Subordinated, tier II capital

Bond code

Issue date

Maturity date

Issuance size

ISIN

Pricing supplement

BGL03

04/02/2015

05/02/2025

R1,693,000,000

ZAG000123100

Download

BGL04

04/02/2015

05/02/2025

R807,000,000

ZAG000123118

Download

BGL05

03/09/2015

04/09/2025

R508,000,000

ZAG000129354

Download

BGL06

03/09/2015

04/09/2025

R437,000,000

ZAG000129362

Download

BGL07

03/09/2015

03/09/2027

R737,000,000

ZAG000129388

Download

BGL08

03/09/2015

03/09/2027

R30,000,000

ZAG000129396

Download

BGL09

28/09/2015

29/09/2025

R288,000,000

ZAG000129966

Download

Subordinated, tier II capital

Bond code

Issue date

Maturity date

Issuance size

ISIN

Pricing supplement

BGL03

04/02/2015

05/02/2025

R1,693,000,000

ZAG000123100

Download

BGL04

04/02/2015

05/02/2025

R807,000,000

ZAG000123118

Download

BGL05

03/09/2015

04/09/2025

R508,000,000

ZAG000129354

Download

BGL06

03/09/2015

04/09/2025

R437,000,000

ZAG000129362

Download

BGL07

03/09/2015

03/09/2027

R737,000,000

ZAG000129388

Download

BGL08

03/09/2015

03/09/2027

R30,000,000

ZAG000129396

Download

BGL09

28/09/2015

29/09/2025

R288,000,000

ZAG000129966

Download