Subordinated, additional tier I (AT1) capital | |||||
Bond code |
Issue date |
Maturity date |
Issuance size |
ISIN |
Pricing supplement |
BGT01 |
06/09/2017 |
Perpetual |
R1,500,000,000 |
ZAG000146531 |
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Subordinated, tier II capital | |||||
Bond code |
Issue date |
Maturity date |
Issuance size |
ISIN |
Pricing supplement |
BGL19 |
29/09/2017 |
29/09/2029 |
R1,014,000,000 |
ZAG000147026 |
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BGL15 |
16/03/2017 |
17/03/2027 |
R642,000,000 |
ZAG000142746 |
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BGL16 |
24/05/2017 |
25/05/2027 |
R500,000,000 |
ZAG000144254 |
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BGL17 |
14/08/2017 |
14/08/2029 |
R390,000,000 |
ZAG000146002 |
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BGL18 |
29/09/2017 |
30/09/2027 |
R295,000,000 |
ZAG000147018 |
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