FirstRand Bank Limited (Incorporated in the Republic of South Africa) (Registration number: 1929/001225/06) Issuer code: FRII LEI: ZAYQDKTCATIXF9OQY690 Bond Code: FRS85 ISIN: ZAG000104985 Bond Code: FRS87 ISIN: ZAG000105420 Bond Code: FRS101 ISIN: ZAG000111774 Bond Code: FRS108 ISIN: ZAG000113515 Bond Code: FRS110 ISIN: ZAG000113663 Bond Code: FRS114 ISIN: ZAG000116070 Bond Code: FRS119 ISIN: ZAG000118951 Bond Code: FRS122 ISIN: ZAG000121062 Bond Code: FRS127 ISIN: ZAG000125394 Bond Code: FRS135 ISIN: ZAG000126608 Bond Code: FRS136 ISIN: ZAG000126780 Bond Code: FRS146 ISIN: ZAG000134636 (FRB) INTEREST PAYMENT NOTIFICATIONS Noteholders are advised of the following interest payments due 31 January 2024: Bond code: FRS85 ISIN: ZAG000104985 Annualised interest rate: 2.000% Interest rate for the period: 1.000% Reference CPI: 140.057535483871 Base CPI: 77.6280671697466 Interest amount due: R 360 842.52 Date Convention: Modified Following Business Day Bond code: FRS87 ISIN: ZAG000105420 Annualised interest rate: 2.000% Interest rate for the period: 1.000% Reference CPI: 140.057535483871 Base CPI: 77.6280671697466 Interest amount due: R 920 148.42 Date Convention: Following Business Day Bond code: FRS101 ISIN: ZAG000111774 Annualised interest rate: 2.250% Interest rate for the period: 1.125% Reference CPI: 140.057535483871 Base CPI: 77.6280671697466 Interest amount due: R 387 862.84 Date Convention: Following Business Day Bond code: FRS108 ISIN: ZAG000113515 Annualised interest rate: 2.250% Interest rate for the period: 1.125% Reference CPI: 140.057535483871 Base CPI: 77.6280671697466 Interest amount due: R 1 022 988.53 Date Convention: Following Business Day Bond code: FRS110 ISIN: ZAG000113663 Annualised interest rate: 2.250% Interest rate for the period: 1.125% Reference CPI: 140.057535483871 Base CPI: 77.6280671697466 Interest amount due: R 858 579.66 Date Convention: Following Business Day Bond code: FRS114 ISIN: ZAG000116070 Annualised interest rate: 2.000% Interest rate for the period: 1.000% Reference CPI: 140.057535483871 Base CPI: 77.6280671697466 Interest amount due: R 270 631.89 Date Convention: Following Business Day Bond code: FRS119 ISIN: ZAG000118951 Annualised interest rate: 2.250% Interest rate for the period: 1.125% Reference CPI: 140.057535483871 Base CPI: 77.6280671697466 Interest amount due: R 2 951 445.40 Date Convention: Following Business Day Bond code: FRS122 ISIN: ZAG000121062 Annualised interest rate: 2.000% Interest rate for the period: 1.000% Reference CPI: 140.057535483871 Base CPI: 77.6280671697466 Interest amount due: R 90 210.63 Date Convention: Following Business Day Bond code: FRS127 ISIN: ZAG000125394 Annualised interest rate: 2.250% Interest rate for the period: 1.125% Reference CPI: 140.057535483871 Base CPI: 77.6280671697466 Interest amount due: R 507 434.79 Date Convention: Following Business Day Bond code: FRS135 ISIN: ZAG000126608 Annualised interest rate: 2.250% Interest rate for the period: 1.125% Reference CPI: 140.057535483871 Base CPI: 77.6280671697466 Interest amount due: R 202 973.93 Date Convention: Following Business Day Bond code: FRS136 ISIN: ZAG000126780 Annualised interest rate: 2.250% Interest rate for the period: 1.125% Reference CPI: 140.057535483871 Base CPI: 77.6280671697466 Interest amount due: R 2 362 616.38 Date Convention: Following Business Day Bond code: FRS146 ISIN: ZAG000134636 Annualised interest rate: 2.000% Interest rate for the period: 1.000% Reference CPI: 140.057535483871 Base CPI: 77.6280671697466 Interest amount due: R 180 421.26 Date Convention: Following Business Day Applicable formula: (Aggregate Nominal Amount x CPI Adjustment x Interest Rate) / 2, all definitions used in this calculation as per the pricing supplement URL: https://www.firstrand.co.za/investors/debt-investor-centre/jse-listed- instruments/ Payment Date: 31 January 2024 26 January 2024 Debt sponsor Rand Merchant Bank (a division of FirstRand Bank Limited)