Subordinated, tier II capital
Bond code Issue Date Maturity Date Issuance Size ISIN Pricing supplement
AGLS01 06/08/2024 06/08/2034 R1,000,000,000 ZAG000207291 Download
AGL04 20/09/2024 20/09/2034 R2,019,000,000 ZAG000208679 Download
AGL05 15/10/2024 16/10/2034 R500,000,000 ZAG000209552 Download

 

Subordinated, additional tier 1 (AT1) capital
Bond code Issue Date Maturity Date Issuance Size ISIN Pricing supplement
AGT07 13/05/2024 Perpetual R1,511,000,000 ZAG000205154 Download
AGT08 28/11/2024 Perpetual R1,579,000,000 ZAG000210865 Download
Subordinated, tier II capital
Bond code Issue Date Maturity Date Issuance Size ISIN Pricing supplement
AGLS01 06/08/2024 06/08/2034 R1,000,000,000 ZAG000207291 Download
AGL04 20/09/2024 20/09/2034 R2,019,000,000 ZAG000208679 Download
AGL05 15/10/2024 16/10/2034 R500,000,000 ZAG000209552 Download

 

Subordinated, additional tier 1 (AT1) capital
Bond code Issue Date Maturity Date Issuance Size ISIN Pricing supplement
AGT07 13/05/2024 Perpetual R1,511,000,000 ZAG000205154 Download
AGT08 28/11/2024 Perpetual R1,579,000,000 ZAG000210865 Download