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LIFE HEALTHCARE FUNDING LIMITED - Listing of New Financial Instruments

Release Date: 11/03/2026 10:00
Code(s): LHC08 LHC07     PDF:  
Wrap Text
Listing of New Financial Instruments

LIFE HEALTHCARE FUNDING LIMITED
(Incorporated in the Republic of South Africa)
(Registration number 2016/273566/06)
LEI: 3789SJPQJZF8ZYXTZ394
Bond company code: LHFI
Bond code: LHC07 ISIN: ZAG000223181
Bond code: LHC08 ISIN: ZAG000223207
("Life Healthcare Funding" or the "Issuer")

LISTING OF NEW FINANCIAL INSTRUMENTS

The JSE has granted the Issuer the listing of its LHC07 and LHC08 senior unsecured notes, in terms of
its Domestic Medium Term Note Programme (the "Programme") established on 30 June 2022 and
amended and restated on 22 February 2024, as guaranteed by Life Healthcare Group Holdings Limited,
Life Healthcare Group (Pty) Limited and Life UK Holdco Limited, effective 12 March 2026.

 Debt security code:               LHC07                              LHC08

 ISIN:                             ZAG000223181                       ZAG000223207

 Type of debt security:            Floating rate notes                Floating rate notes

 Nominal issued:                   R809 000 000.00                    R691 000 000.00

 Coupon rate:                      3 Month ZAR-JIBAR plus             3 Month ZAR-JIBAR plus
                                   88 basis points                    94 basis points

 Interest payment date(s):         31 March, 30 June, 30              31 March, 30 June, 30
                                   September and 31 December          September and 31 December
                                   of each year until the Maturity    of each year until the Maturity
                                   Date, with the first Interest      Date, with the first Interest
                                   Payment Date being 30 June         Payment Date being 30 June
                                   2026 and the last Interest         2026 and the last Interest
                                   Payment Date being 12 March        Payment Date being 12 March
                                   2029                               2031

 Last day to register:             By 17h00 on 25 March, 24           By 17h00 on 25 March, 24
                                   June, 24 September, 25             June, 24 September and 25
                                   December of each year until        December of each year until
                                   the Maturity Date, with the        the Maturity Date, with the
                                   final Last Day to Register being   final Last Day to Register being
                                   6 March 2029                       6 March 2031

 Books close:                      26 March to 30 March, 25 June      26 March to 30 March, 25 June
                                   to 29 June, 25 September to        to 29 June, 25 September to
                                   29 September and 26                29 September and 26
                                   December to 30 December of         December to 30 December of
                                   each year until the Maturity       each year until the Maturity
                                   Date, with the final Books         Date, with the final Books
                                   Closed Period being from 7         Closed Period being from 7
                                   March 2029 to 11 March 2029        March 2031 to 11 March 2031
                                   (all dates inclusive)              (all dates inclusive)

 Issue date:                       12 March 2026                      12 March 2026

 Issue price:                      100%                               100%

 Interest commencement date:       12 March 2026                      12 March 2026

 Interest determination date(s):   The first business day of each     The first business day of each
                                   Interest Period of each year       Interest Period of each year
                                   until the Maturity Date, with      until the Maturity Date, with
                                   the first Interest Rate            the first Interest Rate
                                   Determination Date being 9         Determination Date being 9
                                   March 2026                         March 2026

 Business day convention:          Following business day             Following business day

 Maturity date:                    12 March 2029                      12 March 2031

 Final maturity amount:            100% of the nominal amount         100% of the nominal amount

 Other:                            The pricing supplement does        The pricing supplement does
                                   not contain any additional         not contain any additional
                                   terms and conditions to the        terms and conditions to the
                                   terms and conditions as            terms and conditions as
                                   contained in the Programme         contained in the Programme

 Summary of additional terms:      Not applicable                     Not applicable

 Programme amount:                 R7 000 000 000.00                  R7 000 000 000.00

 Total notes in issue under        R2 500 000 000 exclusive of        R2 500 000 000 exclusive of
 programme:                        these issuances                    these issuances

 Dealer:                           Nedbank     Limited,    acting     Nedbank     Limited,    acting
                                   through its Corporate and          through its Corporate and
                                   Investment Banking division        Investment Banking division



11 March 2026

Debt sponsor
Questco Proprietary Limited

Date: 11-03-2026 10:00:00
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