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New Financial Instrument Listing Announcement – IVC288

Published: 2023-12-07 15:45:58 ET
<<<  go to JSE:INP company page
 Investec Bank Limited
 (Incorporated in the Republic of South Africa)
 (Registration number: 1969/004763/06)
 Issuer code: BIINLP
 LEI No: 549300RH5FFHO48FXT69

New Financial Instrument Listing Announcement – IVC288
Application has been made to the JSE Limited (“JSE”) for the listing of R100,000,000 (One hundred
million Rand) senior unsecured CDX Investment Grade Series floating rate credit linked Notes (stock
code IVC288), under Investec Bank Limited’s Credit Linked Note Programme dated 17 March 2021.

The IVC288 Notes will be issued to Noteholders on the date of listing being with effect from
8 December 2023 commencement of trade.

Salient features of the IVC288 Notes are listed below:

Issuer                                                      Investec Bank Limited

Principal Amount                                            R100,000,000 per Note on the Issue
                                                            Date

Instrument                                                  Senior unsecured credit linked Notes

Issue Date                                                  8 December 2023

Nominal Amount per Note                                     R100,000,000

Interest Rate                                               ZAR-JIBAR-SAFEX with a Designated
                                                            Maturity of 3 months plus a margin of
                                                            390bps from the date beginning on and
                                                            including the Issue Date to but
                                                            excluding the Scheduled Maturity Date
Scheduled Maturity Date                                     20 December 2028

Issue price per Note                                        100%

Final Redemption Amount per Note                            The outstanding Principal Amount per
                                                            Note (plus accrued unpaid interest, if
                                                            any, to the Scheduled Maturity Date)
                                                            subject to adjustment in terms of
                                                            paragraph 29 (Calculation Amount) of
                                                            the Applicable Pricing Supplement
                                                            where 5 or more of the Reference
                                                            Entities in the CDX Investment Grade
                                                            Series 41 Index are subject to a Credit
                                                            Event.

Interest Commencement Date                                  Issue Date

Books Close Period                                          The Register will be closed from:
                                                            (i)     11 December to 20 December,
                                                                    11 March to 20 March, 11 June
                                                                    to 20 June and 11 September
                                                                    to 20 September (all dates
                                                                    inclusive) in each year until the
                                                                     Applicable Redemption Date;
                                                                     or
                                                            (ii)     10 (ten) days prior to any
                                                                     Payment Day
Last Day to Register                                        10 December, 10 March, 10 June, and
                                                            10 September in each year, or if such
                                                            day is not a Business Day, the Business
                                                            Day before each Books Closed Period,
                                                            or in respect of item 42(ii) above, the
                                                            last    Business    Day     immediately
                                                            preceding the commencement of the
                                                            Books Closed Period

Interest Payment Dates                                      20 December, 20 March, 20 June and
                                                            20 September of each year until the
                                                            Applicable Redemption Date or, if such
                                                            day is not a Business Day, the Business
                                                            Day on which interest will be paid, as
                                                            determined in accordance with the
                                                            applicable Business Day Convention
                                                            (as specified in the Applicable Pricing
                                                            Supplement), with the first Interest
                                                            Payment Date being 20 March 2024


Business Day Convention                                     Following Business Day

JSE Stock Code                                              IVC288

ISIN                                                        ZAG 000201955

Aggregate Nominal Amount of Notes Outstanding               ZAR ZAR12,658,252,406 (twelve billion
under the Programme after this issuance                     six hundred and fifty eight million two
                                                            hundred and fifty-two thousand four
                                                            hundred and six Rand)
The Pricing Supplement does not contain any additional
terms and conditions or changes to the terms and
conditions    as  contained   in   the    Programme
Memorandum other than additional terms regarding the
calculation of:

Final Redemption Amounts details of which are set out
in paragraph 29 (Calculation Amount) read with
paragraph 39 (Final Redemption Amount) and of the
Applicable Pricing Supplement; and

Interest Amount and the Cash Settlement Amount
details of which are set out in paragraph 29 (Calculation
Amount) read with paragraph 45(f) (Other terms relating
to the particular method of calculating Interest) and
paragraph 52 (Cash Settlement Provisions) of the
Applicable Pricing Supplement.
Investors should study the Applicable Pricing
Supplement for full details of the terms and conditions
applicable to these Notes.


Date: 7 December 2023
Debt Sponsor:
Investec Bank Limited
Bongani.Ntuli@investec.co.za