Early Full Redemption: NWF010
NEDBANK LIMITED
(Incorporated in the Republic of South Africa)
Registration number: 1951/000009/06
JSE Alpha Code: NBKP
(Nedbank or the Issuer)
EARLY FULL REDEMPTION: NWF010
In accordance with the terms of the Applicable Pricing Supplement dated 2 September 2021 (APS), the Issuer
hereby advises market participants that all holders of NWF010 (the Notes) have exercised their Noteholder
Early Redemption Election in respect of their holdings. The Notes will accordingly be redeemed in full on the
applicable early redemption date in accordance with the APS in respect of the following instrument:
Instrument Type: Multi Asset Index Linked Note
Short Name: NWF010
Alpha Code: NWF010
Long Name: NWF010 04 September 2036
Instrument Number: 98292
ISIN: ZAE000302063
Full Redemption
The relevant redemption amount payable to noteholders will comprise the applicable Periodic Cash Settlement
Amount, as determined by the Calculation Agent in accordance with the APS. The redemption amount will be
determined following the Equity Expiration Date and will be announced on SENS once confirmed on or about
the 2 September 2026.
Full Redemption Salient Dates
The following corporate action timetable applies:
Early Full Redemption Equity Expiration Date 1 September 2026
Periodic Cash Settlement Amount Determination 2 September 2026
Date
Last Day to Trade (LDT) 15 September 2026
Suspension Date 16 September 2026
Record Date 18 September 2026
Redemption Payment Date 21 September 2026
Termination Date 22 September 2026
Further Information
The APS and further information relating to NWF010 are available on Nedbank’s website under the Structured
Note Programme.
17 August 2026
Debt Sponsor
Nedbank Corporate and Investment Banking, a division of Nedbank Limited
Date: 17/08/2026 09:20:00
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