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GOLDMAN SACHS INTERNATIONAL - New Listing Notification GS004C, GS005C and GS006C

Release Date: 15/02/2024 08:56
Code(s): GS004C GS005C GS006C     PDF:  
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New Listing Notification – GS004C, GS005C and GS006C

GOLDMAN SACHS INTERNATIONAL
(incorporated with unlimited liability in in England and Wales)
(the Issuer)




New Listing Notification – GS004C, GS005C and GS006C


The JSE Limited has granted a listing to Goldman Sachs International under the Series P Programme for
the issuance of Warrants, Notes and Certificates on the Main Board with effect from 15 February 2024.

Bond Code                               GS004C.

ISIN No.                                ZAE000332722

Nominal Amount                          ZAR100,000,000.00.

Issue Price                             ZAR1,000.00 per Note.

Underlying Asset                        Ordinary shares of ABSA Group Limited (Bloomberg page: ABG
                                        SJ Equity; Reuters screen: ABGJ.J; ISIN: ZAE0000255915).

Declaration Date                       26 January 2027.

Last Day to Trade                       9 February 2027.

Suspension Date                        10 February 2027.

Record Date                             12 February 2027.

Final Maturity / Settlement Date        15 February 2027.

Termination Date                        16 February 2027.



Bond Code                               GS005C.

ISIN No.                                ZAE000332730

Nominal Amount                          ZAR100,000,000.00.

Issue Price                             ZAR1,000.00 per Note.

Underlying Asset                        Ordinary shares of Sasol Limited (Bloomberg page: SOL SJ
                                        Equity; Reuters screen: SOLJ.J; ISIN: ZAE000006896).

Declaration Date                       26 January 2027.

Last Day to Trade                       9 February 2027.

Suspension Date                        10 February 2027.

Record Date                             12 February 2027.

Maturity / Settlement Date              15 February 2027.

Termination Date                        16 February 2027.



Bond Code                          GS006C.

ISIN No.                           ZAE000332748

Nominal Amount                     ZAR100,000,000.00.

Issue Price                        ZAR1,000.00 per Note.

Underlying Asset                   Ordinary shares of British American Tobacco plc. (Bloomberg
                                   page: BATS LN Equity; Reuters screen: BATS.L; ISIN:
                                   GB0002875804).

Declaration Date                   23 January 2029.

Last Day to Trade                  6 February 2029.

Suspension Date                    7 February 2029.

Record Date                        9 February 2029.

Maturity/ Settlement Date          15 February 2029.

Termination Date                   16 February 2029.



Applicable Pricing Supplements

www.goldmansachs.co.za/en/services/pricingsupplements




Johannesburg
14 February 2024
Debt Sponsor
The Standard Bank of South Africa Limited (Debt Sponsor)

Date: 15-02-2024 08:56:00
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