Emira Property Fund Limited

(Incorporated in the Republic of South Africa) (Registration number 2014/130842/06) Company code: EMII

(Approved as a REIT by the JSE)

Bond code: EPFC51

ISIN: ZAG000184409

Bond code: EPF024

ISIN: ZAG000184391

("Emira")

LISTING OF NEW FINANCIAL INSTRUMENTS

The JSE Limited has granted Emira the listing of its Senior Unsecured Floating Rate Notes, in terms of its Domestic Medium Term Note Programme dated 13 March 2019, effective 14 March 2022.

Type of Debt Security:

Floating Rate Notes

Debt Security Code:

EPFC51

ISIN:

ZAG000184409

Nominal Issued:

ZAR 200 000 000.00

Issue Price:

ZAR 200 000 000.00

Coupon Rate:

3 Month JIBAR plus 135 basis points

Interest Payment Date(s):

14 June 2022, 14 September 2022, 14 December 2022 and 14

March 2023

Last Day to Register:

By 17h00 on 3 June 2022, 3 September 2022, 3 December 2022

and 3 March 2023

Books Close:

4 June 2022, 4 September 2022, 4 December 2022 and 4 March

2023

Maturity Date:

14 March 2023

Debt Security Code:

EPF024

ISIN:

ZAG000184391

Nominal Issued:

ZAR 80 000 000.00

Issue Price:

ZAR 80 000 000.00

Coupon Rate:

3 Month JIBAR plus 180 basis points

Interest Payment Date(s):

14 March, 14 June, 14 September and 14 December of each year

until the Maturity Date

Last Day to Register:

By 17h00 on 3 March, 3 June, 3 September and 3 December of

each year until the Maturity Date

Books Close:

4 March, 4 June, 4 September and 4 December of each year until

the Maturity Date

Maturity Date:

14 March 2025

Issue Date:

14 March 2022

Interest Commencement Date:

14 March 2022

Interest Determination Date(s):

The trade date for the first interest period being 9 March 2022,

and the first business day of each interest period thereafter

First Interest Payment Date:

14 June 2022

Business Day Convention:

Following Business Day

Final Maturity Amount:

100% of the principal amount of each note

Other:

The pricing supplements do not contain additional terms and

conditions or changes to the terms and conditions as contained in

the Programme

Summary of Additional Terms:

Not applicable

Programme Amount:

ZAR 5 000 000 000.00

Total Notes in Issue Under Programme:

ZAR 3 528 000 000.00, excluding these issuances of notes

Dealer:

FirstRand Bank Limited, acting through its Rand Merchant Bank

division

11 March 2022

Debt Sponsor

RAND MERCHANT BANK (A division of FirstRand Bank Limited)

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Disclaimer

Emira Property Fund published this content on 11 March 2022 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 11 March 2022 11:49:03 UTC.