Coupon Payment Notification - BNP Paribas Issuance B.V. BNP Paribas Issuance B.V. (Incorporated in the Netherlands) JSE Stock Code: ZA243 ISIN: ZAE000311643 Series: EI0851BRD JSE Stock Code: ZA244 ISIN: ZAE000310199 Series: CE0872BRD JSE Stock Code: ZA245 ISIN: ZAE000310215 Series: CE0873BRD JSE Stock Code: ZA248 ISIN: ZAE000311015 Series: CE0877BRD ("BNP") JSE Stock Code: ZA243 ISIN: ZAE000311643 Series: EI0851BRD COUPON PAYMENT OF ZAR100,000,000 FIXED RATE NOTES WITH INDEX LINKED REMPTION DUE 21 JUNE 2027 Holders of the BNP Paribas Issuance B.V. – ZA243 Fixed Rate Notes with Index Linked Redemption due 21 June 2027 are hereby advised that the rate and the coupon payment amount to be paid on 20 June 2023 will be announced on 12 June 2023. The salient dates relating to this payment are as follows: 2023 Last date to trade Monday, 12 June Ex date Tuesday, 13 June Record Date Thursday, 15 June Payment Date Tuesday, 20 June JSE Stock Code: ZA244 ISIN: ZAE000310199 Series: CE0872BRD COUPON PAYMENT OF ZAR15,000,000 INDEX SECURITIES DUE 17 JUNE 2027 Holders of the BNP Paribas Issuance B.V. – ZA244 Index Securities due 17 June 2027 are hereby advised that the rate and the coupon payment amount to be paid on 19 June 2023 will be announced on 09 June 2023. The salient dates relating to this payment are as follows: 2023 Last date to trade Monday, 12 June Ex date Tuesday, 13 June Record Date Thursday, 15 June Payment Date Monday, 19 June JSE Stock Code: ZA245 ISIN: ZAE000310215 Series: CE0873BRD COUPON PAYMENT OF ZAR15,000,000 INDEX SECURITIES DUE 17 JUNE 2027 Holders of the BNP Paribas Issuance B.V. – ZA245 Index Securities due 17 June 2027 are hereby advised that the rate and the coupon payment amount to be paid on 19 June 2023 will be announced on 09 June 2023. The salient dates relating to this payment are as follows: 2023 Last date to trade Monday, 12 June Ex date Tuesday, 13 June Record Date Thursday, 15 June Payment Date Monday, 19 June JSE Stock Code: ZA248 ISIN: ZAE000311015 Series: CE0877BRD COUPON PAYMENT OF ZAR50,000,000 INDEX SECURITIES DUE 30 MAY 2025 Holders of the BNP Paribas Issuance B.V. – ZA248 Index Securities due 30 May 2025 are hereby advised that the rate and the coupon payment amount to be paid on 01 June 2023 will be announced on 25 May 2023. The salient dates relating to this payment are as follows: 2023 Last date to trade Tuesday, 23 May Ex date Wednesday, 24 May Record Date Friday, 26 May Payment Date Thursday, 01 June Johannesburg 19 May 2023 Debt Sponsor The Standard Bank of South Africa Limited Date: 19-05-2023 02:40:00 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.