BISTDB SBKI Notification of Interest Amounts
The Standard Bank of South Africa Limited
Incorporated in the Republic of South Africa
Issuer code: BISTDB
Standard Bank Group Limited
Incorporated in the Republic of South Africa
Issuer Code : SBKI
(The "Issuers")
Bond Code SST202 ISIN ZAG000189325
Bond Code SST203 ISIN ZAG000194242
Bond Code SST201 ISIN ZAG000182031
Bond Code SST205 ISIN ZAG000210956
Bond Code SBSS02 ISIN ZAG000178435
Bond Code SBS92 ISIN ZAG000210550
Bond Code SBS93 ISIN ZAG000210543
Bond Code SBS94 ISIN ZAG000210535
Bond Code SBS79 ISIN ZAG000192295
Bond Code SBS69 ISIN ZAG000164575
Bond Code SBS95 ISIN ZAG000213133
Bond Code SBS96 ISIN ZAG000213125
Bond Code SBS97 ISIN ZAG000213117
Notification of Interest Amounts
In accordance with the JSE Limited Debt and Specialist Securities Listing Requirements,
noteholders are hereby advised of the interest amounts details as follows:
Instrument Code Interest Payment Interest Rate Total Interest Amounts in respect
Date % of
Aggregate Nominal Amount
R
SST202 31/08/2026 9,133 R37 319 940,19
SST203 03/09/2026 8,863 R44 679 232,88
SST201 08/09/2026 8,992 R32 727 923,73
SST205 10/09/2026 8,592 R77 963 572,60
SBSS02 19/05/2026 7,975 R36 664 898,70
SBS92 20/05/2026 7,778 R13 664 560,88
SBS93 20/05/2026 7,958 R19 155 887,12
SBS94 20/05/2026 8,048 R21 948 770,19
SBS79 01/06/2026 8,433 R34 285 574,47
SBS69 02/06/2026 8,733 R22 011 945,21
SBS95 08/06/2026 7,852 R21 729 603,29
SBS96 08/06/2026 8,042 R12 290 599,62
SBS97 08/06/2026 8,122 R15 025 032,44
14 August 2026
Johannesburg
Debt Sponsor : The Standard Bank of South Africa Limited
Date: 14-08-2026 05:10:00
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