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SENTINEL FINCO (RF) LIMITED - STF004 - NEW FINANCIAL INSTRUMENT LISTING

Release Date: 17/09/2026 17:43
Code(s): STF004     PDF:  
Wrap Text
STF004 - NEW FINANCIAL INSTRUMENT LISTING

SENTINEL FINCO (RF) LIMITED
(Incorporated in the Republic of South Africa)
(Registration No. 2020/178948/06)
Company Code: SNFI
Bond Code: STF004
ISIN: ZAG000228156

NEW FINANCIAL INSTRUMENT LISTING

The JSE Limited has granted financial instruments listing to SENTINEL FINCO (RF) LIMITED’s “STF004 note” under
its ZAR3,000,000,000 Asset-Backed Securities Programme registered with the JSE Limited (“JSE”) on 23
February 2022.

The Programme and Information Statement are available for viewing at the registered office of the Issuer and may
also be accessed on the following websites:

Programme Memorandum
https://www.sentinelhomes.co.za/wp-content/uploads/2022/02/Programme-Memorandum.pdf

First Supplement to the Programme Memorandum
(https://www.sentinelhomes.co.za/wp-content/uploads/2024/01/First-Supplement-to-the-Programme-
Memorandum.pdf

Information Statement
https://www.sentinelhomes.co.za/wp-content/uploads/2022/02/Information-Statement.pdf

Authorised Programme size                            R3,000,000,000.00
Total Notes in issue                                 R305,000,000.00 (Incl. STF004)

Full Note details are as follows:

Instrument Type                                      Floating Rate Note
Bond Code                                            STF004
ISIN No.                                             ZAG000228156
Nominal Amount                                       R100,000,000.00
Issue Price                                          100%
Coupon Rate                                          ZAR Prime Lending Rate
Coupon Rate Indicator                                Floating
Trade Type                                           Price
Issue Date                                           25 September 2026
Last Day to Register                                 By 17h00 on the 11th (eleventh) calendar day before each
                                                     Interest Payment Date (as defined) being 20 November, 18
                                                     February, 21 May and 21 August until the Final Redemption
                                                     Date
Books Close Date(s)                                  The Register will be closed for a period of 10 (ten) calendar
                                                     days prior to each Interest Payment Date (as defined) and
                                                     prior to the Final Redemption Date, being from 21 November
                                                     to 30 November, 19 February to 28 February, 22 May to 31
                                                     May, and from 22 August to 31 August
Interest Payment Date(s)                             The 1st day of December, March, June and September of
                                                     each calendar year until the Final Redemption Date, with the
                                                     first Interest Payment Date being 1 December 2026.
Interest Rate Determination Date(s)                  The 25th day of September 2026, on initial issuance, and
                                                     thereafter on every succeeding Interest Payment Day until
                                                     the Final Redemption Date
Interest Commencement Date                           25 September 2025
Scheduled Maturity Date                              25 September 2031
Final Redemption Date                                25 September 2036
Date Convention                                      Following
Additional Information                               Unsecured Class A Notes

17 September 2026

Debt Sponsor
Absa Bank Limited (acting through its Corporate and Investment Bank division)
Date: 17/09/2026 05:43:00
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