Subordinated, tier II capital

Bond code

Issue date

Maturity date

Issuance size

ISIN

Pricing supplement

BGL10

04/05/2016

05/05/2026

R31,000,000

ZAG000135997

Download

BGL11

04/05/2016

05/05/2026

R200,000,000

ZAG000136003

Download

BGL12

19/08/2016

20/08/2026

R1,510,000,000

ZAG000138801

Download

BGL13

19/08/2016

20/08/2026

R140,000,000

ZAG000138819

Download

BGL14

02/11/2016

03/11/2026

R500,000,000

ZAG000140203

Download

Subordinated, tier II capital

Bond code

Issue date

Maturity date

Issuance size

ISIN

Pricing supplement

BGL10

04/05/2016

05/05/2026

R31,000,000

ZAG000135997

Download

BGL11

04/05/2016

05/05/2026

R200,000,000

ZAG000136003

Download

BGL12

19/08/2016

20/08/2026

R1,510,000,000

ZAG000138801

Download

BGL13

19/08/2016

20/08/2026

R140,000,000

ZAG000138819

Download

BGL14

02/11/2016

03/11/2026

R500,000,000

ZAG000140203

Download