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BISTDB SBKI - Notification of interest amounts
The Standard Bank of South Africa Limited
Incorporated in the Republic of South Africa
Issuer code: BISTDB
Bond Code: SBS100 ISIN N0: ZAG000216953
Bond Code: SBS89 ISIN N0: ZAG000209297
Bond Code: SBS90 ISIN N0: ZAG000209289
Bond Code: SBS91 ISIN N0: ZAG000209271
Bond Code: SBS98 ISIN N0: ZAG000216979
Bond Code: SBS99 ISIN N0: ZAG000216961
Bond Code: SBS77 ISIN N0: ZAG000191040
Bond Code: SBS75 ISIN N0: ZAG000185455
Bond Code: SBS76 ISIN N0: ZAG000185463
Bond Code: SBS86 ISIN N0: ZAG000207044
Bond Code: SBS87 ISIN N0: ZAG000207036
Bond Code: SBS88 ISIN N0: ZAG000207051
Bond Code: SBS52 ISIN N0: ZAG000143512
Bond Code: SBS83 ISIN N0: ZAG000204777
Bond Code: SBS84 ISIN N0: ZAG000204785
Bond Code: SBS85 ISIN N0: ZAG000204793
Standard Bank Group Limited
Incorporated in the Republic of South Africa
JSE Bond Code: SBKI
Bond Code: SBT107 ISIN N0: ZAG000184896
Bond Code: SBT108 ISIN N0: ZAG000187972
Bond Code: SBT211 ISIN N0: ZAG000214461
Bond Code: SBT210 ISIN N0: ZAG000200007
Bond Code: SBT214 ISIN N0: ZAG000224478
Bond Code: SBT213 ISIN N0: ZAG000220039
Bond Code: SBT215 ISIN N0: ZAG000226770
Bond Code: SBFZ01 ISIN N0: ZAG000222449
Bond Code: SBFZ02 ISIN N0: ZAG000222456
Bond Code: SBFZ03 ISIN N0: ZAG000222464
Bond Code: SBFZ04 ISIN N0: ZAG000223066
Notification of Interest Amounts
In accordance with the JSE Limited Debt and Specialist Securities Listings Requirements, noteholders are
hereby advised of the interest amounts details as follows:
Total Interest Amounts in respect of
Interest
Instrument Code Interest Rate % Aggregate Nominal Amount
Payment Date
R
SBS100 08/10/2026 8,150 16 762 652,05
SBS89 08/10/2026 7,980 17 901 435,62
SBS90 08/10/2026 8,180 12 308 995,07
SBS91 08/10/2026 8,240 20 686 237,81
SBS98 08/10/2026 7,840 9 564 370,41
SBS99 08/10/2026 8,020 19 628 565,48
SBT107 08/10/2026 10,790 42 399 674,52
SBT108 13/10/2026 10,708 53 980 054,79
SBS77 19/10/2026 8,467 46 419 805,56
SBT210 19/10/2026 8,917 80 033 128,77
SBT214 19/10/2026 8,344 43 312 613,24
SBT213 22/10/2026 8,563 43 166 904,11
SBT215 22/10/2026 8,283 31 656 491,48
SBS75 26/10/2026 8,442 41 778 648,49
SBS76 26/10/2026 8,732 44 041 097,97
SBS86 26/10/2026 8,022 9 320 025,53
SBS87 26/10/2026 8,192 18 442 773,04
SBS88 26/10/2026 8,292 23 819 667,35
SBT211 26/10/2026 8,642 43 091 616,44
SBS52 29/10/2026 9,042 53 090 462,58
SBS83 29/10/2026 8,032 17 208 284,93
SBS84 29/10/2026 8,212 34 794 581,48
SBS85 29/10/2026 8,292 9 802 279,89
SBFZ01 30/10/2026 7,959 19 560 632,50
SBFZ02 30/10/2026 8,099 39 931 864,97
SBFZ03 30/10/2026 8,179 36 903 906,83
SBFZ04 30/10/2026 8,239 20 248 742,09
Further details of each of these notes may be obtained from the Applicable Pricing Supplements
applicable thereto which can be viewed at or downloaded from the Issuer’s website:
www.standardbank.co.za
Johannesburg
25 September 2026
Debt Sponsor: The Standard Bank of South Africa Limited
Date: 28/09/2026 07:05:00
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