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EMIRA PROPERTY FUND LIMITED - Listing of new financial instruments

Release Date: 13/03/2025 10:30
Code(s): EPF030 EPFC58     PDF:  
Wrap Text
Listing of new financial instruments

Emira Property Fund Limited
(Incorporated in the Republic of South Africa)
(Registration number 2014/130842/06)
JSE Bond Company code: EMII
LEI Number: 3789005E23C6259EAE70
(Approved as a REIT by the JSE)
Bond code:      EPF030      ZAG000213372
                EPFC58      ZAG000213380
("Emira")


LISTING OF NEW FINANCIAL INSTRUMENTS


The JSE Limited has granted Emira the listing of two Senior Unsecured Floating Rate Notes, in terms
of its Domestic Medium Term Note Programme dated 20 May 2022, effective 14 November 2024.

EPF030

Debt Security Code:                         EPF030
ISIN:                                       ZAG000213372
Type of Debt Security:                      Floating Rate Notes
Nominal Issued:                             ZAR150 000 000
Issue Price:                                100%
Issue Date:                                 14 March 2025
Interest Commencement Date:                 14 March 2025
Coupon Rate:                                3 Month JIBAR plus 156 basis points
Interest Determination Date(s):             The trade date for the first Interest Period being 11
                                            March 2025, and the first Business Day of each Interest
                                            Period thereafter
First Interest Payment Date:                14 June 2025
Interest Payment Date(s):                   14 March, 14 June, 14 September and 14 December of
                                            each year until the Maturity Date, with the first Interest
                                            Payment Date being 14 June 2025, or, if such day is not a
                                            Business Day, the Business Day on which the interest will
                                            be paid, as determined in accordance with the applicable
                                            Business Day Convention (as specified in this Applicable
                                            Pricing Supplement)
Last Day to Register:                       By 17h00 on 08 June, 08 September, 08 December and
                                            08 March of each year until the Maturity Date, or if such
                                            day is not a Business Day, the Business Day before each
                                            Books Closed Period
Books Close:                                The register will be closed from 09 June to 13 June, 09
                                            September to 13 September, 09 December to 13
                                            December and 09 March to 13 March (all dates inclusive)
                                            in each year until the Maturity Date
Business Day Convention:                    Following Business Day
Maturity Date:                              14 March 2028
Final Maturity Amount:                      100% of the Principal Amount of each Note
Other:                                      The pricing supplement contains additional terms on the
                                            Benchmark Discontinuation under Schedule 1
Summary of Additional Terms:                The pricing supplement contains additional terms on the
                                            Benchmark Discontinuation under Schedule 1
Programme Amount:                           R 5 000 000 000.00
Total Notes in Issue Under Programme:       ZAR3,198,000,000 excluding this Tranche of Notes to be
                                            issued on the Issue Date
Dealer:                                     FirstRand Bank Limited, acting through its Rand
                                            Merchant Bank division

EPFC058

Debt Security Code:                         EPFC58
ISIN:                                       ZAG000213380
Type of Debt Security:                      Floating Rate Notes
Nominal Issued:                             ZAR150 000 000
Issue Price:                                100%
Issue Date:                                 14 March 2025
Interest Commencement Date:                 14 March 2025
Coupon Rate:                                3 Month JIBAR plus 110 basis points
Interest Determination Date(s):             The trade date for the first Interest Period being 11
                                            March 2025, and the first Business Day of each Interest
                                            Period thereafter
First Interest Payment Date:                14 June 2025
Interest Payment Date(s):                   14 June 2025, 14 September 2025, 14 December 2025
                                            and 14 March 2026, with the first Interest Payment Date
                                            being 14 June 2025 or, if such day is not a Business Day,
                                            the Business Day on which the interest will be paid, as
                                            determined in accordance with the applicable Business
                                            Day Convention (as specified in this Applicable Pricing
                                            Supplement)
Last Day to Register:                       By 17h00 on 08 June 2025, 08 September 2025, 08
                                            December 2025, and 08 March 2026 or if such day is not
                                            a Business Day, the Business Day before each Books
                                            Closed Period
Books Close:                                The register will be closed from 09 June 2025 to 13 June
                                            2025, 09 September 2025 to 13 September 2025, 09
                                            December 2025 to 13 December 2025 and 09 March
                                            2026 to 13 March 2026 (all dates inclusive)
Business Day Convention:                    Following Business Day
Maturity Date:                              14 March 2026
Final Maturity Amount:                      100% of the Principal Amount of each Note
Other:                                      The pricing supplement contains additional terms on the
                                            Benchmark Discontinuation under Schedule 1
Summary of Additional Terms:                The pricing supplement contains additional terms on the
                                            Benchmark Discontinuation under Schedule 1
Programme Amount:                           R 5 000 000 000.00
Total Notes in Issue Under Programme:       ZAR3,198,000,000 excluding this Tranche of Notes to be
                                            issued on the Issue Date
Dealer:                                     FirstRand Bank Limited, acting through its Rand
                                            Merchant Bank division


Bryanston
13 March 2025

Debt sponsor
Questco Corporate Advisory

Date: 13-03-2025 10:30:00
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