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INVESTEC BANK LIMITED - New Financial Instrument Listing Announcement IVC339

Release Date: 14/04/2025 07:05
Code(s): IVC339     PDF:  
Wrap Text
New Financial Instrument Listing Announcement – IVC339

Investec Bank Limited
(Incorporated in the Republic of South Africa)
(Registration number: 1969/004763/06)
Issuer code: BIINLP
LEI No: 549300RH5FFHO48FXT69

New Financial Instrument Listing Announcement – IVC339

Application has been made to the JSE Limited ("JSE") for the listing of R190,000,000 (one
hundred and ninety million Rand) senior unsecured floating rate credit linked Notes (stock
code IVC339), under Investec Bank Limited's Credit Linked Note Programme dated
17 March 2021.

The IVC339 Notes will be issued to Noteholders on the date of listing being with effect from
15 April 2025 commencement of trade.

Salient features of the IVC339 Notes are listed below:

Issuer                                              Investec Bank Limited

Principal Amount                                    R1,000,000 per Note on the Issue
                                                    Date

Instrument                                          Senior unsecured credit linked
                                                    Notes

Issue Date                                          15 April 2025

Nominal Amount per Note                             R1,000,000

Interest Rate                                       JIBAR-SAFEX with a Designated
                                                    Maturity of 3 months plus a margin of:
                                                    2.25% (two point two five percent) for
                                                    the period beginning on and including
                                                    the Issue Date to but excluding the
                                                    applicable Redemption Date (adjusted
                                                    in accordance with the applicable
                                                    Business Day Convention)


Scheduled Maturity Date                             31 January 2037

Issue price per Note                                100%

Final Redemption Amount per Note                    The outstanding Principal Amount per
                                                    Note plus accrued, unpaid interest (if
                                                    any) to, but excluding, the Scheduled
                                                    Maturity Date

Interest Commencement Date                          Issue Date

Books Close Period                                  from     21     to   31    January,
                                                    20 to 30 April, 21 to 31 July and
                                                    from 21 to 31 October in each year
                                                    (inclusive of the first date and
                                                    exclusive of the last day of each
                                                    period)    until   the   applicable
                                                    Redemption Date, or 10 (ten) days
                                                    prior to but excluding any Payment
                                                    Day

Last Day to Register                                20 January, 19 April, 21 July and
                                                    21 October in each year, or if such
                                                    day is not a Business Day, the
                                                    Business Day before each Books
                                                    Closed Period, or the last Business
                                                    Day immediately preceding the
                                                    commencement of the Books
                                                    Closed Period

Interest Payment Dates                              31 January, 30 April, 31 July and
                                                    31 October of each calendar year,
                                                    with the first Interest Payment Date
                                                    being 30 April 2025 and if any of
                                                    these dates are not a Business
                                                    Day, the Business Day on which
                                                    interest will be paid, will be as
                                                    determined in accordance with the
                                                    applicable         Business     Day
                                                    Convention


Business Day Convention                             Following Business Day

JSE Stock Code                                      IVC339

ISIN                                                ZAG000214925

Aggregate Nominal Amount of Notes Outstanding       ZAR15,580,495,226 (fifteen billion
under the Programme after this issuance             five hundred and eighty million four
                                                    hundred and ninety five thousand
                                                    two hundred and twenty six Rand)


The Pricing Supplement does not contain any
additional terms and conditions or changes to the
terms and conditions as contained in the
Programme Memorandum.

Investors should study the Applicable Pricing
Supplement for full details of the terms and
conditions applicable to these Notes.


Date: 14 April 2025
Debt Sponsor:
Investec Bank Limited
Bongani.Ntuli@investec.co.za

Date: 14-04-2025 07:05:00
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