Interest Payment Notifications
Toyota Financial Services (South Africa) Limited
(Incorporated in the Republic of South Africa)
(Registration No. 1982/010082/06)
Company code: BITOY
LEI: 3789007A2F79BC469D53
Bond code: TFS168 ISIN: ZAG000179938
Bond code: TFS170 ISIN: ZAG000181892
Bond code: TFS172 ISIN: ZAG000183708
Bond code: TFS174 ISIN: ZAG000193137
Bond code: TFS176 ISIN: ZAG000194507
Bond code: TFS177 ISIN: ZAG000202540
Bond code: TFS178 ISIN: ZAG000202557
Bond code: TFS179 ISIN: ZAG000203712
Bond code: TFS180 ISIN: ZAG000203720
Bond code: TFS181 ISIN: ZAG000209982
Bond code: TFS182 ISIN: ZAG000209974
Bond code: TFS183 ISIN: ZAG000217167
Bond code: TFS184 ISIN: ZAG000217175
Bond code: TFS185 ISIN: ZAG000219817
Bond code: TFS186 ISIN: ZAG000219809
Bond code: TFS187 ISIN: ZAG000223108
Bond code: TFS188 ISIN: ZAG000223090
INTEREST PAYMENT NOTIFICATIONS
Noteholders are advised of the following interest payments due 15 April 2026:
Bond code: TFS183
ISIN: ZAG000217167
Coupon: 7.495%
Interest amount due: R7 059 673.97
Bond code: TFS184
ISIN: ZAG000217175
Coupon: 7.665%
Interest amount due: R21 319 200.00
Bond code: TFS185
ISIN: ZAG000219817
Coupon: 7.465%
Interest amount due: R6 442 397.26
Bond code: TFS186
ISIN: ZAG000219809
Coupon: 7.655%
Interest amount due: R22 348 405.48
Interest period: 15 January 2026 to 14 April 2026
Payment date: 15 April 2026
Date convention: Following business day
Noteholders are advised of the following interest payments due 30 April 2026:
Bond code: TFS174
ISIN: ZAG000193137
Coupon: 7.928%
Interest amount due: R17 085 383.01
Interest period: 30 January 2026 to 29 April 2026
Bond code: TFS177
ISIN: ZAG000202540
Coupon: 7.718%
Interest amount due: R9 198 164.38
Interest period: 2 February 2026 to 29 April 2026
Bond code: TFS178
ISIN: ZAG000202557
Coupon: 7.888%
Interest amount due: R15 041 227.40
Interest period: 2 February 2026 to 29 April 2026
Payment date: 30 April 2026
Date convention: Following business day
Noteholders are advised of the following interest payments due 6 May 2026:
Bond code: TFS181
ISIN: ZAG000209982
Coupon: 7.525%
Interest amount due: R8 091 745.89
Bond code: TFS182
ISIN: ZAG000209974
Coupon: 7.705%
Interest amount due: R14 259 738.49
Interest period: 6 February 2026 to 5 May 2026
Payment date: 6 May 2026
Date convention: Following business day
Noteholders are advised of the following interest payment due 22 May 2026:
Bond code: TFS172
ISIN: ZAG000183708
Coupon: 7.85%
Interest amount due: R13 002 180.82
Interest period: 23 February 2026 to 21 May 2026
Payment date: 22 May 2026
Date convention: Following business day
Noteholders are advised of the following interest payments due 25 May 2026:
Bond code: TFS187
ISIN: ZAG000223108
Coupon: 7.3%
Interest amount due: R7 582 800.00
Bond code: TFS188
ISIN: ZAG000223090
Coupon: 7.46%
Interest amount due: R19 536 207.12
Interest period: 25 February 2026 to 24 May 2026
Payment date: 25 May 2026
Date convention: Following business day
Noteholders are advised of the following interest payment due 1 June 2026:
Bond code: TFS170
ISIN: ZAG000181892
Coupon: 7.745%
Interest amount due: R12 551 143.84
Interest period: 2 March 2026 to 31 May 2026
Payment date: 1 June 2026
Date convention: Following business day
Noteholders are advised of the following interest payment due 15 June 2026:
Bond code: TFS176
ISIN: ZAG000194507
Coupon: 7.9%
Interest amount due: R22 522 142.47
Interest period: 13 March 2023 to 14 June 2026
Payment date: 15 June 2026
Date convention: Following business day
Noteholders are advised of the following interest payments due 22 June 2026:
Bond code: TFS179
ISIN: ZAG000203712
Coupon: 7.76%
Interest amount due: R7 913 924.38
Bond code: TFS180
ISIN: ZAG000203720
Coupon: 7.92%
Interest amount due: R14 359 285.48
Interest period: 20 March 2026 to 21 June 2026
Payment date: 22 June 2026
Date convention: Following business day
Noteholders are advised of the following interest payment due 29 June 2026:
Bond code: TFS168
ISIN: ZAG000179938
Coupon: 7.85%
Interest amount due: R15 768 821.92
Interest period: 27 March 2026 to 28 June 2026
Payment date: 29 June 2026
Date convention: Following business day
7 April 2026
Debt sponsor
Questco Proprietary Limited
Date: 07-04-2026 02:00:00
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