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INVESTEC BANK LIMITED - New Financial Instrument Listing Announcement IBL359

Release Date: 20/05/2026 17:11
Code(s): IBL359     PDF:  
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New Financial Instrument Listing Announcement – IBL359

Investec Bank Limited
(Incorporated in the Republic of South Africa)
(Registration number: 1969/004763/06)
Issuer code: BIINLP
LEI No: 549300RH5FFHO48FXT69

New Financial Instrument Listing Announcement – IBL359

Application has been made to the JSE Limited ("JSE") for the listing of ZAR200,000,000 (two hundred
million Rand) Senior Unsecured Mixed Rate Notes (stock code IBL359), under Investec Bank
Limited's Domestic Medium-Term Note and Preference Share Programme dated 05 May 2026.

The IBL359 Notes will be issued to Noteholders on the date of listing being
21 May 2026 with effect from commencement of trade.

Salient features of the IBL359 Notes are listed below:

Issuer                                                      Investec Bank Limited

Instrument                                                  Senior Unsecured Notes

Issue Date                                                  21 May 2026

Aggregate Nominal Amount                                    ZAR200,000,000 (two hundred million
                                                            Rand)

Nominal Amount per Note                                     ZAR1,000,000 (one million Rand) as at
                                                            the Issue Date

Interest Rate                                               The Notes will be:

                                                            (a) Fixed Rate Notes for the period from
                                                            and including the Issue Date to but
                                                            excluding 21 May 2027 (as adjusted in
                                                            accordance     with    the    applicable
                                                            Business Day Convention) paying
                                                            8.10% naca; and

                                                            (b) Floating Rate Notes for the period
                                                            from and including 21 May 2027 (as
                                                            adjusted in accordance with the
                                                            applicable Business Day Convention)
                                                            to but excluding the Maturity Date
                                                            paying the Reference Rate plus a
                                                            margin of 0.75%.

Optional Redemption Date                                    21 May 2027 (as adjusted in
                                                            accordance   with  the   applicable
                                                            Business Day Convention)

Optional Redemption Amount                                  The Nominal Amount (plus accrued,
                                                            unpaid interest, if any, up to, but
                                                            excluding, the applicable Redemption
                                                            Date)

Reference Rate                                              Compounded Daily ZARONIA
                                                            (Lookback without Observation Shift)

Interest Determination Date                                 In respect of Floating Rate Notes, the
                                                            5th (fifth) Johannesburg Business Day
                                                            prior to each Interest Payment Date

Maturity Date                                               21 May 2028 (as adjusted in
                                                            accordance   with  the   applicable
                                                            Business Day Convention)

Issue price per Note                                        100%

Final Redemption Amount per Note                            The Nominal Amount per Note (plus
                                                            accrued unpaid interest, if any, up to,
                                                            but excluding, the Maturity Date)

Interest Commencement Date                                  21 May 2026

Books Close Dates                                           Not applicable

Last Day to Register                                        20 May 2027 for the Fixed Rate Notes
                                                            and 20 August 2027, 20 November
                                                            2027, 20 February 2028 and
                                                            20 May 2028 for the Floating Rate
                                                            Notes, or if any such day is not a
                                                            Business Day, the Business Day before
                                                            each Payment Date

Interest Payment Dates                                      means in relation to the Fixed Rate
                                                            Notes as specified in item 49(ii)(a) of
                                                            the Applicable Pricing Supplement,
                                                            21 May 2027 and thereafter in relation
                                                            to the Floating Rate Notes as specified
                                                            in item 49(ii)(b) of the Applicable Pricing
                                                            Supplement,        21     August     2027,
                                                            21 November 2027, 21 February 2028
                                                            and 21 May 2028 provided that, if any
                                                            such day is not a Business Day, the
                                                            Business Day on which interest will be
                                                            paid, will be as determined in
                                                            accordance       with     the   applicable
                                                            Business Day Convention

Business Day Convention                                     Modified Following Business Day

JSE Stock Code                                              IBL359

ISIN                                                        ZAG000225343

Aggregate Nominal Amount of Notes Outstanding in the        ZAR39,256,000,000
Series including this issuance but excluding all other
issuances on this Issue Date

The Pricing Supplement does not contain additional
terms and conditions or changes to the terms and
conditions  as   contained  in   the   Programme
Memorandum


Investors should study the Applicable Pricing Supplement for full details of the terms and conditions
applicable to these Notes which can be viewed or downloaded on the Issuer's website:
www.investec.com.

Date: 20 May 2026

Debt Sponsor:
Investec Bank Limited
Bongani.Ntuli@investec.co.za

Date: 20-05-2026 05:11:00
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