NEDBANK LIMITED (Incorporated in the Republic of South Africa) Registration number: 1951/000009/06 JSE alpha code: BINBK INTEREST PAYMENT NOTIFICATIONS Bondholders are advised of the following interest payments: Bond Code: NN022 ISIN: ZAG000163965 Coupon: 8.881% Interest period: 31 October 2023 to 31 January 2024 Interest amount due: R2,238,498.63 Payment date: 31 January 2024 Date convention: Following business day Bond Code: NN243 ISIN: ZAG000198292 Coupon: 5.434% Interest period: 31 July 2023 to 31 January 2024 Interest amount due: R4,108,997.26 Payment date: 31 January 2024 Date convention: Following business day Bond Code: NN248 ISIN: ZAG000199233 Coupon: 5.429% Interest period: 31 July 2023 to 31 January 2024 Interest amount due: R8,210,837.39 Payment date: 31 January 2024 Date convention: Following business day Bond Code: NN241 ISIN: ZAG000198201 Coupon: 5.004% Interest period: 31 July 2023 to 31 January 2024 Interest amount due: R5,045,128.77 Payment date: 31 January 2024 Date convention: Following business day Bond Code: NN265 ISIN: ZAG000201922 Coupon: 2.896% Interest period: 31 July 2023 to 31 January 2024 Interest amount due: R2,190,205.92 Payment date: 31 January 2024 Date convention: Following business day Bond Code: NILB13 ISIN: ZAG000124694 Coupon: 2.0% Interest period: 31 July 2023 to 31 January 2024 Interest amount due: R1,443,370.03 Payment date: 31 January 2024 Date convention: Following business day Bond Code: NN233 ISIN: ZAG000197385 Coupon: 9.607% Interest period: 02 October 2023 to 02 January 2024 Interest amount due: R3,196,897.94 Payment date: 02 January 2024 Date convention: Following business day Bond Code: NILB11 ISIN: ZAG000120924 Coupon: 2.0% Interest period: 31 July 2023 to 31 January 2024 Interest amount due: R832,417.44 Payment date: 31 January 2024 Date convention: Following business day Bond Code: NN229 ISIN: ZAG000197245 Coupon: 10.008% Interest period: 02 October 2023 to 02 January 2024 Interest amount due: R630,641.10 Payment date: 02 January 2024 Date convention: Following business day Bond Code: NI25 ISIN: ZAG000153545 Coupon: 2.0% Interest period: 31 July 2023 to 31 January 2024 Interest amount due: R469,095.26 Payment date: 31 January 2024 Date convention: Following business day Bond Code: NN264 ISIN: ZAG000201898 Coupon: 2.896% Interest period: 31 July 2023 to 31 January 2024 Interest amount due: R5,154,284.61 Payment date: 31 January 2024 Date convention: Following business day Bond Code: NILB17 ISIN: ZAG000142258 Coupon: 2.25% Interest period: 31 July 2023 to 31 January 2024 Interest amount due: R3,450,556.56 Payment date: 31 January 2024 Date convention: Following business day Bond Code: NN263 ISIN: ZAG000201906 Coupon: 2.896% Interest period: 31 July 2023 to 31 January 2024 Interest amount due: R4,847,655.78 Payment date: 31 January 2024 Date convention: Following business day Bond Code: NN231 ISIN: ZAG000197401 Coupon: 11.333% Interest period: 02 October 2023 to 02 January 2024 Interest amount due: R1,428,268.45 Payment date: 02 January 2024 Date convention: Following business day Bond Code: NN230 ISIN: ZAG000197237 Coupon: 5.004% Interest period: 31 July 2023 to 31 January 2024 Interest amount due: R12,612,821.92 Payment date: 31 January 2024 Date convention: Following business day Bond Code: NI38 ISIN: ZAG000153073 Coupon: 2.25% Interest period: 31 July 2023 to 31 January 2024 Interest amount due: R1,217,843.49 Payment date: 31 January 2024 Date convention: Following business day Bond Code: NN244 ISIN: ZAG000198722 Coupon: 4.852% Interest period: 29 July 2023 to 29 January 2024 Interest amount due: R18,101,008.22 Payment date: 29 January 2024 Date convention: Following business day Bond Code: NN249 ISIN: ZAG000199464 Coupon: 4.929% Interest period: 31 July 2023 to 31 January 2024 Interest amount due: R2,484,756.16 Payment date: 31 January 2024 Date convention: Following business day Bond Code: NN238 ISIN: ZAG000198003 Coupon: 5.371% Interest period: 31 July 2023 to 31 January 2024 Interest amount due: R812,271.78 Payment date: 31 January 2024 Date convention: Following business day Bond Code: NN178 ISIN: ZAG000189937 Coupon: 10.682% Interest period: 02 October 2023 to 02 January 2024 Interest amount due: R2,504,010.99 Payment date: 02 January 2024 Date convention: Following business day Bond Code: NN260 ISIN: ZAG000201070 Coupon: 3.694% Interest period: 21 November 2023 to 02 January 2024 Interest amount due: R1,487,747.83 Payment date: 02 January 2024 Date convention: Following business day Bond Code: NNF110 ISIN: ZAG000200056 Coupon: 9.442% Interest period: 10 October 2023 to 10 January 2024 Interest amount due: R47,598,027.40 Payment date: 10 January 2024 Date convention: Following business day Bond Code: NNF112 ISIN: ZAG000200197 Coupon: 9.342% Interest period: 16 October 2023 to 16 January 2024 Interest amount due: R1,177,347.95 Payment date: 16 January 2024 Date convention: Following business day Bond Code: NNF121 ISIN: ZAG000201690 Coupon: 10.867% Interest period: 1 December 2023 to 12 January 2024 Interest amount due: R375,134.79 Payment date: 12 January 2024 Date convention: Following business day Bond Code: NNF122 ISIN: ZAG000201708 Coupon: 10.867% Interest period: 1 December 2023 to 12 January 2024 Interest amount due: R375,134.79 Payment date: 12 January 2024 Date convention: Following business day 18 December 2023 Debt Sponsor: Nedbank Corporate and Investment Banking, a division of Nedbank Limited