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Interest payment notifications – NHM018, NHM019, NHM020 and NHM021

Published: 2022-11-22 18:00:26 ET
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                                   NORTHAM PLATINUM LIMITED
                              Incorporated in the Republic of South Africa
                                 Registration number 1977/003282/06
                                        Debt issuer code: NHMI
                            Bond code: NHM018 Bond ISIN: ZAG000168097
                            Bond code: NHM019 Bond ISIN: ZAG000168105
                            Bond code: NHM020 Bond ISIN: ZAG000172594
                            Bond code: NHM021 Bond ISIN: ZAG000181496
                                              (“Northam”)

           INTEREST PAYMENT NOTIFICATIONS – NHM018, NHM019, NHM020 AND NHM021

Northam bondholders are advised of the following interest payments due on Friday, 25 November 2022 and
Monday, 28 November 2022, respectively:

 Bond Code:                                  NHM018
 ISIN:                                       ZAG000168097
 Coupon:                                     9.508% per annum
 Interest Period:                            25 August 2022 to 24 November 2022
 Interest Amount Due:                        R54 892 679.67
 Payment Date:                               25 November 2022
 Date Convention:                            Following Business Day


 Bond Code:                                  NHM019
 ISIN:                                       ZAG000168105
 Coupon:                                     9.758% per annum
 Interest Period:                            25 August 2022 to 24 November 2022
 Interest Amount Due:                        R86 476 203.37
 Payment Date:                               25 November 2022
 Date Convention:                            Following Business Day



 Bond Code:                                  NHM020
 ISIN:                                       ZAG000172594
 Coupon:                                     9.508% per annum
 Interest Period:                            25 August 2022 to 24 November 2022
 Interest Amount Due:                        R16 344 382.25
 Payment Date:                               25 November 2022
 Date Convention:                            Following Business Day
 Bond Code:             NHM021
 ISIN:                  ZAG000181496
 Coupon:                10.008% per annum
 Interest Period:       26 August 2022 to 27 November 2022
 Interest Amount Due:   R14 768 517.70
 Payment Date:          28 November 2022
 Date Convention:       Following Business Day


Johannesburg
22 November 2022

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