Payment Amount Notification
ABSA BANK LIMITED
(Incorporated with limited liability in South Africa under registration
number 1986/004794/06)
Bond Issuer Code: BIABS
Payment Amount Notification
Noteholders are advised of the following final amount payable on the maturity
of ASC294 and ASC295.
JSE Alpha Code ASC294 ASC295
ISIN ZAG000219163 ZAG000219437
Initial USD Nominal 14,371,450.25 17,250,401.07
Initial index Level 364.34 363.36
Final Index Level 367.22 367.22
Outperformance -0.25% -0.25%
Note Settlement Date 23-Sept-25 25-Sept-25
Note Maturity Date 25-Nov-25 25-Nov-25
Equity Value 14,485,052.32 17,433,653.35
Outperformance -6,287.51 -7,307.46
Final USD Value 14,478,764.81 17,426,345.89
ZAR Settlement 248,167,476.72 298,689,311.19
20 November 2025
Debt sponsor to ABSA Group Limited and Absa Bank Limited
Absa Bank Limited, acting through its Corporate and Investment Banking division
Date: 20-11-2025 10:40:00
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