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OCTODEC INVESTMENTS LIMITED - Listing of New Financial Instrument - OCT003

Release Date: 08/10/2025 08:00
Code(s): OCT003     PDF:  
Wrap Text
Listing of New Financial Instrument - OCT003

OCTODEC INVESTMENTS LIMITED
(Incorporated in the Republic of South Africa)
(Registration number 1956/002868/06)
LEI: 3789I36JI0BKTUSZ8813
JSE alpha code: OCTI
("Octodec")

LISTING OF NEW FINANCIAL INSTRUMENT

The JSE Limited has granted approval for a new financial instrument listing to Octodec under its
Domestic Medium Term Note Programme dated 31 August 2023 as follows:


Bond Code:                                         OCT003
Authorised programme size:                         R5,000,000,000.00
Total amount in issue, after
this issuance:                                     R535,000,000.00
Nominal value issued:                              R200,000,000.00
Issue price:                                       100%
Coupon:                                            3 Month JIBAR as at 6 October 2025 plus 175 bps
Instrument type:                                   Floating
Trade type:                                        Price
Final maturity date:                               9 October 2028
Books closed periods:                              From 4 January to 8 January, 4 April to 8 April, 4 July
                                                   to 8 July and 4 October to 8 October (all dates
                                                   inclusive) in each year until the Maturity Date or if any
                                                   early redemption occurs, 5 (five) Days prior to the
                                                   actual Redemption Date
Interest payment dates:                            9 January, 9 April, 9 July and 9 October until the
                                                   Maturity Date
Last day to register:                              By 17:00 on 3 January, 3 April, 3 July and 3 October
                                                   and if such day is not a Business Day, the Business
                                                   Day before each Books Closed Period, in each year
                                                   until the Maturity Date
Issue date:                                        9 October 2025
Date convention:                                   Modified following
Interest commencement date:                        9 October 2025
First interest payment date:                       9 January 2026
ISIN:                                              ZAG000219833
Additional information:                            Senior unsecured


The Applicable Pricing Supplement is available at: https://octodec.co.za/dmtn-programme/

The note relating to the new financial instrument ("Note") will be dematerialised in the Central Securities
Depository ("CSD") and settlement will take place electronically in terms of JSE Rules. For further
information on the Note, please contact:

Riaan Erasmus
Debt officer, Octodec                     Riaan.Erasmus@octodec.co.za


Date: 8 October 2025

Debt Sponsor: Nedbank Corporate and Investment Banking, a division of Nedbank Limited

Date: 08-10-2025 08:00:00
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