Fortress - Interest Payments Notification - FORI
Fortress Real Estate Investments Limited
(Incorporated in the Republic of South Africa)
(Registration no.: 2009/016487/06)
JSE alpha code: FORI
LEI: 378900FE98E30F24D975
("Fortress")
Interest Payments Notification
Noteholders are advised of the following interest payment due 5 August 2026.
Bond code: FIFG02
ISIN: ZAG000178500
Coupon: 9.025%
Interest amount due: R 9 212 917.81
Capital amount due: R 405 000 000.00
Interest period: 5 May 2026 to 4 August 2026
Payment date: 5 August 2026
Date convention: Following Business Day
Noteholders are advised of the following interest payments due 21 August 2026.
Bond code: FIFB20
ISIN: ZAG000192188
Coupon: 8.608%
Interest amount due: R 10 848 438.36
Interest period: 21 May 2026 to 20 August 2026
Payment date: 21 August 2026
Date convention: Following Business Day
Bond code: FIFB31
ISIN: ZAG000214719
Coupon: 7.998%
Interest amount due: R 7 862 143.56
Interest period: 21 May 2026 to 20 August 2026
Payment date: 21 August 2026
Date convention: Following Business Day
Bond code: FIFB32
ISIN: ZAG000214727
Coupon: 8.148%
Interest amount due: R 8 831 092.60
Interest period: 21 May 2026 to 20 August 2026
Payment date: 21 August 2026
Date convention: Following Business Day
Noteholders are advised of the following interest payments due 24 August 2026.
Bond code: FIFG04
ISIN: ZAG000183807
Coupon: 8.858%
Interest amount due: R 11 406 191.78
Interest period: 22 May 2026 to 23 August 2026
Payment date: 24 August 2026
Date convention: Following Business Day
Bond code: FIFG05
ISIN: ZAG000183799
Coupon: 8.958%
Interest amount due: R 8 074 471.23
Interest period: 22 May 2026 to 23 August 2026
Payment date: 24 August 2026
Date convention: Following Business Day
Noteholders are advised of the following interest payments due 31 August 2026.
Bond code: FIFB24
ISIN: ZAG000198680
Coupon: 8.553%
Interest amount due: R 11 013 452.05
Capital amount due: R 500 000 000.00
Interest period: 29 May 2026 to 30 August 2026
Payment date: 31 August 2026
Date convention: Following Business Day
Bond code: FIFB25
ISIN: ZAG000198706
Coupon: 8.783%
Interest amount due: R 13 571 539.73
Interest period: 29 May 2026 to 30 August 2026
Payment date: 31 August 2026
Date convention: Following Business Day
28 July 2026
Debt Sponsor
Nedbank Corporate and Investment Banking, a division of Nedbank Limited
Date: 28-07-2026 04:30:00
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