NEDBANK LIMITED (Incorporated in the Republic of South Africa) Registration number: 1951/000009/06 JSE alpha code: BINBK INTEREST PAYMENT AND CAPITAL REDEMPTION NOTIFICATIONS Bondholders are advised of the following interest payments and capital redemption: Bond code: NNF103 ISIN: ZAG0001958 Coupon: 11.167% Interest period: 05 February 2024 to 06 May 2024 Interest amount due: R5,568,202.74 Payment date: 06 May 2024 Date convention: Following business day Bond code: NN023 ISIN: ZAG000164047 Coupon: 9.194% Interest period: 07 February 2024 to 07 May 2024 Interest amount due: R5,667,534.25 Payment date: 07 May 2024 Date convention: Following business day Bond code: NN245 ISIN: ZAG000198813 Coupon: 9.667% Interest period: 28 February 2024 to 28 May 2024 Interest amount due: R1,191,821.92 Payment date: 28 May 2024 Date convention: Following business day Bond code: NN057 ISIN: ZAG000170515 Coupon: 2.625% Interest period: 26 February 2024 to 27 May 2024 Interest amount due: R1,537,962.33 Payment date: 27 May 2024 Date convention: Following business day Bond code: NN285 ISIN: ZAG000203258 Coupon: 9.667% Interest period: 19 February 2024 to 20 May 2024 Interest amount due: R1,205,064.38 Payment date: 20 May 2024 Date convention: Following business day Bond code: NN046 ISIN: ZAG000168030 Coupon: 9.665% Interest period: 13 February 2024 to 13 May 2024 Interest amount due: R5,957,876.71 Payment date: 13 May 2024 Date convention: Following business day Bond code: NN239 ISIN: ZAG000198193 Coupon: 10.267% Interest period: 14 February 2024 to 14 May 2024 Interest amount due: R2,531,589.04 Payment date: 14 May 2024 Date convention: Following business day Bond code: NN120 ISIN: ZAG000181249 Coupon: 5.763% Interest period: 05 February 2024 to 06 May 2024 Interest amount due: R5,028,809.59 Payment date: 06 May 2024 Date convention: Following business day Bond code: NN036 ISIN: ZAG000166638 Coupon: 9.367% Interest period: 28 February 2024 to 28 May 2024 Interest amount due: R2,309,671.23 Payment date: 28 May 2024 Date convention: Following business day Bond code: NN250 ISIN: ZAG000199589 Coupon: 10.617% Interest period: 28 February 2024 to 31 May 2024 Interest amount due: R11,632,159.73 Payment date: 31 May 2024 Date convention: Following business day Bond code: NN162 ISIN: ZAG000187113 Coupon: 8.765% Interest period: 31 January 2024 to 3 May 2024 Interest amount due: R1,080,657.53 Capital amount due: R1,111,111.11 Reason for partial redemption: Amortising bond Payment date: 06 May 2024 Date convention: Following business day Bond code: NN246 ISIN: ZAG000198821 Coupon: 9.667% Interest period: 28 February 2024 to 28 May 2024 Interest amount due: R1,191,821.92 Payment date: 28 May 2024 Date convention: Following business day Bond code: NN240 ISIN: ZAG000198219 Coupon: 10.167% Interest period: 14 February 2024 to 14 May 2024 Interest amount due: R250,693.15 Payment date: 14 May 2024 Date convention: Following business day Bond code: NN247 ISIN: ZAG000198896 Coupon: 10.287% Interest period: 28 February 2024 to 31 May 2024 Interest amount due: R655,267.81 Payment date: 31 May 2024 Date convention: Following business day Bond code: NN177 ISIN: ZAG000189929 Coupon: 10.62% Interest period: 12 February 2024 to 13 May 2024 Interest amount due: R2,700,680.55 Payment date: 13 May 2024 Date convention: Following business day Bond code: NN281 ISIN: ZAG000203167 Coupon: 9.867% Interest period: 14 February 2024 to 14 May 2024 Interest amount due: R3,649,438.36 Payment date: 14 May 2024 Date convention: Following business day Bond code: NN283 ISIN: ZAG000203159 Coupon: 9.867% Interest period: 14 February 2024 to 14 May 2024 Interest amount due: R2,432,958.90 Payment date: 14 May 2024 Date convention: Following business day Bond code: NN232 ISIN: ZAG000197393 Coupon: 10.867% Interest period: 28 February 2024 to 31 May 2024 Interest amount due: R1,384,426.10 Payment date: 31 May 2024 Date convention: Following business day Bond code: NN054 ISIN: ZAG000169947 Coupon: 8.29% Interest period: 05 February 2024 to 06 May 2024 Interest amount due: R4,133,643.84 Payment date: 06 May 2024 Date convention: Following business day Bond code: NN282 ISIN: ZAG000203092 Coupon: 9.867% Interest period: 14 February 2024 to 14 May 2024 Interest amount due: R2,432,958.90 Payment date: 14 May 2024 Date convention: Following business day Bond code: NN034 ISIN: ZAG000166026 Coupon: 8.61% Interest period: 06 February 2024 to 06 May 2024 Interest amount due: R3,184,520.55 Payment date: 06 May 2024 Date convention: Following business day Bond code: NN280 ISIN: ZAG000203100 Coupon: 9.667% Interest period: 14 February 2024 to 14 May 2024 Interest amount due: R476,728.77 Payment date: 14 May 2024 Date convention: Following business day Bond code: NN026 ISIN: ZAG000164559 Coupon: 9.485% Interest period: 21 February 2024 to 21 May 2024 Interest amount due: R2,338,767.12 Payment date: 21 May 2024 Date convention: Following business day Bond code: NNF104 ISIN: ZAG000198375 Coupon: 9.367% Interest period: 23 February 2024 to 23 May 2024 Interest amount due: R30,025,726.03 Payment date: 23 May 2024 Date convention: Following business day Bond code: NNF105 ISIN: ZAG000198417 Coupon: 9.367% Interest period: 23 February 2024 to 23 May 2024 Interest amount due: R11,548,356.16 Payment date: 23 May 2024 Date convention: Following business day Bond code: NNF131 ISIN: ZAG000203068 Coupon: 10.367% Interest period: 13 February 2024 to 13 May 2024 Interest amount due: R1,022,498.63 Payment date: 13 May 2024 Date convention: Modified following business day Bond code: NNF132 ISIN: ZAG000203076 Coupon: 10.367% Interest period: 13 February 2024 to 13 May 2024 Interest amount due: R1,022,498.63 Payment date: 13 May 2024 Date convention: Modified following business day Bond code: NNF133 ISIN: ZAG000203084 Coupon: 10.367% Interest period: 13 February 2024 to 13 May 2024 Interest amount due: R1,022,498.63 Payment date: 13 May 2024 Date convention: Modified following business day Bond code: NNF134 ISIN: ZAG000203308 Coupon: 10.4667% Interest period: 22 February 2024 to 22 May 2024 Interest amount due: R774,271.23 Payment date: 22 May 2024 Date convention: Modified following business day 24 April 2024 Debt Sponsor: Nedbank Corporate and Investment Banking, a division of Nedbank Limited