FirstRand Bank Limited (Incorporated in the Republic of South Africa) (Registration number: 1929/001225/06) Issuer code: FRII LEI: ZAYQDKTCATIXF9OQY690 Bond code: FRC485 ISIN: ZAG000198979 Bond code: FRC486 ISIN: ZAG000198961 Bond code: FRC487 ISIN: ZAG000198953 (FRB) LISTING OF NEW FINANCIAL INSTRUMENTS The JSE has granted FirstRand Bank the listings of its FRC485, FRC486 and FRC487 senior unsecured unsubordinated notes, in terms of its note programme (the programme) dated 29 November 2011, as amended from time to time, effective 29 August 2023. Debt security code: FRC485 ISIN: ZAG000198979 Nominal issued: R 50 000 000.00 Coupon rate: 3 month JIBAR plus 310 basis points First interest payment date: 20 October 2023 Interest payment date(s): 20 January, 20 April, 20 July and 20 October in each year until the maturity date Last day to register: By 17:00 on 15 January, 15 April, 15 July and 15 October in each year until the maturity date Books close: 16 January, 16 April, 16 July and 16 October in each year until the maturity date Maturity date: 20 April 2032, subject to paragraph 51 of the pricing supplement Debt security code: FRC486 ISIN: ZAG000198961 Nominal issued: R 30 000 000.00 Coupon rate: 3 month JIBAR plus 290 basis points First interest payment date: 22 September 2023 Interest payment date(s): 22 March, 22 June, 22 September and 22 December in each year until the maturity date Last day to register: By 17:00 on 17 March, 17 June, 17 September and 17 December in each year until the maturity date Books close: 18 March, 18 June, 18 September and 18 December in each year until the maturity date Maturity date: 22 June 2030, subject to paragraph 51 of the pricing supplement Debt security code: FRC487 ISIN: ZAG000198953 Nominal issued: R 25 000 000.00 Coupon rate: 3 month JIBAR plus 260 basis points First interest payment date: 30 September 2023 Interest payment date(s): 30 March, 30 June, 30 September and 30 December in each year until the maturity date Last day to register: By 17:00 on 25 March, 25 June, 25 September and 25 December in each year until the maturity date Books close: 26 March, 26 June, 26 September and 26 December in each year until the maturity date Maturity date: 30 September 2029, subject to paragraph 51 of the pricing supplement THE BELOW SECTION IS APPLICABLE TO THE FRC485, FRC486 AND FRC487 NOTES ABOVE: Type of debt security: Credit linked notes Issue date: 29 August 2023 Issue price: 100% of par Interest commencement date: 29 August 2023 Interest determination date(s): The first business day of each floating interest period, with the first interest determination date being the issue date Final maturity amount: 100% of the aggregate nominal amount Other: The pricing supplement contains additional terms and conditions to the terms and conditions as contained in the programme Summary of additional terms: Please refer to the cessation of interest, the net asset value event and reference obligation early redemption event, the early redemption at the option of the issuer, the early redemption amount and the credit linked notes provisions as contained in the pricing supplement Business day convention: Modified following business day Programme amount: R 60 000 000 000.00 Total notes in issue under programme: R 34 772 769 608.97 as at the signature date of the FRC487 pricing supplement, which takes into consideration both the FRC485 and FRC486 notes Dealer: Rand Merchant Bank, a division of FirstRand Bank Limited 28 August 2023 Debt sponsor RAND MERCHANT BANK (a division of FirstRand Bank Limited)