FirstRand Bank Limited (Incorporated in the Republic of South Africa) (Registration number: 1929/001225/06) Issuer code: FRII LEI: ZAYQDKTCATIXF9OQY690 Bond code: FRB31 ISIN: ZAG000181520 Bond code: FRB37 ISIN: ZAG000197674 Bond code: FR27SB ISIN: ZAG000210600 Bond code: FR29SB ISIN: ZAG000210592 Bond code: FR31SB ISIN: ZAG000210618 Bond code: FRX31 ISIN: ZAG000084195 (FRB) INTEREST PAYMENT NOTIFICATIONS Noteholders are advised of the following interest payments due 23 February 2026: Bond code: FR27SB ISIN: ZAG000210600 Coupon: 7.723% Interest amount due: R14 340 235.67 Interest period: 21 November 2025 to 22 February 2026 Bond code: FR29SB ISIN: ZAG000210592 Coupon: 7.923% Interest amount due: R18 159 950.14 Interest period: 21 November 2025 to 22 February 2026 Bond code: FR31SB ISIN: ZAG000210618 Coupon: 7.983% Interest amount due: R20 024 425.97 Interest period: 21 November 2025 to 22 February 2026 Bond code: FRX31 ISIN: ZAG000084195 Coupon: 9.500% Interest amount due: R250 847 500.00 Date convention: Following business day Payment date: 23 February 2026 Noteholders are advised of the following interest payment due 24 February 2026: Bond code: FRB31 ISIN: ZAG000181520 Coupon: 8.683% Interest amount due: R54 714 794.52 Date convention: Following business day Interest period: 24 November 2025 to 23 February 2026 Payment date: 24 February 2026 Noteholders are advised of the following interest payment due 26 February 2026: Bond code: FRB37 ISIN: ZAG000197674 Coupon: 9.883% Interest amount due: R34 550 968.00 Date convention: Modified following business day Interest period: 26 November 2025 to 25 February 2026 Payment date: 26 February 2026 11 February 2026 Debt sponsor FirstRand Bank Limited