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

Download

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

Download

BGL15

16/03/2017

17/03/2027

R642,000,000

ZAG000142746

Download

BGL16

24/05/2017

25/05/2027

R500,000,000

ZAG000144254

Download

BGL17

14/08/2017

14/08/2029

R390,000,000

ZAG000146002

Download

BGL18

29/09/2017

30/09/2027

R295,000,000

ZAG000147018

Download

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

Download

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

Download

BGL15

16/03/2017

17/03/2027

R642,000,000

ZAG000142746

Download

BGL16

24/05/2017

25/05/2027

R500,000,000

ZAG000144254

Download

BGL17

14/08/2017

14/08/2029

R390,000,000

ZAG000146002

Download

BGL18

29/09/2017

30/09/2027

R295,000,000

ZAG000147018

Download