Subordinated, additional tier I (AT1) capital

Bond code

Issue Date

Maturity Date

Issuance Size

ISIN

Pricing supplement

AGT04 26/10/2020 Perpetual R1,209,000,000 ZAG000171893 Download

Subordinated,  tier II capital

Bond code

Issue Date

Maturity Date

Issuance Size

ISIN

Pricing supplement

AGL03 17/02/2020 17/05/2030 R2,676,000,000 ZAG000166125 Download

Subordinated, additional tier I (AT1) capital

Bond code

Issue Date

Maturity Date

Issuance Size

ISIN

Pricing supplement

AGT04 26/10/2020 Perpetual R1,209,000,000 ZAG000171893 Download

Subordinated,  tier II capital

Bond code

Issue Date

Maturity Date

Issuance Size

ISIN

Pricing supplement

AGL03 17/02/2020 17/05/2030 R2,676,000,000 ZAG000166125 Download