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CAPITEC:  442,198   -293 (-0.07%)  30/09/2026 09:56

CAPITEC LIMITED - Quarterly Pillar 3 Capital Adequacy, Liquidity And Leverage Disclosures At 31 August 2026

Release Date: 30/09/2026 07:06
Code(s): CBL32 CPI CPIP     PDF:  
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 Quarterly Pillar 3 Capital Adequacy, Liquidity And Leverage Disclosures At 31 August 2026

CAPITEC LIMITED (previously Capitec Bank Holdings Limited)
Registration number 1999/025903/06
Incorporated in the Republic of South Africa
Registered bank controlling company
Ordinary Share Code: CPI ISIN Number: ZAE000035861
Preference Share Code: CPIP ISIN Number: ZAE000083838
("Capitec")

CAPITEC BANK LIMITED
Registration number 1980/003695/06
Incorporated in the Republic of South Africa
Registered bank
Company code: BICAP
(“Capitec Bank”)

Quarterly Pillar 3 capital adequacy, liquidity and leverage disclosures at
31 August 2026

Shareholders are advised that Capitec and Capitec Bank have released their
Pillar 3 disclosure report for the financial quarter ended 31 August 2026.

The disclosures have been prepared in accordance with Directive 10 of 2025
issued by the Prudential Authority, which sets out the Pillar 3 disclosure
requirements framework issued in terms of section 6(6) of the Banks Act, 94 of
1990. The detailed Pillar 3 disclosure report is available under the “Banks Act
Public Disclosure” section of the Group’s website at
https://www.capitecbank.co.za/investor-relations.

The Capitec Group and Capitec Bank capital, liquidity, and leverage positions at
the end of the second quarter of the 28 February 2027 financial year (FY) end
are set out below:

Capital Adequacy              Capitec Group               Capitec Bank
Ratio(“CAR”)
                         2nd Quarter    1st Quarter   2nd Quarter   1st Quarter
                             FY 2027        FY 2027       FY 2027       FY 2027
                           31 August         31 May     31 August        31 May
                                2026           2026          2026          2026
                           R’000 / %      R’000 / %     R’000 / %     R’000 / %
Common Equity Tier 1
capital (CET1)            53 400 745     51 517 409    50 861 715    49 221 115
CET1 %                          33.5           34.9          33.4          34.4
Additional Tier 1
capital (AT1)                      -              -             -             -
AT1 %                              -              -             -             -
Tier 1 capital (T1)       53 400 745     51 517 409    50 861 715    49 221 115
T1 %                            33.5           34.9          33.4          34.4
General allowance for
credit impairment           1 254 349     1 190 985     1 265 827     1 186 893
Tier 2 capital (T2)         1 254 349     1 190 985     1 265 827     1 186 893
T2 %                              0.8           0.8           0.8           0.8
Total qualifying
regulatory capital        54 655 094     52 708 394    52 127 542    50 408 008
Total qualifying
regulatory capital %            34.3           35.7          34.2            35.2
Required regulatory
capital(1)                20 734 544     19 191 728    19 819 285    18 595 410

(1)This value is currently 13% of risk-weighted assets, being the Basel global
minimum requirement of 8%, the Pillar 2A South African country-specific buffer
of 1%, the Capital Conservation Buffer of 2.5%, the Domestic Systemically
Important Bank (“D-SIB”) capital add-on of 0.5%, and the countercyclical
buffer of 1%.
 Liquidity Coverage            Capitec Group                Capitec Bank
 Ratio (“LCR”)
                          2nd Quarter   1st Quarter   2nd Quarter    1st Quarter
                              FY 2027       FY 2027       FY 2027        FY 2027
                            31 August        31 May     31 August         31 May
                                 2026          2026          2026           2026
                            R’000 / %     R’000 / %     R’000 / %      R’000 / %
 High-quality liquid
 assets (“HQLA”)          102 136 698   100 869 614   102 136 698    100 869 614
 Net cash outflows(1)       3 824 795     4 190 423     3 903 656      4 275 689
 Actual LCR %                   2 670         2 407         2 616          2 359
 Required LCR %                   100           100           100            100

(1)The total net weighted cash outflows are calculated as the total cash outflows,
less the minimum of either the cash inflows, or 75% of total outflows.

 Net Stable Funding            Capitec Group                Capitec Bank
 Ratio (“NSFR”)
                          2nd Quarter   1st Quarter   2nd Quarter    1st Quarter
                              FY 2027       FY 2027       FY 2027        FY 2027
                            31 August        31 May     31 August         31 May
                                 2026          2026          2026           2026
                            R’000 / %     R’000 / %     R’000 / %      R’000 / %
 Total available
 stable funding           240 854 708   234 446 445   235 869 893    229 452 882
 Total required
 stable funding           107 712 297   104 315 494   109 549 306    106 022 122
 Actual NSFR %                  223.6         224.7         215.3          216.4
 Required NSFR %                  100           100           100            100


 Leverage ratio                Capitec Group               Capitec Bank
                          2nd Quarter   1st Quarter   2nd Quarter   1st Quarter
                              FY 2027       FY 2027       FY 2027       FY 2027
                            31 August        31 May     31 August        31 May
                                 2026          2026          2026          2026
                            R’000 / %     R’000 / %     R’000 / %     R’000 / %
 Tier 1 capital            53 400 745    51 517 409    50 861 715     49 221 115
 Total exposures          251 260 134   245 294 890   248 731 082    242 620 006
 Leverage ratio %                21.3          21.0          20.4           20.3

By order of the Board

Stellenbosch
30 September 2026

Capitec Equity Sponsor: PSG Capital Proprietary Limited
Capitec Bank Debt Sponsor: PSG Capital Proprietary Limited
Date: 30/09/2026 07:06:00
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