FirstRand Bank Limited (Incorporated in the Republic of South Africa) (Registration number: 1929/001225/06) Issuer code: FRII LEI: ZAYQDKTCATIXF9OQY690 Bond code: FRB32 ISIN: ZAG000189838 Bond code: FRB33 ISIN: ZAG000189846 Bond code: FRB42 ISIN: ZAG000208232 Bond code: FRJ28 ISIN: ZAG000177205 Bond code: FRJ30 ISIN: ZAG000194713 Bond code: FRJ31 ISIN: ZAG000177213 Bond code: FRJ33 ISIN: ZAG000194721 Bond code: FRX32 ISIN: ZAG000142514 (FRB) INTEREST PAYMENT NOTIFICATIONS Noteholders are advised of the following interest payments due 24 March 2025: Bond code: FRJ28 ISIN: ZAG000177205 Coupon: 9.233% Interest amount due: R73 799 748.44 Bond code: FRJ31 ISIN: ZAG000177213 Coupon: 9.323% Interest amount due: R7 926 082.55 Bond code: FRJ30 ISIN: ZAG000194713 Coupon: 9.203% Interest amount due: R27 303 914.25 Bond code: FRJ33 ISIN: ZAG000194721 Coupon: 9.303% Interest amount due: R11 944 797.12 Interest period: 23 December 2024 to 23 March 2025 Date convention: Following business day Payment date: 24 March 2025 Noteholders are advised of the following interest payment due 26 March 2025: Bond code: FRB42 ISIN: ZAG000208232 Coupon: 10.623% Interest amount due: R101 279 390.96 Interest period: 27 December 2024 to 25 March 2025 Date convention: Modified following business day Payment date: 26 March 2025 Noteholders are advised of the following interest payments due 28 March 2025: Bond code: FRB32 ISIN: ZAG000189838 Coupon: 9.817% Interest amount due: R54 342 608.66 Bond code: FRB33 ISIN: ZAG000189846 Coupon: 9.967% Interest amount due: R39 937 905.53 Interest period: 30 December 2024 to 27 March 2025 Date convention: Following business day Payment date: 28 March 2025 Noteholders are advised of the following interest payment due 31 March 2025: Bond code: FRX32 ISIN: ZAG000142514 Coupon: 10.520% Interest amount due: R57 860 000.00 Date convention: Following business day Payment date: 31 March 2025 7 March 2025 Debt sponsor FirstRand Bank Limited