ABSA BANK LIMITED (Registration number 1986/004794/06) (“the Issuer”) Bond Code: ASN310 ISIN No: ZAG000156431 Bond Code: ASN369 ISIN No: ZAG000162678 Bond Code: ASN480 ISIN No: ZAG000170333 Bond Code: ASN634 ISIN No: ZAG000177320 Bond Code: ASN681 ISIN No: ZAG000179193 Bond Code: ASN936 ISIN No: ZAG000190745 Bond Code: ASN973 ISIN No: ZAG000193202 (“the Notes”) Notice of Credit Event Notice is hereby given to all holders of the Notes which were issued under the Issuers’ Master Structured Note Programme (“MSNP”) that a Credit Event has occurred in respect of Casino Guichard Perrachon which is one of the Reference Entities included in the Applicable Pricing Supplement relating to the Notes. Interest will accordingly cease to accrue in respect of the Reference Entity Nominal Amount of the Notes related to Casino Guichard Perrachon (the “Affected Portion”) with effect from the prior Interest Payment Date (in other words on 16 August 2023), in accordance with the provisions of the relevant Applicable Pricing Supplements. The Redemption Amount for the relevant Note will be determined in respect of the Affected Portion minus Swap Costs in accordance with the relevant Applicable Pricing Supplements read with the Master Structured Note Programme and the relevant Applicable Product Supplements. Under the terms of the Notes, the amount of the Notes equal to the Reference Entity Nominal Amount will be redeemed and delisted upon determination of the swap costs, effective 6 October 2023.] Nominal Amount of Nominal Outstanding the Affected Portion After Capital Redemption ASN310-ZAG000156431 R 733,333.33 R49,133,333.34 ASN369-ZAG000162678 R 800,000.00 R 54,400,000.00 ASN480-ZAG000170333 R1,666,666.67 R118,333,333.33 ASN634-ZAG000177320 R 400,000.00 R 29,600,000.00 ASN681-ZAG000179193 R1,333,333.33 R 98,666,666.67 ASN936-ZAG000190745 R1,333,333.33 R 98,666,666.67 ASN973-ZAG000193202 R1,333,333.33 R 98,666,666.67 03 October 2023 Debt Sponsor Absa Bank Limited, acting through its Corporate and Investment Banking division