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CLINDEB INVESTMENTS LIMITED - Notification of new listings NTC48 and NTC49

Release Date: 20/03/2026 12:48
Code(s): NTC48 NTC49     PDF:  
Wrap Text
Notification of new listings – NTC48 and NTC49

CLINDEB INVESTMENTS LIMITED
(Incorporated in the Republic of South Africa)
(Registration No. 1991/001634/06)
Bond Code: NTC48       ISIN No: ZAG000223801
Bond Code: NTC49       ISIN No: ZAG000223819
Issuer Code: BICI

Netcare Limited
("Netcare", "the Company" or "the Group")
Registration number: 1996/008242/06
Incorporated in the Republic of South Africa
("Netcare" or the "Guarantor")

Notification of New Listings – NTC48 and NTC49

The JSE Limited has granted the listings to Clindeb Investments Limited on the Interest Rate Market with
effect from 24 March 2026.



Total notes in Issue:           R5,800,000,000 (exclusive of the NTC48 notes and the NTC49 notes)

Bond code:                      NTC48
ISIN No:                        ZAG000223801
Nominal issued:                 ZAR483,000,000.00
Issue price:                    100%
Coupon:                         3 Month ZAR-JIBAR plus 88 bps
Coupon rate indicator:          Floating
Trade type:                     Price
Final maturity date:            24 March 2029
Books close date:               19 March to 23 March, 19 June to 23 June, 19 September to 23 September
                                and from 19 December to 23 December
Interest payment date(s):       24 June, 24 September, 24 December and 24 March
Last day to register:           By 17h00 on 18 March, 18 June, 18 September and 18 December
Issue date:                     24 March 2026
Date convention:                Following
Interest commencement date:     24 March 2026
First interest payment date:    24 June 2026
Additional information          Senior Unsecured


Bond code:                      NTC49
ISIN No:                        ZAG000223819
Nominal issued:                 ZAR750,000,000.00
Issue price:                    100%
Coupon:                         3 Month ZAR-JIBAR plus 93 bps
Coupon rate indicator:          Floating
Trade type:                     Price
Final maturity date:            24 March 2031
Books close date:               19 March to 23 March, 19 June to 23 June, 19 September to 23 September
                                 and from 19 December to 23 December
Interest payment date(s):       24 June, 24 September, 24 December and 24 March
Last day to register:           By 17h00 on 18 March, 18 June, 18 September and 18 December
Issue date:                     24 March 2026
Date convention:                Following
Interest commencement date:     24 March 2026
First interest payment date:    24 June 2026
Additional information          Senior Unsecured


Date: 20 March 2026
Debt Sponsor: Standard Bank of South Africa Limited

Date: 20-03-2026 12:48:00
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