ABSA BANK LIMITED (Incorporated with limited liability on 26 November 1986 under registration number 1986/004794/06 in the Republic of South Africa) Bond Code: ASN930 ISIN No: ZAG000190125 Bond Code: ASN932 ISIN No: ZAG000190653 Bond Code: ASN950 ISIN No: ZAG000190505 NEW FINANCIAL INSTRUMENTS LISTING The JSE Limited has granted financial instrument listings to ABSA BANK LIMITED “ASN930, ASN932 and ASN950” notes under its Master Structured Note Programme Memorandum. Copies of the Master Structured Note Programme and Pricing Supplements are available on the issuer’s website at https://www.absa.africa/absaafrica/investor- relations/debt-investors/ Authorised Programme size R60,000,000,000.00 Total Notes in issue R44,079,802,424.22 (Including both tranches) Full Note details are as follows: Instrument Type CREDIT-LINKED NOTE Bond Code ASN930 Nominal Issued R100,000,000.00 Issue Price 100% Coupon 3 Month JIBAR plus 393bps Coupon Rate Indicator Floating Trade Type Price Final Maturity Date 20 December 2027 Books Close Date 10 March, 10 June, 10 September, 10 December Interest Payment/ Determination Date(s) 20 March, 20 June, 20 September, 20 December Last Day to Register By 17:00 on 9 March, 9 June, 9 September, 9 December Issue Date 30 September 2022 Date Convention Following First Interest Commencement/Determination Date 30 September 2022 First Interest Payment Date 20 December 2022 ISIN No. ZAG000190570 Additional Information Unsubordinated Unsecured Full Note details are as follows: Instrument Type CREDIT-LINKED NOTE Bond Code ASN932 Nominal Issued R200,000,000.00 Issue Price 100% Coupon 3 Month JIBAR plus 424bps Coupon Rate Indicator Floating Trade Type Price Final Maturity Date 20 December 2027 Books Close Date 10 March, 10 June, 10 September, 10 December Interest Payment/ Determination Date(s) 20 March, 20 June, 20 September, 20 December Last Day to Register By 17:00 on 9 March, 9 June, 9 September, 9 December Issue Date 3 October 2022 Date Convention Following First Interest Commencement/Determination Date 3 October 2022 First Interest Payment Date 20 December 2022 ISIN No. ZAG000190653 Additional Information Unsubordinated Unsecured Full Note details are as follows: Instrument Type CREDIT-LINKED NOTE Bond Code ASN950 Nominal Issued R500,000,000.00 Issue Price 100% Coupon 3 Month JIBAR plus 210bps Coupon Rate Indicator Floating Trade Type Price Final Maturity Date 20 June 2027 Books Close Date 10 March, 10 June, 10 September, 10 December Interest Payment/ Determination Date(s) 20 March, 20 June, 20 September, 20 December Last Day to Register By 17:00 on 9 March, 9 June, 9 September, 9 December Issue Date 30 September 2022 Date Convention Following First Interest Commencement/Determination Date 30 September 2022 First Interest Payment Date 20 December 2022 ISIN No. ZAG000190505 Additional Information Unsubordinated Unsecured 29 September 2022 Debt Sponsor Absa Corporate and Investment Bank, a division of Absa Bank Limited