KAP LIMITED (Incorporated in the Republic of South Africa) (Registration number 1978/000181/06) LEI code: 3789001F51BC0045FD42 JSE alpha code: KAP INTEREST PAYMENT NOTIFICATION Bondholders are advised of the following interest payments: Bond code: KAP022 ISIN: ZAG000183773 Coupon: 8.850% Interest period: 20 February 2023 to 17 May 2023 Interest amount due: R4,218,904.11 Payment date: 18 May 2023 Date convention: Following business day Bond code: KAP028 ISIN: ZAG000192139 Coupon: 8.820% Interest period: 20 February 2023 to 17 May 2023 Interest amount due: R12,613,808.22 Payment date: 18 May 2023 Date convention: Following business day Bond code: KAP029 ISIN: ZAG000192121 Coupon: 8.950% Interest period: 20 February 2023 to 17 May 2023 Interest amount due: R4,266,575.34 Payment date: 18 May 2023 Date convention: Following business day Bond code: KAP023 ISIN: ZAG000184193 Coupon: 9.167% Interest period: 6 March 2023 to 4 June 2023 Interest amount due: R11,427,356.16 Payment date: 5 June 2023 Date convention: Following business day 12 May 2023 Debt Sponsor: Nedbank Corporate and Investment Banking, a division of Nedbank Limited