TKWI17 - Capital redemption and interest payable announcement
The Thekwini Fund 17 (RF) Limited
(incorporated with limited liability in the Republic of South Africa)
(Registration number: 2020/916910/06)
Issuer Code: TKWI17
Instrument Code: T17A14 ISIN: ZAG000202896
Instrument Code: T17A21 ISIN: ZAG000174988
Instrument Code: T17A22 ISIN: ZAG000181447
Instrument Code: T17A23 ISIN: ZAG000185935
Instrument Code: T17A31 ISIN: ZAG000174921
Instrument Code: T17A32 ISIN: ZAG000181488
Instrument Code: TH17B1 ISIN: ZAG000174913
Instrument Code: TH17B2 ISIN: ZAG000181470
Instrument Code: TH17B3 ISIN: ZAG000185950
Instrument Code: TH17C1 ISIN: ZAG000174905
Instrument Code: TH17C2 ISIN: ZAG000181454
Instrument Code: TH17C3 ISIN: ZAG000185968
Instrument Code: TH17D1 ISIN: ZAG000174889
Instrument Code: TH17D2 ISIN: ZAG000181462
Instrument Code: TH17D3 ISIN: ZAG000185976
Capital Redemption and Interest Payable Announcement
In accordance with the Terms and Conditions of The Thekwini Fund 17 (RF) Ltd notes, relevant noteholders are
advised of the below capital redemption effective Monday, 23 February 2026.
Full Redemption
Amount
Capital Outstanding after
Stock Code ISIN
Redemption Amount Capital
Redemption
T17A14 ZAG000202896 R421 157 418.00 R0.00
T17A21 ZAG000174988 R936 000 000.00 R0.00
T17A22 ZAG000181447 R1 005 000 000.00 R0.00
T17A23 ZAG000185935 R364 000 000.00 R0.00
*T17A31 ZAG000174921 R120 000 000.00 R0.00
*T17A32 ZAG000181488 R246 000 000.00 R0.00
TH17B1 ZAG000174913 R107 000 000.00 R0.00
TH17B2 ZAG000181470 R125 000 000.00 R0.00
TH17B3 ZAG000185950 R35 000 000.00 R0.00
TH17C1 ZAG000174905 R80 000 000.00 R0.00
TH17C2 ZAG000181454 R90 000 000.00 R0.00
TH17C3 ZAG000185968 R30 000 000.00 R0.00
TH17D1 ZAG000174889 R74 000 000.00 R0.00
TH17D2 ZAG000181462 R82 000 000.00 R0.00
TH17D3 ZAG000185976 R28 000 000.00 R0.00
The interest payable to the Noteholders for The Thekwini Fund 17
(RF) Limited on Monday, 23 February 2026 is as follows:
Total Interest
Amount in respect
Instrument Interest of Aggregate
Interest Rate %
Code Payment Date Nominal Amount
(R)
T17A14 23-Feb-26 8.023% 8 701 943.03
T17A21 23-Feb-26 8.233% 19 845 815.67
T17A22 23-Feb-26 8.133% 21 049 986.58
T17A23 23-Feb-26 8.233% 7 717 817.21
*T17A31 23-Feb-26 7.210% 4 408 964.38
*T17A32 23-Feb-26 7.720% 9 677 707.40
TH17B1 23-Feb-26 8.683% 2 392 701.75
TH17B2 23-Feb-26 8.533% 2 746 924.66
TH17B3 23-Feb-26 8.483% 764 632.05
TH17C1 23-Feb-26 9.043% 1 863 105.75
TH17C2 23-Feb-26 8.813% 2 042 684.38
TH17C3 23-Feb-26 8.783% 678 576.99
TH17D1 23-Feb-26 10.883% 2 074 031.45
TH17D2 23-Feb-26 10.513% 2 220 115.18
TH17D3 23-Feb-26 10.283% 741 502.90
*Fixed note interest is paid semi-annually.
18 February 2026
Debt Sponsor
The Standard Bank of South Africa Limited
Date: 18-02-2026 04:30:00
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