KAP INDUSTRIAL HOLDINGS LIMITED (Incorporated in the Republic of South Africa) (Registration number 1978/000181/06) LEI code: 3789001F51BC0045FD42 JSE alpha code: KAP INTEREST PAYMENT NOTIFICATION Bondholders are advised of the following interest payments: Bond code: KAP018 ISIN: ZAG000175480 Coupon: 8.458% Interest period: 14 October 2022 to 15 January 2023 Interest amount due: R11,435,679.45 Payment date: 16 January 2023 Date convention: Following business day Bond code: KAP014 ISIN: ZAG000160888 Coupon: 8.058% Interest period: 19 October 2022 to 18 January 2023 Interest amount due: R10,155,287.67 Payment date: 19 January 2023 Date convention: Following business day Bond code: KAP017 ISIN: ZAG000171661 Coupon: 8,558% Interest period: 19 October 2022 to 18 January 2023 Interest amount due: R11,367,837.59 Payment date: 19 January 2023 Date convention: Following business day Bond code: KAP019 ISIN: ZAG000178310 Coupon: 8.350% Interest period: 28 October 2022 to 29 January 2023 Interest amount due: R10,752,054.79 Payment date: 30 January 2023 Date convention: Following business day Bond code: KAP015 ISIN: ZAG000163999 Coupon: 8.117% Interest period: 1 November 2022 to 31 January 2023 Interest amount due: R9,206,679.45 Payment date: 1 February 2023 Date convention: Following business day 10 January 2023 Debt Sponsor: Nedbank Corporate and Investment Banking, a division of Nedbank Limited