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STANDARD BANK GROUP LIMITED - SBKI - New Listing Announcement

Release Date: 25/02/2026 11:30
Code(s): SBFZ03 SBFZ01 SBFZ02 SBFZ04     PDF:  
Wrap Text
SBKI - New Listing Announcement

Standard Bank Group Limited
(Registration number 1969/017128/06)
Incorporated in the Republic of South Africa
JSE Bond Code: SBKI
Stock Code:    SBFZ01       ISIN Code: ZAG000222449
Stock Code:    SBFZ02       ISIN Code: ZAG000222456
Stock Code:    SBFZ03       ISIN Code: ZAG000222464
Stock Code:    SBFZ04       ISIN Code: ZAG000223066

The JSE Limited has granted the below listings to Standard Bank Group Limited:

    INSTRUMENT TYPE:                       FLOATING RATE FLAC NOTE

    Bond Code                              SBFZ01

    ISIN No.                               ZAG000222449

    Nominal Before Issue:                  R 314 000 000.00

    Nominal Issued:                            R 661 000 000.00

    Nominal After Issue:                   R 975 000 000.00

    Coupon                                     (0.99 per cent. added to the Reference Rate)

    Interest Determination Date                The 5th (fifth) Johannesburg Business Day (as defined in Condition
                                               7.2(f) (Screen Rate Determination for Floating Rate Notes which
                                               reference ZARONIA) prior to each Interest Payment Date

    Coupon Rate Indicator                  Floating

    Trade Type                             Price

    Maturity Date                          30 January 2030

    Flac Disqualification                  30 January 2031

    Books Close Date                       29 January, 29 April, 29 July and 29 October

    Interest Payment Date(s)               30 January, 30 April, 30 July and 30 October

    Last Day to Register                   By 17:00 on 28 January, 28 April, 28 July and 28 October of each year
                                            commencing on 28 April 2026

    Issue Date                             26 February 2026

    Business Day Convention                Modified Following

    Interest Commencement Date             30 January 2026

    First Interest Payment Date            30 April 2026

    Additional Information                 Unsecured Floating Rate Flac Notes – Issued under the Issuer's
                                           ZAR100,000,000,000 Domestic Medium Term Note Programme dated
                                           13 November 2025

INSTRUMENT TYPE:              FLOATING RATE FLAC NOTE

Bond Code                     SBFZ02

ISIN No.                      ZAG000222456

Nominal Before Issue:         R 599 000 000.00

Nominal Issued:               R 1 357 000 000.00

Nominal After Issue:          R 1 965 000 000.00

Coupon                        (1.13 per cent. added to the Reference Rate)

Interest Determination Date   The 5th (fifth) Johannesburg Business Day (as defined in Condition
                              7.2(f) (Screen Rate Determination for Floating Rate Notes which
                              reference ZARONIA) prior to each Interest Payment Date

Coupon Rate Indicator         Floating

Trade Type                    Price

Maturity Date                 30 January 2032

Flac Disqualification Event   30 January 2031

Books Close Date              29 January, 29 April, 29 July and 29 October

Interest Payment Date(s)      30 January, 30 April, 30 July and 30 October

Last Day to Register          By 17:00 on 28 January, 28 April, 28 July and 28 October of each year
                               commencing on 28 April 2026

Issue Date                    26 February 2026

Business Day Convention       Modified Following

Interest Commencement Date    30 January 2026

First Interest Payment Date   30 April 2026

Additional Information        Unsecured Floating Rate Flac Notes – Issued under the Issuer's
                              ZAR100,000,000,000 Domestic Medium Term Note Programme dated
                              13 November 2025
INSTRUMENT TYPE:              FLOATING RATE FLAC NOTE

Bond Code                     SBFZ03

ISIN No.                      ZAG000222464

Nominal Before Issue:         R 820 000 000.00

Nominal Issued:               R 970 000 000.00

Nominal After Issue:          R 1 790 000 000.00

Coupon                        (1.21 per cent. to be added to the Reference Rate)

Interest Determination Date   The 5th (fifth) Johannesburg Business Day (as defined in Condition
                              7.2(f) (Screen Rate Determination for Floating Rate Notes which
                              reference ZARONIA) prior to each Interest Payment Date

Coupon Rate Indicator         Floating

Trade Type                    Price

Maturity Date                 30 January 2034

Flac Disqualification         30 January 2033

Books Close Date              29 January, 29 April, 29 July and 29 October

Interest Payment Date(s)      30 January, 30 April, 30 July and 30 October

Last Day to Register          By 17:00 on 28 January, 28 April, 28 July and 28 October of each year
                               commencing on 28 April 2026

Issue Date                    26 February 2026

Business Day Convention       Modified Following

Interest Commencement Date    30 January 2026

First Interest Payment Date   30 April 2026

Additional Information        Subordinated Unsecured Floating Rate Flac Notes – Issued under
                              the Issuer's ZAR1000,000,000,000 Domestic Medium Term Note
                              Programme dated 13 November 2025

INSTRUMENT TYPE:                      FLOATING RATE FLAC NOTE

Bond Code                             SBFZ04

ISIN No.                              ZAG000223066

Nominal Issued                        R 975 000 000.00

Issue Price                           100%

Coupon                                (1.27 per cent. to be added to the Reference Rate)

Interest Determination Date           The 5th (fifth) Johannesburg Business Day (as defined in Condition
                                      7.2(f) (Screen Rate Determination for Floating Rate Notes which
                                      reference ZARONIA) prior to each Interest Payment Date

Coupon Rate Indicator                 Floating

Trade Type                            Price

Maturity Date                         30 January 2037

Flac Disqualification                 30 January 2036

Books Close Date                      29 January, 29 April, 29 July and 29 October

Interest Payment Date(s)              30 January, 30 April, 30 July and 30 October

Last Day to Register                  By 17:00 on 28 January, 28 April, 28 July and 28 October of each year
                                       commencing on 28 April 2026

Issue Date                            26 February 2026

Business Day Convention               Modified Following

Interest Commencement Date            26 February 2026

First Interest Payment Date           30 April 2026

Additional Information                Subordinated Unsecured Floating Rate Flac Notes – Issued under
                                      the Issuer's ZAR1000,000,000,000 Domestic Medium Term Note
                                      Programme dated 13 November 2025



Johannesburg


25 February 2026
Debt Sponsor: The Standard Bank of South Africa Limited

Date: 25-02-2026 11:30:00
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