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GROWTHPOINT PROPERTIES LIMITED - New Financial Instrument Listings GRT70, GRT71 and GRT72

Release Date: 05/06/2026 13:30
Code(s): GRT71 GRT72 GRT70     PDF:  
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New Financial Instrument Listings – GRT70, GRT71 and GRT72

GROWTHPOINT PROPERTIES LIMITED
(Incorporated in the Republic of South Africa)
Registration number 1987/004988/06
Bond issuer code: GRTI
("Growthpoint")

New Financial Instrument Listings – GRT70, GRT71 and GRT72

The JSE Limited has granted listings to Growthpoint on the Interest Rate Market with effect from 8 June 2026.

Debt security code                        GRT70
ISIN No.                                  ZAG000225681
Aggregate Nominal Amount issued           R579,000,000
Margin                                    90 bps to be added to the Reference Rate
Final Maturity Date                       8 June 2029

Debt security code                        GRT71
ISIN No.                                  ZAG000225673
Aggregate Nominal Amount issued           R425,000,000
Margin                                    100 bps to be added to the Reference Rate
Final Maturity Date                       8 June 2031

Debt security code                        GRT72
ISIN No.                                  ZAG000225665
Aggregate Nominal Amount issued           R796,000,000
Margin                                    125 bps to be added to the Reference Rate
Final Maturity Date                       8 June 2033

Each Tranche of Notes is issued on, and subject to, the Terms and Conditions set out in the respective
Applicable Pricing Supplement as follows:
Type of debt security                     Senior Unsecured Floating Rate Notes
Issue Price                               100%
Issue Date                                8 June 2026
Interest Commencement Date                8 June 2026
First Interest Payment Date               8 September 2026
Rate of Interest/Coupon Rate              Reference Rate plus Margin
Reference Rate                            Compounded Daily ZARONIA (as defined in, and determined in
                                          accordance with the provisions of paragraph 1 of Schedule 1
                                          (Screen Rate Determination for Floating Rate Notes Referencing
                                          Compounded Daily ZARONIA (Lookback Without Observation
                                          Shift)))
Interest Rate Determination Date          The 5th (fifth) Johannesburg Business Day (as defined in
                                          paragraph 1 of Schedule 1 (Screen Rate Determination for
                                          Floating Rate Notes Referencing ZARONIA)) prior to each Interest
                                          Payment Date
Interest Payment Date(s)                  8 September, 8 December, 8 March and 8 June of each year until
                                          the Maturity Date (with the last Interest Payment Date being the
                                          Maturity Date), with the first Interest Payment Date being 8
                                          September 2026, or, if such day is not a Business Day, the
                                          Business Day on which interest will be paid, as determined in
                                          accordance with the Applicable Business Day Convention
Interest Period                           Each period, from and including, the applicable Interest Payment
                                          Date and ending on, but excluding the following Interest Payment
                                          Date, the first Interest Period commences on (and includes)
                                          Interest Commencement Date and ends on (but excludes) the first
                                          Interest Payment Date (each Interest Payment Date is adjusted in
                                          accordance with the Applicable Business Day Convention)
Last Day to Register                      By 17h00 on 7 September, 7 December, 7 March and 7 June or, if
                                          an early redemption occurs, 1 calendar day prior to the actual
                                          Redemption Date, or if such day is not a Business Day, the
                                          Business Day prior to each Interest Payment Date, in each year
                                          until the Maturity Date
Books Closed Period                       N/A
Applicable Business Day Convention        Modified Following Business Day
Total Notes in issue under Programme      R24,933,000,000 Notes in issue after the GRT70, GRT71 and
                                          GRT72 issuances
Additional terms and conditions           Condition 9.2.5 (Interest Determination, Screen Rate
contained in the Applicable Pricing       Determination including Fallback Provisions) shall not apply to the
Supplements                               Notes notwithstanding that Screen Rate Determination is specified
                                          as the manner in which the Interest Rate is to be determined, and
                                          the Interest Rate shall be determined in accordance with
                                          paragraph 1 of Schedule 1 (Screen Rate Determination for
                                          Floating Rate Notes Referencing Compounded Daily ZARONIA
                                          (Lookback Without Observation Shift))
Additional Risk Factors                   The Risk Factors set out in Schedule 2 of the Applicable Pricing
                                          Supplement headed "Additional Risk Factors relating to
                                          ZARONIA" apply to the Tranche of Notes to which the Applicable
                                          Pricing Supplement applies


Noteholders should study the respective GRT70, GRT71 and GRT72 Applicable Pricing Supplements for full
details of the terms and conditions applicable to these debt securities.

The debt securities are subject to a guarantee in terms of which Metboard Properties Limited and Paramount
Property Fund Limited guarantee to the Noteholders the due and punctual performance of all obligations
arising under the Programme Memorandum.


5 June 2026

Sandton
Debt Sponsor
Investec Bank Limited
                                                                                        
Date: 05-06-2026 01:30:00
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