INVESTEC BANK LIMITED
UPDATED PRICING SUPPLEMENT ISSUED IN RELATION TO THE FLEXIBLE INVESTMENT NOTES
(SERIES 1 AUTOCALL) (NOTES)
RECORD DATE: 22 AUGUST 2025
INVESTMENT PROFILE NO. 2: INVESTEC RAND NIKKEI 225 INDEX
Index Nikkei 225 Index
Initial Index Level 43 546,29
Initial Valuation Date 19 August 2025
Final Valuation Date 19 August 2030
Call/Put/Other Call
Style Bermudan
THE NOTES:
Cover Ratio 1:1
Scheduled Redemption Date 21 Nov 2044
Issue Size 2 000 000
JSE Code FNIB03
ISIN Code ZAE000338638
Update of Terms for Investment Profile No 2.
As announced on 18 August 2025, Investec Bank Limited, as Issuer of the above Notes, notified Holders of the
Automatic Exercise of Investment Profile No. 1 on the Valuation Date, being 15 August 2025.
This Updated Applicable Pricing Supplement sets out a description of the Subsequent Structured Investment Profile
(Investment Profile No. 2) for the Notes.
The Updated Applicable Pricing has been signed, filed with the JSE and published on the Issuer’s website:
https://www.investec.com/en_za/intermediary-investing/structured-products/warrants-and-notes.html
Any captalised terms referred to herein, and not defined, shall bear the meanings ascribed thereto in the Note issue
documentation.
Date: 21 August 2025
Copies of the offering circular may be obtained from:
Investec Bank Limited
100 Grayston Drive
Sandown
Sandton
2196
Copies of issue documentation can be located on:
Internet: www.investecwarrants.com
Place and Date of Incorporation of the Issuer:
Incorporated in the Republic of South Africa
Registration Number: 1969/004763/06
Date of Incorporation: 31 March 1969
For further information kindly contact:
Investec Financial Products
Tel.: +27 11 286 9663
E-mail: FPRetail@investec.co.za
Sponsor:
Investec Bank Limited
Member of the JSE
Registration Number: 1972/008905/07