GROWTHPOINT PROPERTIES LIMITED (Incorporated with limited liability in the Republic of South Africa under registration number 1987/004988/06) (Bond issuer code: GRTI) (“Growthpoint” or the “company”) INTEREST PAYMENT AND REDEMPTION NOTIFICATION Bondholders are advised of the following interest and final redemption amount payments: JSE Alpha ISIN Coupon Interest payment Amount Actual Payment Date Code Rate (%) GRT53 ZAG000193491 10.358 10,443,134.25 09 February 2024 GRT54 ZAG000193483 10.458 21,087,912.33 09 February 2024 GRT59G ZAG000200759 9.858 8,696,646.58 13 February 2024 GRT60G ZAG000200767 10.258 16,806,257.53 13 February 2024 GRT41 ZAG000164252 9.757 8,361,615.34 20 February 2024 GRT42 ZAG000164260 9.987 11,579,447.67 20 February 2024 GRT07 ZAG000112806 10.267 15,527,079.45 21 February 2024 GRT61 ZAG000201104 9.707 22,020,263.01 28 February 2024 JSE Alpha ISIN Final Redemption amount Actual Payment Code Date GRT07 ZAG000112806 600,000,000.00 21 February 2024 01 February 2024 Debt Sponsor Absa Bank Limited (acting through its Corporate and Investment Bank division)