ABSA BANK LIMITED (Incorporated with limited liability in South Africa under registration number 1986/004794/06) Bond Code: ABFN61 ISIN No: ZAG000193822 Bond Code: ABFN62 ISIN No: ZAG000193830 Bond Code: ABS19 ISIN No: ZAG000193848 NEW FINANCIAL INSTRUMENTS LISTING The JSE Limited has granted financial instrument listings to ABSA BANK LIMITED’s ABFN61, ABFN62 and ABS19 notes under its Domestic Medium Term Note Programme dated 03 September 2021. Authorised Programme size ZAR90,000,000,000.00 Total notes in issue ZAR51,774,883,052.00 (Excluding this tranche) Full Note details are as follows: Instrument Type Floating Rate Note Bond Code ABFN61 Nominal Value R1,050,000,000 Issue price 100% Coupon 3 Month JIBAR plus 132bps Coupon Rate Indicator Floating Trade Type Price Final Maturity Date 24 February 2028 Interest Payment Date(s) 24 February, 24 May, 24 August, 24 November Interest Determination Date(s) 24 February, 24 May, 24 August, 24 November of each year commencing on 21 February 2023 Last day to register By 17:00 on 14 February, 14 May, 14 August, 14 November Books Close Date(s) 15 February, 15 May, 15 August, 15 November Issue Date 24 February 2023 Interest Commencement Date 24 February 2023 First Interest Payment Date 24 May 2023 Date Convention Modified Following ISIN No ZAG000193822 Additional Information Unsubordinated, Unsecured Instrument Type Floating Rate Note Bond Code ABFN62 Nominal Value R375,000,000 Issue price 100% Coupon 3 Month JIBAR plus 142bps Coupon Rate Indicator Floating Trade Type Price Final Maturity Date 24 February 2030 Interest Payment Date(s) 24 February, 24 May, 24 August, 24 November Interest Determination Date(s) 24 February, 24 May, 24 August, 24 November of each year commencing on 21 February 2023 Last day to register By 17:00 on 14 February, 14 May, 14 August, 14 November Books Close Date(s) 15 February, 15 May, 15 August, 15 November Issue Date 24 February 2023 Interest Commencement Date 24 February 2023 First Interest Payment Date 24 May 2023 Date Convention Modified Following ISIN No ZAG000193830 Additional Information Unsubordinated, Unsecured Instrument Type Fixed Rate Note Bond Code ABS19 Nominal Value R1,660,000,000 Issue price 100% Coupon 9.67% Coupon Rate Indicator Fixed Trade Type Yield Final Maturity Date 24 February 2028 Interest Payment Date(s) 24 February, 24 August Last day to register By 17:00 on 14 February, 14 August Books Close Date(s) 15 February, 15 August Issue Date 24 February 2023 Interest Commencement Date 24 February 2023 First Interest Payment Date 24 August 2023 Date Convention Modified Following ISIN No ZAG000193848 Additional Information Unsubordinated, Unsecured 22 February 2023 Debt Sponsor Absa Bank Limited (acting through its Corporate and Investment Bank division)