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AFRISTRAT INVESTMENT HOLDINGS LIMITED - Issue of Notes Under the ZAR10 000 000 000 Domestic Medium Term Note Programme

Release Date: 10/01/2022 09:30
Wrap Text
Issue of Notes Under the ZAR10 000 000 000 Domestic Medium Term Note Programme

AFRISTRAT INVESTMENT HOLDINGS LIMITED
Incorporated in the Republic of South Africa
Registration number: 1998/013215/06
JSE Code: ATI - ISIN: ZAE000287587
Debt Issuer Code: ATID
Hybrid Issuer Code: ATIG
(“Afristrat” or “the Company”)

 Notes                              Series number       JSE Code             ISIN
 Fixed Rate Notes                   7                   ATIFX7               ZAE000305454
 Fixed Rate Notes                   8                   ATIFX8               ZAE000305934
 Fixed Rate Notes                   9                   ATIFX9               ZAE000305926


ISSUE OF NOTES UNDER THE ZAR10 000 000 000 DOMESTIC MEDIUM TERM NOTE PROGRAMME


Afristrat is pleased to announce that the JSE Limited (“JSE”) has, with effect from 17 January 2022, granted the
Company the listing of its Fixed Rate Notes issued in terms of under the Issuer's ZAR10 000 000 000 Domestic Medium
Term Note Programme dated 21 August 2018 ("Programme Memorandum) as detailed below:

                                                 Fixed Rate Notes
                                                 Series 7, Tranche 3
 Type of issue                                   Tap issue
 Number of Notes                                 410
 Nominal amount of this Tranche                  ZAR41 000.00
 Issue Price                                     ZAR100.00
 Issue Date                                      17 January 2022
 Interest Commencement Date                      17 January 2022
 Interest Rate                                   9% per annum, payable monthly in arrears on the third Monday of
                                                 each month
 Interest Payment Date(s)                        On the third Monday of each month until Redemption Date, with the
                                                 First Interest Payment Date being 21 February 2022.
 Interest Periods                                Each period commencing on (and including) an Interest Payment
                                                 Date and ending on (but excluding) the following Interest Payment
                                                 Date; provided that the first Interest Period will commence on (and
                                                 include) the Interest Commencement Date and end on (but exclude)
                                                 21 February 2022 (each Interest Payment Date as adjusted in
                                                 accordance with the applicable Business Day Convention).
 Day Count Fraction                              Actual / 365
 Redemption Finalisation Date                    3 December 2024
 Last day to trade for Redemption                10 December 2024
 Redemption Record Date                          13 December 2024
 Redemption Date / Redemption Payment Date       17 December 2024
 Removal of Notes on JSE trading system          18 December 2024
 Redemption Amount                               ZAR41 000.00
 Other terms applicable on Redemption            On the Redemption Date, Holders of the Notes will have the option,
                                                 as the case may be, to invest in new notes being issued at the
                                                 Redemption Date in lieu of receipt of the final Redemption Amount.
 Other provisions                                The Company shall be entitled to an administration fee in respect of
                                                 the Fixed Rate Notes of 0.25% per annum on the Issue Price,
                                                 inclusive of VAT, payable monthly in arrears on the monthly Interest
                                                 Payment Dates.

                                                 The administration fee is subject to the Value-Added Tax Act of
                                                 1991. The Company has the right to recover the monthly
                                                 administration fee, from the monthly Interest (plus the applicable
                                                 VAT thereon).


                                                Fixed Rate Notes
                                                Series 8
Type of issue                                   New issue
Number of Notes                                 85 250
Nominal amount of this Tranche                  ZAR8 525 000.00
Issue Price                                     ZAR100.00
Issue Date                                      17 January 2022
Interest Commencement Date                      17 January 2022
Interest Rate                                   10% per annum, payable monthly in arrears on the third Monday of
                                                each month
Interest Payment Date(s)                        On the third Monday of each month until Redemption Date, with the
                                                First Interest Payment Date being 21 February 2022.
Interest Periods                                Each period commencing on (and including) an Interest Payment
                                                Date and ending on (but excluding) the following Interest Payment
                                                Date; provided that the first Interest Period will commence on (and
                                                include) the Interest Commencement Date and end on (but exclude)
                                                21 February 2022 (each Interest Payment Date as adjusted in
                                                accordance with the applicable Business Day Convention).
Day Count Fraction                              Actual / 365
Redemption Finalisation Date                    7 January 2025
Last day to trade for Redemption                14 January 2025
Suspension of Notes on JSE trading system       15 January 2025
Redemption Record Date                          17 January 2025
Redemption Date / Redemption Payment Date       20 January 2025
Removal of Notes on JSE trading system          21 January 2025
Redemption Amount                               ZAR8 525 000.00
Other terms applicable on Redemption            On the Redemption Date, Holders of the Notes will have the option,
                                                as the case may be, to invest in new notes being issued at the
                                                Redemption Date in lieu of receipt of the final Redemption Amount.
Other provisions                                The Company shall be entitled to an administration fee in respect of
                                                the Fixed Rate Notes of 0.25% per annum on the Issue Price,
                                                inclusive of VAT, payable monthly in arrears on the monthly Interest
                                                Payment Dates.

