Full capital redemption: VKE19 and interest payment notifications: VKE20, VKE21, VKE22, VKE25, VKE26, VKE27, VKE28 VUKILE PROPERTY FUND LIMITED (Incorporated in the Republic of South Africa) (Registration number 2002/027194/06) Company code: VKEI (Granted REIT status with the JSE) ("Vukile") FULL CAPITAL REDEMPTION: VKE19 AND INTEREST PAYMENT NOTIFICATIONS: VKE20, VKE21, VKE22, VKE25, VKE26, VKE27 AND VKE28 In accordance with the terms and conditions of the R5 000 000 000 Domestic Medium Term Note Programme dated 23 March 2021, noteholders are advised of the following information in respect of a full capital redemption and interest payment: Bond code: VKE19 ISIN: ZAG000189044 Interest period: 27 May 2025 to 26 August 2025 Coupon rate: 8.832% Capital amount due: R232 000 000.00 Interest amount due: R5 164 663.23 Interest payment date: 27 August 2025 Business date convention: Modified following business day* Noteholders are further advised of the following information in respect of interest payments: Bond code: VKE20 ISIN: ZAG000189051 Interest period: 27 May 2025 to 26 August 2025 Coupon rate: 9.032% Capital amount due: - Interest amount due: R17 051 426.19 Interest payment date: 27 August 2025 Business date convention: Modified following business day* Bond code: VKE21 ISIN: ZAG000198565 Interest period: 27 May 2025 to 26 August 2025 Coupon rate: 8.742% Capital amount due: - Interest amount due: R4 406 926.03 Interest payment date: 27 August 2025 Business date convention: Modified following business day* Bond code: VKE22 ISIN: ZAG000198557 Interest period: 27 May 2025 to 26 August 2025 Coupon rate: 8.882% Capital amount due: - Interest amount due: R10 925 103.34 Interest payment date: 27 August 2025 Business date convention: Modified following business day* Bond code: VKE25 ISIN: ZAG000203399 Interest period: 27 May 2025 to 26 August 2025 Coupon rate: 8.722% Capital amount due: - Interest amount due: R11 651 636.16 Interest payment date: 27 August 2025 Business date convention: Modified following business day* Bond code: VKE26 ISIN: ZAG000203415 Interest period: 27 May 2025 to 26 August 2025 Coupon rate: 8.872% Capital amount due: - Interest amount due: R8 989 645.15 Interest payment date: 27 August 2025 Business date convention: Modified following business day* Bond code: VKE27 ISIN: ZAG000203407 Interest period: 27 May 2025 to 26 August 2025 Coupon rate: 8.992% Capital amount due: - Interest amount due: R12 420 292.38 Interest payment date: 27 August 2025 Business date convention: Modified following business day* Bond code: VKE28 ISIN: ZAG000208000 Interest period: 27 May 2025 to 26 August 2025 Coupon rate: 8.812% Capital amount due: - Interest amount due: R10 261 513.64 Interest payment date: 27 August 2025 Business date convention: Modified following business day* * When the interest payment date falls on a non-business day, such interest payment will be paid on the first business day after the weekend or public holiday. However, if the first business day after the weekend or public holiday falls in a new calendar month the last business day before the weekend or public holiday will be used instead. 8 August 2025 Debt sponsor Java Capital Date: 08-08-2025 01:30:00 Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE'). The JSE does not, whether expressly, tacitly or implicitly, represent, warrant or in any way guarantee the truth, accuracy or completeness of the information published on SENS. The JSE, their officers, employees and agents accept no liability for (or in respect of) any direct, indirect, incidental or consequential loss or damage of any kind or nature, howsoever arising, from the use of SENS or the use of, or reliance on, information disseminated through SENS.