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ABSA BANK LIMITED - Fixed Interim Payments ASN957, ASN961, ASN959, AMB441 and AMB444

Release Date: 13/10/2025 13:30
Code(s): ASN957 ASN961 ASN959 AMB441 AMB444     PDF:  
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Fixed Interim Payments – ASN957, ASN961, ASN959, AMB441 and AMB444

ABSA BANK LIMITED
(Registration number 1986/004794/06)


FIXED INTERIM PAYMENTS – ASN957, ASN961, ASN959, AMB441 AND AMB444

Noteholders are advised of the following fixed interim payments, payable to all noteholders, in accordance with
paragraph 30, 32 or 34 (a), (b) and (c) of the relevant Applicable Pricing Supplements.


Full Note details are as follows:
JSE Short Code                                        ABMBSN957
JSE Alpha Code                                        ASN957
JSE Long Code                                         ABMBSN957-12November2027
ISIN                                                  ZAE000316204
Issue Size                                            16,000
Capital Payment (per unit)*                           R400.00
Interest Payment (per unit)*                          R210.80
Last Date to Trade                                    Friday, 07 November 2025
Ex Date                                               Monday, 10 November 2025
Record Date                                           Wednesday, 12 November 2025
Payment Date                                          Thursday, 13 November 2025


Full Note details are as follows:
JSE Short Code                                        ABMBSN961
JSE Alpha Code                                        ASN961
JSE Long Code                                         ABMBSN961-22NOVEMBER2027
ISIN                                                  ZAE000316949
Issue Size                                            87,214
Capital Payment (per unit)*                           R479.83
Interest Payment (per unit)*                          R192.73
Last Date to Trade                                    Friday, 14 November 2025
Ex Date                                               Monday, 17 November 2025
Record Date                                           Wednesday, 19 November 2025
Payment Date                                          Thursday, 20 November 2025


Full Note details are as follows:
JSE Short Code                                        ABMBSN959
JSE Alpha Code                                        ASN959
JSE Long Code                                         ABMBSN959-23NOVEMBER2027
ISIN                                                  ZAE000316956
Issue Size                                            285,708
Capital Payment (per unit)*                           R250.00
Interest Payment (per unit)*                          R130.25
Last Date to Trade                                    Tuesday, 18 November 2025
Ex Date                                               Wednesday, 19 November 2025
Record Date                                           Friday, 21 November 2025
Payment Date                                          Monday, 24 November 2025


Full Note details are as follows:
JSE Short Code                                        ABMBMB441
JSE Alpha Code                                        AMB441
JSE Long Code                                         ABMBMB441-29NOVEMBER2029
ISIN                                                  ZAE000342077
Issue Size                                            22,938
Capital Payment (per unit)*                           R250.00
Interest Payment (per unit)*                          R46.88
Last Date to Trade                                    Monday, 24 November 2025
Ex Date                                               Tuesday, 25 November 2025
Record Date                                           Thursday, 27 November 2025
Payment Date                                          Friday, 28 November 2025


Full Note details are as follows:
JSE Short Code                                        ABMBMB444
JSE Alpha Code                                        AMB444
JSE Long Code                                         ABMBMB444-29NOVEMBER2029
ISIN                                                  ZAE000342119
Issue Size                                            30,672
Capital Payment (per unit)*                           R500.00
Interest Payment (per unit)*                          R61.25
Last Date to Trade                                    Monday, 24 November 2025
Ex Date                                               Tuesday, 25 November 2025
Record Date                                           Thursday, 27 November 2025
Payment Date                                          Friday, 28 November 2025


*Settlement is outside of Strate.



13 October 2025

Debt Sponsor
Absa Corporate and Investment Bank, a division of Absa Bank Limited

Date: 13-10-2025 01:30:00
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