ABSA BANK LIMITED (Incorporated with limited liability on 26 November 1986 under registration number 1986/004794/06 in the Republic of South Africa) Bond Code: ASC034 ISIN No: ZAG000197369 Bond Code: ASC035 ISIN No.: ZAG000197278 NEW FINANCIAL INSTRUMENTS LISTING The JSE Limited has granted financial instrument listings to the ABSA BANK LIMITED “ASC034” and “ASC035” notes under its Master Structured Note Programme Memorandum. The Master Structured Note Programme is available on the issuer’s website at https://www.absa.africa/absaafrica/investor-relations/debt-investors/ Authorised Programme size R80,000,000,000.00 Total Notes in issue ZAR57,998,213,012.54 (Including these tranches) Full Note details are as follows: Instrument Type Floating Rate Notes Bond Code ASC034 Nominal Issued ZAR50,000,000.00 Issue Price 100% Coupon 3 Month JIBAR plus 211 basis points (or 2.11%) to be added to the relevant Reference Rate. Coupon Rate Indicator Floating Trade Type Price Final Maturity Date 30 June 2029 Last Day to Register by 17:00 on 19 March, 19 June, 19 September and 19 December of each calendar year until the Maturity Date Books Close Date 20 March, 20 June, 20 September and 20 December Interest Payment Date 30 March, 30 June, 30 September and 30 December of each calendar year, commencing on 30 September 2023 and ending on the Maturity Date Interest Rate Determination Dates 30 March, 30 June, 30 September and 30 December of each calendar year, commencing on the Issue Date and ending on the Maturity Date Issue Date 30 June 2023 Date Convention Following ISIN No. ZAG000197369 Additional Information Unsubordinated Unsecured Full Note details are as follows: Instrument Type Floating Rate Notes Bond Code ASC035 Nominal Issued ZAR50,000,000.00 Issue Price 100% Coupon 3 Month JIBAR plus 110 basis points (1.1%) to be added to the relevant Reference Rate. Coupon Rate Indicator Floating Trade Type Price Final Maturity Date 20 June 2030 Last Day to Register by 17:00 on 19 March, 19 June, 19 September and 19 December of each calendar year until the Maturity Date Books Close Date 20 March, 20 June, 20 September and 20 December Interest Payment Date 30 March, 30 June, 30 September and 30 December of each calendar year, commencing on 30 September 2023 and ending on the Maturity Date Interest Rate Determination Dates 30 March, 30 June, 30 September and 30 December of each calendar year, commencing on the Issue Date and ending on the Maturity Date Issue Date 30 June 2023 Date Convention Following ISIN No. ZAG000197278 Additional Information Unsubordinated Unsecured 29 June 2023 Debt Sponsor Absa Corporate and Investment Bank, a division of Absa Bank Limited