price                   100%

Coupon                        3 Month JIBAR as at 23 June 2025 plus 52 bps

Coupon Rate Indicator         Floating

Trade Type                    Price

Final Maturity Date           30 June 2026

Books Close Date              25 September 2025 to 29 September 2025, 25
                              December 2025 to 29 December 2025, 25 March
                              2026 to 29 March 2026 and 25 June 2026 to 29
                              June 2026

Interest Payment Date(s)      30 September 2025, 30 December 2025, 30 March
                              2026 and 30 June 2026

Last Day to Register          By 17:00 on 24 September 2025, 24 December
                              2025, 24 March 2026 and 24 June 2026

Issue Date                    30 June 2025

Date Convention               Following

Interest Commencement Date    30 June 2025

First Interest Payment Date   30 September 2025

ISIN No.                      ZAG000216409

Additional Information        Senior Unsecured



Bond Code                     DTF012
Nominal Issued                R 921 000 000.00

Issue Price                   100%

Coupon                        3 Month JIBAR as at 23 June 2025 plus 78 bps

Coupon Rate Indicator         Floating

Trade Type                    Price

Final Maturity Date           30 June 2028

Books Close Date              25 September to 29 September, 25 December to
                              29 December, 25 March to 29 March and 25 June
                              to 29 June until the Maturity Date

Interest Payment Date(s)      30 September, 30 December, 30 March and 30 June
                              of each year until the Maturity Date

Last Day to Register          By 17:00 on 24 September, 24 December, 24 March
                              and 24 June of each year until the Maturity
                              Date

Issue Date                    30 June 2025

Date Convention               Following

Interest Commencement Date    30 June 2025

First Interest Payment Date   30 September 2025

ISIN No.                      ZAG000216391

Additional Information        Senior Unsecured



25 June 2025

Debt Sponsor
The Standard Bank of South Africa

Date: 25-06-2025 12:50:00
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