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: KAP024 ISIN: ZAG000185182 Coupon: 9.458% Interest period: 12 April 2023 to 11 July 2023 Interest amount due: R9,903,692.05 Payment date: 12 July 2023 Date convention: Following business day Bond code: KAP025 ISIN: ZAG000185190 Coupon: 9.688% Interest period: 12 April 2023 to 11 July 2023 Interest amount due: R14,009,113.42 Payment date: 12 July 2023 Date convention: Following business day Bond code: KAP018 ISIN: ZAG000175480 Coupon: 9.958% Interest period: 14 April 2023 to 13 July 2023 Interest amount due: R13,034,067.12 Payment date: 14 July 2023 Date convention: Following business day Bond code: KAP014 ISIN: ZAG000160888 Coupon: 9.558% Interest period: 19 April 2023 to 18 July 2023 Interest amount due: R11,914,767.12 Payment date: 19 July 2023 Date convention: Following business day Bond code: KAP017 ISIN: ZAG000171661 Coupon: 10,058% Interest period: 19 April 2023 to 18 July 2023 Interest amount due: R13,215,109.75 Payment date: 19 July 2023 Date convention: Following business day Bond code: KAP019 ISIN: ZAG000178310 Coupon: 9.808% Interest period: 28 April 2023 to 27 July 2023 Interest amount due: R12,226,410.96 Payment date: 28 July 2023 Date convention: Following business day Bond code: KAP015 ISIN: ZAG000163999 Coupon: 9.567% Interest period: 2 May 2023 to 31 July 2023 Interest amount due: R10,733,387.67 Payment date: 1 August 2023 Date convention: Following business day 6 July 2023 Debt Sponsor: Nedbank Corporate and Investment Banking, a division of Nedbank Limited