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REPUBLIC OF SOUTH AFRICA - Notification of periodic distribution amounts RS2029, RS2031, RS2034 and RS2036

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Notification of periodic distribution amounts – RS2029, RS2031, RS2034 and RS2036

REPUBLIC OF SOUTH AFRICA                    REPUBLIC OF SOUTH AFRICA
Department of National Treasury             through
Issuer code: BIRSA                          The RSA Domestic Sukuk Trustee (RF) Proprietary
("National Treasury")                       Limited (as trustee of The RSA Domestic Sukuk Trust)
                                            Incorporated in the Republic of South Africa
                                            Registration number: 2023/671880/07
                                            Issuer code: RSDI
                                            Bond code: RS2029 ISIN: ZAG000201260
                                            Bond code: RS2031 ISIN: ZAG000201278
                                            Bond code: RS2034 ISIN: ZAG000201286
                                            Bond code: RS2036 ISIN: ZAG000201294
                                            ("Trustee")

NOTIFICATION OF PERIODIC DISTRIBUTION AMOUNTS – RS2029, RS2031, RS2034 AND RS2036

Any capitalised terms not defined in this announcement shall have the meanings ascribed thereto in the section
of the Programme Memorandum, dated 21 November 2023, headed "Terms and Conditions of the Trust
Certificates", relating to the Republic of South Africa's Domestic Trust Certificate Issuance Programme (the
"Programme").

The National Treasury and the Trustee hereby notify Certificate holders of the Periodic Distribution Amounts due
on Monday, 31 March 2025 under the fixed profit rate senior unsecured Trust Certificates issued under the
Programme with stock codes RS2029, RS2031, RS2034 and RS2036:

 Return Accumulation Period:                               30 September 2024 – 30 March 2025
 Periodic Distribution Date:                               31 March 2025
 Date Convention:                                          Following Business Day

 Stock Code                      ISIN                          Profit Rate (%)         Periodic Distribution
                                                                                                      Amount
 RS2029                          ZAG000201260                             9.87               R369,631,500.00
 RS2031                          ZAG000201278                            10.64               R471,671,200.00
 RS2034                          ZAG000201286                            11.58               R143,534,100.00
 RS2036                          ZAG000201294                            11.90                R92,284,500.00


For further enquiries contact:

Terry Bomela-Msomi
National Treasury - Asset and Liability Management
Director: Debt Issuance and Management
012 315 5753 / +27 66 289 2492

Phillemon Ledwaba
TMF Corporate Services (South Africa) Proprietary Limited (representative of the Trustee)
011 666 0760 / +27 76 690 4003
Candice Risi
TMF Corporate Services (South Africa) Proprietary Limited (representative of the Trustee)
+27 66 444 0611


Pretoria
25 March 2025

Debt Sponsor
One Capital
Date: 25-03-2025 05:15:00
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