FirstRand Bank Limited (Incorporated in the Republic of South Africa) (Registration number: 1929/001225/06) Issuer code: FRII LEI: ZAYQDKTCATIXF9OQY690 Bond code: FRS240 ISIN: ZAG000172198 Bond code: FRS266 ISIN: ZAG000177304 Bond code: FRS273 ISIN: ZAG000178260 Bond code: FRS282 ISIN: ZAG000180795 Bond code: FRS316 ISIN: ZAG000193699 Bond code: FRS363 ISIN: ZAG000202706 (FRB) INTEREST PAYMENT NOTIFICATIONS Noteholders are advised of the following interest payments due 28 March 2024: Bond code: FRS240 ISIN: ZAG000172198 Coupon: 10.870% Interest amount due: R 2 278 232.87 Interest period: 29 December 2023 to 27 March 2024 Bond code: FRS266 ISIN: ZAG000177304 Coupon: 9.951% Interest amount due: R 736 101.37 Interest period: 29 December 2023 to 27 March 2024 Bond code: FRS273 ISIN: ZAG000178260 Coupon: 10.142% Interest amount due: R 500 153.42 Interest period: 29 December 2023 to 27 March 2024 Bond code: FRS282 ISIN: ZAG000180795 Coupon: 11.700% Interest amount due: R 5 769 863.01 Interest period: 29 December 2023 to 27 March 2024 Bond code: FRS316 ISIN: ZAG000193699 Coupon: 10.765% Interest amount due: R 1 990 787.67 Interest period: 29 December 2023 to 27 March 2024 Bond code: FRS363 ISIN: ZAG000202706 Coupon: 11.392% Interest amount due: R 543 070.68 Interest period: 30 January 2024 to 27 March 2024 Payment Date: 28 March 2024 Date Convention: Modified following business day 25 March 2024 Debt sponsor Rand Merchant Bank (a division of FirstRand Bank Limited)