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THE STANDARD BANK OF SOUTH AFRICA LIMITED - New Financial Instrument Listing Announcement - RLN179?

Release Date: 11/06/2026 11:00
Code(s): RLN179     PDF:  
Wrap Text
New Financial Instrument Listing Announcement - “RLN179”

The Standard Bank of South Africa Limited
New Financial Instrument Listing Announcement - "RLN179"

Stock Code: RLN179
ISIN Code: ZAE000362141


The JSE Limited has granted a listing to The Standard Bank of
South Africa Limited – RLN179 Equity Index Linked Notes due -
21 December 2029- sponsored by The Standard Bank of South Africa
Limited ("the Issuer") under its Structured Note Programme ("the
Programme") dated 20 December 2024 which can be found on the
Issuer's website.

Authorised Programme size                    ZAR150 000 000 000.

Total notes issued                                    ZAR124 517 607 885.34.
(including current issue)

Full Note details are as follows:

Issue Date:                                               12 June 2026.

Nominal Issued:                                       ZAR12 457 000.00.

Redemption Basis:                                   Equity Index Linked.

Issue Price:                                               100 000 ZA cents per Note.

Number of Notes:                                     12 457.

Final Index Level Determination
Date:                                                         10 December 2029, such date
                                                                  being subject to adjustment
                                                                  in   accordance   with   the
                                                                  provisions of this Pricing
                                                                  Supplement and the Equity
                                                                  Terms. If the Final Index
                                                                  Level Determination Date is
                                                                  a    Disrupted   Day,    the
                                                                  Calculation Agent will use
                                                                  the   level   of  the   next
                                                                  following Exchange Business
                                                                  Day which is not a Disrupted
                                                                  Day. If the scheduled Final
                                                                  Index Level Determination
                                                                  Date   is   adjusted,   such
                                                                  adjusted date will be the
                                                                  actual Final Index Level
                                                                  Determination Date   for
                                                                  purposes of this Pricing
                                                                  Supplement.

Finalisation Date at 11:00 am:               12 December 2029, or if such
                                                                  day is not a Business Day,
                                                                  the   last    Business   Day
                                                                  immediately preceding that
                                                                  day.

Last Date to Trade:                                  12 December 2029, or if such
                                                                  day is not a Business Day,
                                                                  the   last    Business   Day
                                                                  immediately preceding that
                                                                  day.

Suspension Date:                                     13 December 2029, being the
                                                                  date on which the Exchange
                                                                  will suspend trading of the
                                                                  Notes.

Record Date:                                             18 December 2029, and if
                                                                   such day is not an Exchange
                                                                   Business Day, the Exchange
                                                                   Business Day on which the
                                                                   Notes settles in accordance
                                                                   with the regular settlement
                                                                   cycle following the Last
                                                                   Date to Trade as the trade
                                                                   date.

Maturity/Delivery Date:                           21 December 2029, is the
                                                                   scheduled   Maturity   Date,
                                                                   which is also the delivery
                                                                   date of the ETFs, provided,
                                                                   this date is subject to
                                                                   adjustment as set out above.

De-Listing Date:                                        24 December 2029, is the
                                                                    scheduled De-Listing Date
                                                                    which date is subject to
                                                                    adjustment if the Maturity
                                                                    Date is adjusted.

Business Day Convention:                        Preceding Business Day.

Placement Agent:                                      The Standard Bank of South
                                                                    Africa Limited.

Additional Terms and Conditions: Investors must read the
Pricing Supplement for full details of the specific terms and
conditions applicable to this specific Note issuance.

Notes will be deposited in the Central Securities Depository
("CSD") and settlement will take place electronically in terms
of JSE Rules.

Dated: 11 June 2026.

Sponsor – The Standard Bank of South Africa Limited
For further information on the Notes issued please contact:
Exchange Traded Funds              SBSA (Sponsor)
Email: ExchangeTradedFunds@standardbank.co.za

Date: 11-06-2026 11:00:00
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