Discovery Limited (Incorporated in the Republic of South Africa) (Registration No. 1999/007789/06) Legal Entity Identifier: 378900245A26169C8132 Company code: DSYI Bond code: DSY01 ISIN: ZAG000148362 Bond code: DSY02 ISIN: ZAG000148347 Bond code: DSY03 ISIN: ZAG000148354 Bond code: DSY04 ISIN: ZAG000153271 Bond code: DSY05 ISIN: ZAG000164641 Bond code: DSY06 ISIN: ZAG000186800 Bond code: DSY07 ISIN: ZAG000186818 (“Discovery” or the “Company”) INTEREST AND CAPITAL PAYMENT NOTIFICATIONS IN RESPECT OF LISTED NOTES UNDER THE DMTN PROGRAMME Senior Unsecured Noteholders, in terms of the Company’s Domestic Medium Term Note Programme (“DMTN Programme”) dated 24 May 2022, are advised of the following interest and capital payments due on 21 November 2022: Coupon code: DSY01 ISIN: ZAG000148362 Nominal Amount: ZAR 500 000 000.00 Coupon rate: 7.352% pa Interest amount due: ZAR 9 164 821.92 Capital amount due: ZAR 500 000 000.00 Interest period: 22 August 2022 to 20 November 2022 Coupon code: DSY02 ISIN: ZAG000148347 Nominal Amount: ZAR 2 000 000 000.00 Coupon rate: 7.652% pa Interest amount due: ZAR 38 155 178.08 Interest period: 22 August 2022 to 20 November 2022 Coupon code: DSY03 ISIN: ZAG000148354 Nominal Amount: ZAR 200 000 000.00 Coupon rate: 10.460% pa Interest amount due: ZAR 10 431 342.47 Interest period: 23 May 2022 to 20 November 2022 Coupon code: DSY04 ISIN: ZAG000153271 Nominal Amount: ZAR 1 000 000 000.00 Coupon rate: 7.542% pa Interest amount due: ZAR 18 803 342.47 Interest period: 22 August 2022 to 20 November 2022 Coupon code: DSY05 ISIN: ZAG000164641 Nominal Amount: ZAR 500 000 000.00 Coupon rate: 7.792% pa Interest amount due: ZAR 9 713 315.07 Interest period: 22 August 2022 to 20 November 2022 Coupon code: DSY06 ISIN: ZAG000186800 Nominal Amount: ZAR 792 000 000.00 Coupon rate: 7.472% pa Interest amount due: ZAR 14 754 026.96 Interest period: 22 August 2022 to 20 November 2022 Coupon code: DSY07 ISIN: ZAG000186818 Nominal Amount: ZAR 226 000 000.00 Coupon rate: 7.542% pa Interest amount due: ZAR 4 249 555.40 Interest period: 22 August 2022 to 20 November 2022 Date Convention: Modified Following Business Day Payment date: 21 November 2022 15 November 2022 Debt Sponsor RAND MERCHANT BANK (A division of FirstRand Bank Limited)