ABSA BANK LIMITED (Registration number 1986/004794/06) JSE Alpha Code: ASN502 ISIN: ZAE000291597 JSE Alpha Code: ASN922 ISIN: ZAE000314613 JSE Alpha Code: ASN923 ISIN: ZAE000314670 FIXED INTERIM PAYMENTS Noteholders are advised of the following fixed interim payments, payable to all noteholders, in accordance with paragraph 32 or 34 (a), (b) and (c) of the relevant Applicable Pricing Supplements. Noteholders are further advised the units will be redeemed on final expiry of each respective note, to be declared at a later date. Full Note details are as follows: JSE Short Code ABMBSN502 JSE Alpha Code ASN502 JSE Long Code ABMBSN502-19SEPTEMBER2025 ISIN ZAE000291597 Notes in Issue 12,999 Capital Payment (per unit)* R500.00 Interest Payment (per unit)* R78.75 Last Date to Trade Tuesday, 12 September 2023 Ex Date Wednesday, 13 September 2023 Record Date Friday, 15 September 2023 Payment Date* Wednesday, 20 September 2023 Full Note details are as follows: JSE Short Code ABMBSN923 JSE Alpha Code ASN923 JSE Long Code ABMBSN923-21SEPTEMBER2027 ISIN ZAE000314670 Notes in Issue 43,662 Capital Payment (per unit)* R500.00 Interest Payment (per unit)* R63.25 Last Date to Trade Tuesday, 12 September 2023 Ex Date Wednesday, 13 September 2023 Record Date Friday, 15 September 2023 Payment Date* Wednesday, 20 September 2023 Full Note details are as follows: JSE Short Code ABMBSN922 JSE Alpha Code ASN922 JSE Long Code ABMBSN922-21SEPTEMBER2027 ISIN ZAE000314613 Notes in Issue 153,569 Capital Payment (per unit)* R250.00 Interest Payment (per unit)* R62.50 Last Date to Trade Tuesday, 12 September 2023 Ex Date Wednesday, 13 September 2023 Record Date Friday, 15 September 2023 Payment Date* Thursday, 21 September 2023 *Settlement is outside of Strate. 18 August 2023 Debt Sponsor Absa Corporate and Investment Bank, a division of Absa Bank Limited