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FAIRVEST LIMITED - New Financial Instruments Listing

Release Date: 01/10/2026 13:50
Code(s): FTB01 FTB02     PDF:  
Wrap Text
New Financial Instruments Listing

FAIRVEST LIMITED
(a public company with limited liability under the laws of South Africa)
(registration number 2007/032604/06)
LEI: 378900E93AFC4D1CAD45
(Granted REIT status with the JSE)
Bond Issuer Code: FTAI

NEW FINANCIAL INSTRUMENTS LISTING

The JSE Limited has granted a listing to Fairvest Limited for the financial instruments “FTB01” and
“FTB02” with effect from 2 October 2026, which instruments are unconditionally and irrevocably
guaranteed by Fairvest Property Holdings Limited, Arrowgem Limited and Vividend Income Fund
Limited.

The Applicable Pricing Supplements must be read in conjunction with the Fairvest Limited
ZAR5,000,000,000 Domestic Medium Term Note Programme Memorandum, as amended and/or
supplemented from time to time, dated 23 September 2026.

Authorised Programme size                      ZAR5,000,000,000.00
Total notes in issue                           ZAR658,000,000.00 (including these tranches)

INSTRUMENT TYPE                                FLOATING RATE NOTE

Full note details are set out below:

Bond Code                                      FTB01
ISIN No                                        ZAG000228792
Nominal Value                                  ZAR437,000,000.00
Issue price                                    100%
Coupon                                         100bps plus ZARONIA
Coupon Rate Indicator                          Floating
Trade Type                                     Price
Maturity Date                                  02 October 2029
Last day to register                           Up until 17h00 (South African time) on 1 January, 1 April,
                                               1 July and 1 October of each year until the Maturity Date, or
                                               if any early redemption occurs, 1 day prior to the actual
                                               Redemption Date, or if such day is not a Business Day, the
                                               Business Day which immediately precedes such date
Interest Rate Determination Dates              The 5th Johannesburg Business Day before the
                                               relevant Interest Payment Date
Interest Payment Dates                         02 January, 02 April, 02 July and 02 October of each year
                                               until Maturity Date; with the first Interest Payment Date
                                               being 02 January 2027
Issue Date                                     02 October 2026
Interest Commencement Date                     02 October 2026
Date Convention                                Modified Following Business Day
Additional Information                         Unsecured Floating Rate Note

INSTRUMENT TYPE                                FLOATING RATE NOTE

Full note details are set out below:

Bond Code                                      FTB02
ISIN No                                        ZAG000228867
Nominal Value                                  ZAR221,000,000.00
Issue price                                    100%
Coupon                                         110bps plus ZARONIA
Coupon Rate Indicator                          Floating
Trade Type                                     Price
Maturity Date                                  02 October 2031
Last day to register                           Up until 17h00 (South African time) on 1 January, 1 April,
                                               1 July and 1 October of each year until the Maturity Date, or
                                               if any early redemption occurs, 1 day prior to the actual
                                               Redemption Date, or if such day is not a Business Day, the
                                               Business Day which immediately precedes such date
Interest Rate Determination Dates              The 5th Johannesburg Business Day before the relevant
                                               Interest Payment Date
Interest Payment Dates                         02 January, 02 April, 02 July and 02 October of each year
                                               until Maturity Date; with the first Interest Payment Date
                                               being 02 January 2027
Issue Date                                     02 October 2026
Interest Commencement Date                     02 October 2026
Date Convention                                Modified Following Business Day
Additional Information                         Unsecured Floating Rate Note



1 October 2026

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

Date: 01/10/2026 01:50:00
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