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THE STANDARD BANK OF SOUTH AFRICA LIMITED - BISTDB - Notification of interest amounts

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BISTDB - Notification of interest amounts

The Standard Bank of South Africa Limited
Incorporated in the Republic of South Africa
Issuer code: BISTDB

Bond Code:      CLN742          ISIN N0:   ZAG000175910
Bond Code:      CLN785          ISIN N0:   ZAG000182098
Bond Code:      CLN787          ISIN N0:   ZAG000182304
Bond Code:      CLN838          ISIN N0:   ZAG000187097
Bond Code:      CLN848          ISIN N0:   ZAG000187675
Bond Code:      CLN849          ISIN N0:   ZAG000187642
Bond Code:      CLN896          ISIN N0:   ZAG000190794
Bond Code:      CLN942          ISIN N0:   ZAG000195504
Bond Code:      CLN943          ISIN N0:   ZAG000195447
Bond Code:      CLN944          ISIN N0:   ZAG000195702
Bond Code:      CLN960          ISIN N0:   ZAG000197211
Bond Code:      CLN962          ISIN N0:   ZAG000198086
Bond Code:      CLN978          ISIN N0:   ZAG000199456
Bond Code:      CLN986          ISIN N0:   ZAG000200155
Bond Code:      CLN987          ISIN N0:   ZAG000200205
Bond Code:      CLN988          ISIN N0:   ZAG000200262
Bond Code:      CLN989          ISIN N0:   ZAG000200270
Bond Code:      CLN991          ISIN N0:   ZAG000201088
Bond Code:      CLN992          ISIN N0:   ZAG000201062
Bond Code:      CLN993          ISIN N0:   ZAG000201112
Bond Code:      SBC029          ISIN N0:   ZAG000204884
Bond Code:      SBC032          ISIN N0:   ZAG000205923
Bond Code:      SBC033          ISIN N0:   ZAG000205881
Bond Code:      SBC036          ISIN N0:   ZAG000206269
Bond Code:      SBC038          ISIN N0:   ZAG000206251
Bond Code:      SBC041          ISIN N0:   ZAG000206301
Bond Code:      SBC052          ISIN N0:   ZAG000206921
Bond Code:      SBC076          ISIN N0:   ZAG000208612
Bond Code:      SBC079          ISIN N0:   ZAG000209073
Bond Code:      SBC090          ISIN N0:   ZAG000210444
Bond Code:      SBC098          ISIN N0:   ZAG000212168
Bond Code:      SBC106          ISIN N0:   ZAG000212424
Bond Code:      SBC114          ISIN N0:   ZAG000212689
Bond Code:      SBC115          ISIN N0:   ZAG000212671
Bond Code:      SBC124          ISIN N0:   ZAG000213315
Bond Code:      SBC160          ISIN N0:   ZAG000216110
Bond Code:      SBC207          ISIN N0:   ZAG000219866
Bond Code:      SBC212          ISIN N0:   ZAG000220112
Bond Code:      SBC229          ISIN N0:   ZAG000222183
Bond Code:      SBC232          ISIN N0:   ZAG000222258
Bond Code:      SBC233          ISIN N0:   ZAG000222282
Bond Code:      SBC237          ISIN N0:   ZAG000222647
Bond Code:      SBC240          ISIN N0:   ZAG000222829
Bond Code:      SBC243          ISIN N0:   ZAG000223249
Bond Code:      SBC258          ISIN N0:   ZAG000223793

Notification of Interest Amounts

In accordance with the JSE Limited Debt and Specialist Securities Listings Requirements, noteholders are
hereby advised of the interest amounts details as follows:

                                                    Total Interest Amounts in respect of
                     Interest
Instrument Code                   Interest Rate %       Aggregate Nominal Amount
                  Payment Date
                                                                     R

     SBS91         30 June 2026        7,998                  R 19 860 458.30
                   
    CLN742         30 June 2026        10.320                 R 2,700,034.32
                   
    CLN785         30 June 2026        9.750                  R 1,823,116.44
                   
    CLN787         30 June 2026        9.750                     R 729,246.58
                   
    CLN838         30 June 2026        9.750                     R 972,328.77
                  
    CLN848         30 June 2026        9.750                   R 1,215,410.96
                  
    CLN849         30 June 2026        9.750                   R 1,215,410.96
                   
    CLN896         30 June 2026        9.750                   R 1,458,493.15
                   
    CLN942         30 June 2026        9.750                   R 4,861,643.84
                   
    CLN943         30 June 2026        9.750                   R 8,507,876.71
                   
    CLN944         30 June 2026        9.750                  R 24,308,219.18
                  
    CLN960         30 June 2026        9.750                   R 1,215,410.96
                   
    CLN962         30 June 2026        9.750                     R 729,246.58
                  
    CLN978         30 June 2026        13,000                   R 3,241,095.89
                   
    CLN986         30 June 2026         8.375                   R 7,308,047.95
                   
    CLN987         30 June 2026         8.425                   R 6,301,438.35
                   
    CLN988         30 June 2026         8.450                   R 7,373,493.15
                   
    CLN989         30 June 2026         8.500                  R 10,595,890.41
                   
    CLN991         30 June 2026         8.550                   R 7,460,753.42
                   
    CLN992         30 June 2026         8.600                   R 6,432,328.77
                   
    CLN993         30 June 2026         8.650                   R 8,626,301.37
                   
    SBC029         30 June 2026         9.250                   R 2,444,534.24
                   
    SBC032         30 June 2026         9.250                   R 4,612,328.77
                   
    SBC033         30 June 2026         9.750                   R 3,427,458.91
                  
    SBC036         30 June 2026         9.250                  R 11,530,821.92
                   
    SBC038         30 June 2026         8.680                  R 16,230,410.96
                   
    SBC041         30 June 2026         9.250                   R 1,153,082.19
                   
    SBC052         30 June 2026         9.250                    R 691,849.31
                   
    SBC076         30 June 2026         8.885                   R 7,044,222.74
                   
    SBC079         30 June 2026         8.450                  R 21,067,123.28
                   
    SBC090         30 June 2026         8.330                    R 623,038.36
                   
    SBC098         30 June 2026         9.020                   R 1,124,410.96
                   
    SBC106         30 June 2026         9.050                     R 676,890.41
                      
    SBC114         30 June 2026         8.020                    R 499,876.71
                      
    SBC115         30 June 2026         8.750                   R 2,181,506.85
                      
    SBC124         30 June 2026         9.550                   R 3,571,438.35
                     
    SBC160         30 June 2026         8.240                   R 1,027,178.09
                      
    SBC207         30 June 2026         8.550                   R 8,526,575.34
                      
    SBC212         30 June 2026         8.450                  R 10,533,561.65
                      
    SBC229         30 June 2026         8.750                   R 2,508,732.88
                      
   SBC232          30 June 2026         9.250                   R 3,920,479.45
                      
   SBC233          30 June 2026         9.250                   R 3,920,479.45
                     
   SBC237          30 June 2026         7.950                  R 11,892,328.77
                      
   SBC240          30 June 2026         9.750                   R 3,646,232.88
                      
   SBC243          30 June 2026         8.100                   R 2,776,746.58
                    
  SBC258           30 June 2026         8.550                   R 2,436,164.38



Further details of each of these notes may be obtained from the Applicable Pricing Supplements
applicable thereto which can be viewed at or downloaded from the Issuer's website:

www.standardbank.co.za


Johannesburg
26 June 2026

Debt Sponsor: The Standard Bank of South Africa Limited

Date: 26-06-2026 05:10:00
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