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CAPITEC:  440,928   +2800 (+0.64%)  22/04/2026 10:59

CAPITEC BANK HOLDINGS LIMITED - Quarterly Pillar 3 Capital Adequacy, Liquidity and Leverage Disclosures at 28 February 2026

Release Date: 22/04/2026 07:06
Code(s): CPI CPIP CBL32     PDF:  
Wrap Text
Quarterly Pillar 3 Capital Adequacy, Liquidity and Leverage Disclosures at 28 February 2026

Capitec Bank Holdings Limited
Registration number 1999/025903/06
Incorporated in the Republic of South Africa
Registered bank controlling company
Ordinary Share Code: CPI ISIN Number: ZAE000035861
Preference Share Code: CPIP ISIN Number: ZAE000083838
("Capitec")

Capitec Bank Limited
Registration number 1980/003695/06
Incorporated in the Republic of South Africa
Registered bank
Company code: BICAP
("Capitec Bank")

Quarterly Pillar 3 capital adequacy, liquidity and leverage disclosures at
28 February 2026

Shareholders are advised that Capitec and Capitec Bank have released their
Pillar 3 disclosure report for the financial year ended 28 February 2026.

The disclosures have been prepared in accordance with Directive 10 of 2025
issued by the Prudential Authority, which sets out the Pillar 3 disclosure
requirements framework issued in terms of section 6(6) of the Banks Act, 94 of
1990. The detailed Pillar 3 disclosure report is available under the "Banks Act
Public Disclosure" section of the Group's website at
https://www.capitecbank.co.za/investor-relations.

The Capitec Group and Capitec Bank capital, liquidity, and leverage positions at
the end of the fourth quarter of the 28 February 2026 financial year (FY) end
are set out below:

Capital Adequacy              Capitec Group                 Capitec Bank
Ratio("CAR")
                         4th Quarter    3rd Quarter     4th Quarter   3rd Quarter
                             FY 2026        FY 2026         FY 2026       FY 2026
                         28 February    30 November     28 February   30 November
                                2026           2025            2026          2025
                           R'000 / %      R'000 / %       R'000 / %     R'000 / %
Common Equity Tier 1
capital (CET1)            47 036 727     47 330 467      47 302 762    45 273 089
CET1 %                          32.5           33.5            33.9          33.3
Additional Tier 1
capital (AT1)                      -              -               -             -
AT1 %                              -              -               -             -
Tier 1 capital (T1)       47 036 727     47 330 467      47 302 762    45 273 089
T1 %                            32.5           33.5            33.9          33.3
General allowance for
credit impairment           1 162 172     1 053 527       1 153 041     1 106 124
Tier 2 capital (T2)         1 162 172     1 053 527       1 153 041     1 106 124
T2 %                              0.8           0.7             0.9           0.8
Total qualifying
regulatory capital        48 198 899     48 383 994      48 455 803    46 379 213
Total qualifying
regulatory capital %            33.3           34.2           34.8           34.1
Required regulatory
capital(1)                18 799 250     16 964 132      18 122 020    16 334 007

  (1)   This value is currently 13% of risk-weighted assets, being the Basel
        global minimum requirement of 8%, the Pillar 2A South African country-
        specific buffer of 1%, the Capital Conservation Buffer of 2.5%, the
        Domestic Systemically Important Bank ("D-SIB") capital add-on of 0.5%,
         and the countercyclical buffer of 1% which was introduced on 1 January
         2026.


 Liquidity Coverage            Capitec Group                Capitec Bank
 Ratio ("LCR")
                          4th Quarter   3rd Quarter   4th Quarter    3rd Quarter
                              FY 2026       FY 2026       FY 2026        FY 2026
                          28 February   30 November   28 February    30 November
                                 2026          2025          2026           2025
                            R'000 / %     R'000 / %     R'000 / %      R'000 / %
 High-quality liquid
 assets ("HQLA")          101 464 194    99 015 935   101 464 194     99 015 935
 Net cash outflows(1)       3 564 563     3 582 875     3 750 310      3 638 543
 Actual LCR %                   2 846         2 764         2 705          2 721
 Required LCR %                   100           100           100            100

(1)The total net weighted cash outflows are calculated as the total cash outflows,
less the minimum of either the cash inflows, or 75% of total outflows.


 Net Stable Funding            Capitec Group                Capitec Bank
 Ratio ("NSFR")
                          4th Quarter   3rd Quarter   4th Quarter    3rd Quarter
                              FY 2026       FY 2026       FY 2026        FY 2026
                          28 February   30 November   28 February    30 November
                                 2026          2025          2026           2025
                            R'000 / %     R'000 / %     R'000 / %      R'000 / %
 Total available
 stable funding           227 960 623   228 575 402   226 216 060    224 475 562
 Total required
 stable funding            99 951 390    98 689 575   102 206 530     99 876 456
 Actual NSFR %                  228.1         231.6         221.3          224.8
 Required NSFR %                  100           100           100            100


 Leverage ratio                Capitec Group               Capitec Bank
                          4th Quarter   3rd Quarter   4th Quarter  3rd Quarter
                              FY 2026       FY 2026       FY 2026       FY 2026
                          28 February   30 November   28 February  30 November
                                 2026          2025          2026          2025
                            R'000 / %     R'000 / %     R'000 / %     R'000 / %
 Tier 1 capital            47 036 727    47 330 467    47 302 762     45 273 089
 Total exposures          237 456 713   233 112 746   234 811 726    230 369 688
 Leverage ratio %                19.8          20.3          20.1           19.7


By order of the Board

Stellenbosch
22 April 2026

Capitec Equity Sponsor: PSG Capital Proprietary Limited
Capitec Bank Debt Sponsor: PSG Capital Proprietary Limited

Date: 22-04-2026 07:06:00
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