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 Debt Sponsor One Capital