                                                The administration fee is subject to the Value-Added Tax Act of 1991.
                                                The Company has the right to recover the monthly administration
                                                fee, from the monthly Interest (plus the applicable VAT thereon).



                                                 Fixed Rate Notes
                                                 Series 9
Type of issue                                    New issue
Number of Notes                                  220,000
Nominal amount of this Tranche                   ZAR22 000 000.00
Issue Price                                      ZAR100.00
Issue Date                                       17 January 2022
Interest Commencement Date                       17 January 2022
Interest Rate                                    12% per annum, payable monthly in arrears on the third Monday of
                                                 each month
Interest Payment Date(s)                         On the third Monday of each month until Redemption Date, with the
                                                 First Interest Payment Date being 21 February 2022.
 Interest Periods                                Each period commencing on (and including) an Interest Payment
                                                 Date and ending on (but excluding) the following Interest Payment
                                                 Date; provided that the first Interest Period will commence on (and
                                                 include) the Interest Commencement Date and end on (but exclude)
                                                 21 February 2022 (each Interest Payment Date as adjusted in
                                                 accordance with the applicable Business Day Convention).
 Day Count Fraction                              Actual / 365
 Redemption Finalisation Date                    7 January 2025
 Last day to trade for Redemption                14 January 2025
 Suspension of Notes on JSE trading system       15 January 2025
 Redemption Record Date                          17 January 2025
 Redemption Date / Redemption Payment Date       20 January 2025
 Removal of Notes on JSE trading system          21 January 2025
 Redemption Amount                               ZAR22 000 000.00
 Other terms applicable on Redemption            On the Redemption Date, Holders of the Notes will have the option,
                                                 as the case may be, to invest in new notes being issued at the
                                                 Redemption Date in lieu of receipt of the final Redemption Amount.
 Other provisions                                The Company shall be entitled to an administration fee in respect of
                                                 the Fixed Rate Notes of 0.25% per annum on the Issue Price,
                                                 inclusive of VAT, payable monthly in arrears on the monthly Interest
                                                 Payment Dates.

                                                 The administration fee is subject to the Value-Added Tax Act of 1991.
                                                 The Company has the right to recover the monthly administration
                                                 fee, from the monthly Interest (plus the applicable VAT thereon).

Following the listing of the Series 7 Fixed Rate Notes, Series 8 Fixed Rate Notes and the Series 9 Fixed Rate Notes
detailed in this announcement, the total amount issued under the Programme Memorandum is ZAR141 773 800.00 as
follows:

•     Fixed Rate Notes: An aggregate nominal amount of R97 426 100 (comprising R330 000 issued in terms of Series 4;
      R13 013 300 issued in terms of Series 5, R29 713 800 issued in terms of Series 6, R23 844 000 issued in terms
      of Series 7, R8 525 000 issued in terms of Series 8 and R22 000 000 issued in terms of Series 9);

•     Floating Rate Notes: An aggregate nominal amount of R23 171 600 (comprising R23 171 600 issued in terms of
      Series 2); and

•     Zero Coupon Notes: An aggregate nominal amount of R21 176 100 (comprising R20 433 500 issued in terms of
      Series 2 and R742 600 issued in terms of Series 3).


Interest Record and Payment Dates in respect of the Notes

Declaration and finalisation announcements will be released on SENS in accordance with Schedule 4 Form A5 of the JSE
Listings Requirements.

For more information about this announcement or the Afristrat group, email investor.relations@afristrat.ltd or visit
https://afristrat.ltd/investor-relations/.


10 January 2022
Pretoria

Debt Sponsor
Merchantec Capital

Date: 10-01-2022 09:30:00
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