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BAYPORT SECURITISATION (RF) LIMITED - BIBAY - Financial instrument new listings

Release Date: 29/09/2026 13:22
Code(s): BIBAY     PDF:  
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BIBAY - Financial instrument new listings

Bayport Securitisation (RF) Limited
(Incorporated with limited liability in the Republic of South Africa)
(Registration number 2008/003557/06)
Issuer Code: BIBAY
(“Bayport Securitisation”)
Bond code: BAYB41 ISIN: ZAG000228586
Bond code: BYA123 ISIN: ZAG000228594
Bond code: BYA124 ISIN: ZAG000228610
Bond code: BYA125 ISIN: ZAG000228602

Financial Instrument New Listings

The JSE Limited has granted Bayport Securitisation listings on Interest Rate Market with effect from 30 September 2026.

INSTRUMENT TYPE:                            FLOATING RATE NOTES


Bond Code                                    BAYB41
ISIN No.                                     ZAG000228586
Nominal Issued                               R15 500 000.00
Issue Price                                  100% of the Nominal Amount of each Note
Coupon                                       3 Month JIBAR plus 900 bps
Rate Determination Date                      30 June, 30 September, 31 December and 31 March each year with the
                                             first Rate Determination date being 30 September 2026
Coupon Rate Indicator                        Floating
Trade Type                                   Price
Final Maturity Date                          30 June 2028
Books Close Date                             20 June, 20 September, 21 December, and 21 March, each year
Interest Payment Date(s)                     30 June, 30 September, 31 December and 31 March each year
Last Day to Register                         By 17:00 on 19 June, 19 September, 20 December, and 20 March
Issue Date                                   30 September 2026
Date Convention                              Following
Interest Commencement Date                   30 September 2026
Additional Information                       Secured Class B Notes



Bond Code                                    BYA123
ISIN No.                                     ZAG000228594
Nominal Issued                               R159 951 845.00
Issue Price                                  100% of the Nominal Amount of each Note
Coupon                                       3 Month JIBAR plus 335 bps
Rate Determination Date                      30 June, 30 September, 31 December and 31 March each year with the
                                             first Rate Determination date being 30 September 2026
Coupon Rate Indicator                        Floating
Trade Type                                   Price
Final Maturity Date                          30 September 2029
Books Close Date                             20 June, 20 September, 21 December, 21 March
Interest Payment Date(s)                     30 June, 30 September, 31 December, 31 March
Last Day to Register                         By 17:00 on 19 June, 19 September, 20 December, 20 March each year
Issue Date                                   30 September 2026
Date Convention                              Following
Interest Commencement Date                   30 September 2026
Additional Information                       Secured Class A Notes



Bond Code                                    BYA124
ISIN No.                                     ZAG000228610
Nominal Issued                               R326 000 000.00
Issue Price                                  100% of the Nominal Amount of each Note
Coupon                                       3 Month JIBAR plus 400 bps Interest from the issue date to 31 March 2027 is a
                                             minimum of 3-month ZAR-JIBAR plus 400 basis points (payable quarterly).
                                             Interest for the period 01 April 2027 to 30 September 2029 is 3-month ZAR-JIBAR
                                             plus 335 basis points.
Rate Determination Date                      30 June, 30 September, 31 December and 31 March each year with the
                                             first Rate Determination date being 30 September 2026
Coupon Rate Indicator                        Floating
Trade Type                                   Price
Final Maturity Date                         30 September 2029
Books Close Date                            20 June, 20 September, 21 December, 21 March
Interest Payment Date(s)                    30 June, 30 September, 31 December, 31 March
Last Day to Register                        By 17:00 on 19 June, 19 September, 20 December, 20 March each year
Issue Date                                  30 September 2026
Date Convention                             Following
Interest Commencement Date                  30 September 2026
Additional Information                       Secured Class A Notes



Bond Code                                   BYA125
ISIN No.                                    ZAG000228602
Nominal Issued                              R642 000 000.00
Issue Price                                 100% of the Nominal Amount of each Note
Coupon                                      3 Month JIBAR plus 310 bps
Rate Determination Date                     30 June, 30 September, 31 December and 31 March each year with the
                                            first Rate Determination date being 30 September 2026
Coupon Rate Indicator                       Floating
Trade Type                                  Price
Final Maturity Date                         30 September 2029
Books Close Date                            20 June, 20 September, 21 December, 21 March
Interest Payment Date(s)                    30 June, 30 September, 31 December, 31 March
Last Day to Register                        By 17:00 on 19 June, 19 September, 20 December, 20 March each year
Issue Date                                  30 September 2026
Date Convention                             Following
Interest Commencement Date                  30 September 2026
Additional Information                      Secured Class A Notes



29 September 2026

The Debt Sponsor:
The Standard Bank of South Africa Limited
Date: 29/09/2026 01:22:00
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