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SANLAM LIFE INSURANCE LIMITED - SLI14 SLI15 SLI16 SLI17 New Listing

Release Date: 04/08/2026 12:08
Code(s): SLI14 SLI16 SLI17 SLI15     PDF:  
Wrap Text
SLI14 SLI15 SLI16 SLI17 New Listing

Sanlam Life Insurance Limited
(Incorporated in the Republic of South Africa)
(Registration No. 1998/021121/06)
Bond Issuer Code: BISLI
LEI: 378900E10332DF012A23
("Sanlam Life" or the "Company")

Bond Code: SLI14
ISIN No: ZAG000227257

Bond Code: SLI15
ISIN No: ZAG000227232

Bond Code: SLI16
ISIN No: ZAG000227216

Bond Code: SLI17
ISIN No: ZAG000227240

("Sanlam Life" or the "Company")

NEW FINANCIAL INSTRUMENTS LISTING

The JSE Limited has granted financial instrument listings to SANLAM LIFE INSURANCE
LIMITED, "SLI14", "SLI15", "SLI16" and "SLI17" notes under its Unsecured Subordinated Note
Programme dated 4 August 2021.

Authorised programme size                    R12,500,000,000.00
Total notes in issue                         ZAR8,421,000,000.00 (excluding these notes)

Full Note details are as follows:

INSTRUMENT TYPES                             Fixed Rate Note

Bond Code                                    SLI14
ISIN No.                                     ZAG000227257
Nominal Issued                               ZAR750,000,000
Issue Price                                  100%
Coupon Rate                                  9.018 percent, per annum payable semi-annually in
                                             arrear
Trade Type                                   Price
Final Maturity Date                          5 August 2033
Last Day to Register                         By 17h00 on 30 January and 30 July or if such
                                             day is not a Business Day, the Business Day
                                             before each Books Closed Period in each year
                                             until the Maturity Date or if any early
                                             redemption occurs, 5 Days prior to the
                                             actual Redemption Date
Books Closed Period(s)                       The Register will be closed from 31 January to 4
                                             February and 31 July to 4 August (all dates
                                             inclusive) in each year until the Maturity Date or if
                                             any early redemption occurs, 5 Days prior to the
                                             actual Redemption Date
Interest Payment Dates                       5 February and 5 August of each year until the
                                             Maturity Date
First Interest Payment Date                  5 February 2026
Interest Commencement Date                   5 August 2026
Issue Date                                   5 August 2026
Date Convention                              Following Business Day


INSTRUMENT TYPES                             Floating Rate Note

Bond Code                                    SLI15
ISIN No.                                     ZAG000227232
Nominal Issued                               ZAR820,000,000
Issue Price                                  100%
Coupon Rate                                  ZARONIA Compounded Daily plus 107bps
Coupon Rate Indicator                        Floating
Trade Type                                   Price
Final Maturity Date                          5 August 2031
Last Day to Register                         By 17h00 on 4 February, 4 May, 4 August and
                                             4 November or if such day is not a Business Day,
                                             the Business Day before each Floating Interest
                                             Payment Date, in each year until the Maturity Date
                                             or if any early redemption occurs, 1 Day prior to the
                                             actual Redemption Date
Interest Payment Dates                       5 February, 5 May, 5 August and 5 November of
                                             each year until the Maturity Date
First Interest Payment Date                  5 November 2027
Interest Commencement Date                   5 August 2026
Issue Date                                   5 August 2026
Date Convention                              Following Business Day


INSTRUMENT TYPES                             Fixed Rate Note

Bond Code                                    SLI16
ISIN No.                                     ZAG000227216
Nominal Issued                               ZAR1,180,000,000
Issue Price                                  100%
Coupon Rate                                  8.783 percent per annum, payable semi-annually in
                                             arrear
Trade Type                                   Price
Final Maturity Date                          5 August 2031
Last Day to Register                         By 17h00 on 30 January and 30 July or if such day
                                             is not a Business Day, the Business Day before
                                             each Books Closed Period, in each year until the
                                             Maturity Date or if any early redemption occurs, 6
                                             Days prior to the actual Redemption Date
Books Closed Period(s)                       The Register will be closed from 31 January to 4
                                             February and 31 July to 4 August (all dates
                                             inclusive) in each year until the Maturity Date or if
                                             any early redemption occurs, 5 Days prior to the
                                             actual Redemption Date
Interest Payment Dates                       5 February and 5 August of each year until the
                                             Maturity Date
First Interest Payment Date                  5 February 2027
Interest Commencement Date                   5 August 2026
Issue Date                                   5 August 2026
Date Convention                              Following Business Day


INSTRUMENT TYPES                             Fixed Rate Note

Bond Code                                    SLI17
ISIN No.                                     ZAG000227240
Nominal Issued                               ZAR250,000,000
Issue Price                                  100%
Coupon Rate                                  9.77 percent per annum, payable semi-annually in
                                             arrear
Trade Type                                   Price
Final Maturity Date                          5 August 2036
Last Day to Register                         By 17h00 on 30 January and 30 July or if such day
                                             is not a Business Day, the Business Day before
                                             each Books Closed Period, in each year until the
                                             Maturity Date or if any early redemption occurs, 6
                                             Days prior to the actual Redemption Date
Books Closed Period(s)                       The Register will be closed from 31 January to 4
                                             February and 31 July to 4 August (all dates
                                             inclusive) in each year until the Maturity Date or if
                                             any early redemption occurs, 5 Days prior to the
                                             actual Redemption Date
Interest Payment Dates                       5 February and 5 August of each year until the
                                             Maturity Date,
First Interest Payment Date                  5 February 2027;
Interest Commencement Date                   5 August 2026
Issue Date                                   5 August 2026
Date Convention                              Following Business Day


Johannesburg

04 August 2026

Debt Sponsor: The Standard Bank of South Africa Limited

Date: 04-08-2026 12:08:00
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