GROWTHPOINT PROPERTIES LIMITED (Incorporated with limited liability in South Africa under registration number 1987/004988/06) JSE Code: GRT53 ISIN No: ZAG000193491 JSE Code: GRT54 ISIN No: ZAG000193483 NEW FINANCIAL INSTRUMENTS LISTING The JSE Limited has granted a listing to Growthpoint Properties Limited – GRT53 and GRT54 under their Domestic Medium Term Note Programme dated 25 October 2019. INSTRUMENT TYPE: FLOATING RATE NOTE Authorised Programme Size ZAR30,000,000,000.00 Total Notes in issue ZAR20,116,000,000 (excluding these issuances) Full note details are set out below: Bond Code GRT53 Nominal Value R400,000,000 Issue price 100% Coupon 3 Month JIBAR plus 200bps Coupon Rate Indicator Floating Trade Type Price Maturity Date 09 April 2032 Books Close 29 April, 30 July, 30 October and 30 January of each year, and 30 March 2032 Determination Dates 6 February 2023, and thereafter 9 May, 9 August, 9 November and 9 February of each year until maturity Interest Payment Dates 9 May, 9 August, 9 November and 9 February of each year, and the Maturity date Last day to register by 17:00 on 28 April, 29 July, 29 October and 29 January of each year, and 29 March 2032 Issue Date 09 February 2023 Date Convention Following Business Day Interest Commencement Date 09 February 2023 First Interest Payment Date 09 May 2023 ISIN No ZAG000193491 Additional Information Senior, Unsecured Floating Rate Note Full note details are set out below: Bond Code GRT54 Nominal Value R800,000,000 Issue price 100% Coupon 3 Month JIBAR plus 210bps Coupon Rate Indicator Floating Trade Type Price Maturity Date 09 February 2033 Books Close 29 April, 30 July, 30 October and 30 January Determination Dates 6 February 2023 and thereafter 9 May, 9 August, 9 November, and 9 February of each year Interest Payment Dates 9 May, 9 August, 9 November and 9 February Last day to register by 17:00 on 28 April, 29 July, 29 October and 29 January Issue Date 09 February 2023 Date Convention Following Business Day Interest Commencement Date 09 February 2023 First Interest Payment Date 09 May 2023 ISIN No ZAG000193483 Additional Information Senior, Unsecured Floating Rate Note 08 February 2023 Debt sponsor Absa Corporate and Investment Bank, a division of Absa Bank Limited