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ABSA GROUP LIMITED - AGF08_AGF09_AGF10 - New Financial Instrument Listing

Release Date: 26/06/2026 11:45
Code(s): AGF09 AGF08 AGF10     PDF:  
Wrap Text
AGF08_AGF09_AGF10 - New Financial Instrument Listing

ABSA GROUP LIMITED
JSE Code:  AGF08
ISIN No:   ZAG000226036
JSE Code:  AGF09
ISIN No:   ZAG000226044
JSE Code:  AGF10
ISIN No:   ZAG000226051


NEW FINANCIAL INSTRUMENTS LISTING

The JSE Limited has granted a listing to Absa Group Limited's "AGF08, AGF09 and AGF10 Notes"
under its Domestic Medium Term Note Programme dated 26 January 2026. The Note is classified as
Flac Instruments in accordance with Condition 5 (Status). Investors should study the Applicable Pricing
Supplement ("Pricing Supplement") for full details of the terms and conditions applicable to this Note.

INSTRUMENTS TYPE:                         FLOATING RATE FLAC CALLABLE NOTE

Authorised Programme Size                 R110,000,000,000.00
Total Notes in issue                      R33,918,000,000.00 (Including these tranches)


Bond Code                                 AGF08
ISIN No                                   ZAG000226036
Nominal Value                             R1,057,000,000
Issue price                               100%
Coupon                                    90 bps plus ZARONIA
Coupon Rate Indicator                     Floating
Trade Type                                Price
Issue Date                                30 June 2026
Interest Commencement Date                30 June 2026
Interest Payment Date(s)                  30 March, 30 June, 30 September and 30 December, with the first
                                          Interest Payment Date being 30 September 2026
Interest Determination Date(s)            The 5th (fifth) Johannesburg Business Day (as defined in
                                          Condition 6.2.4 (Screen Rate Determination for Floating Rate
                                          Notes which reference ZARONIA) prior to each Interest Payment
                                          Date
Last day to register                      By 17h00 on 29 March, 29 June, 29 September and
                                          29 December, or if such day is not a Business Day, the Last Day
                                          to Register will be no later than one Business Day immediately
                                          before each Interest Payment Date
Books Close Date(s)                       N/A
First Optional Redemption Date (Call)     30 June 2029
Final Maturity Date                       30 June 2030
Date Convention                           Modified Following
Additional Information                    Unsecured, Flac Instrument


Bond Code                                 AGF09
ISIN No                                   ZAG000226044
Nominal Value                             R1,083,000,000
Issue price                               100%
Coupon                                    108.5 bps plus ZARONIA
Coupon Rate Indicator                     Floating
Trade Type                                Price
Issue Date                                30 June 2026
Interest Commencement Date                30 June 2026
Interest Payment Date(s)                  30 March, 30 June, 30 September and 30 December, with the first
                                          Interest Payment Date being 30 September 2026
Interest Determination Date(s)            The 5th (fifth) Johannesburg Business Day (as defined in
                                          Condition 6.2.4 (Screen Rate Determination for Floating Rate
                                          Notes which reference ZARONIA) prior to each Interest Payment
                                          Date
Last day to register                      By 17h00 on 29 March, 29 June, 29 September and
                                          29 December, or if such day is not a Business Day, the Last Day
                                          to Register will be no later than one Business Day immediately
                                          before each Interest Payment Date
Books Close Date(s)                       N/A
First Optional Redemption Date (Call)     30 June 2031
Final Maturity Date                       30 June 2032
Date Convention                           Modified Following
Additional Information                    Unsecured, Flac Instrument


Bond Code                                 AGF10
ISIN No                                   ZAG000226051
Nominal Value                             R440,000,000
Issue price                               100%
Coupon                                    116.5 bps plus ZARONIA
Coupon Rate Indicator                     Floating
Trade Type                                Price
Issue Date                                30 June 2026
Interest Commencement Date                30 June 2026
Interest Payment Date(s)                  30 March, 30 June, 30 September and 30 December, with the first
                                          Interest Payment Date being 30 September 2026
Interest Determination Date(s)            The 5th (fifth) Johannesburg Business Day (as defined in
                                          Condition 6.2.4 (Screen Rate Determination for Floating Rate
                                          Notes which reference ZARONIA) prior to each Interest Payment
                                          Date
Last day to register                      By 17h00 on 29 March, 29 June, 29 September and
                                          29 December, or if such day is not a Business Day, the Last Day
                                          to Register will be no later than one Business Day immediately
                                          before each Interest Payment Date
Books Close Date(s)                       N/A
First Optional Redemption Date (Call)     30 June 2033
Final Maturity Date                       30 June 2034
Date Convention                           Modified Following
Additional Information                    Unsecured, Flac Instrument




26 June 2026

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

Date: 26-06-2026 11:45:00
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