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RESILIENT REIT LIMITED - Interest and capital payment notifications

Release Date: 30/09/2026 10:25
Code(s): RES59 RES65 RES66 RES79 RES80 RES85 RES86     PDF:  
Wrap Text
Interest and capital payment notifications

RESILIENT REIT LIMITED
Incorporated in the Republic of South Africa
Registration number: 2002/016851/06
Bond company code: BIRPIF
LEI: 378900F37FF47D486C58
(Approved as a REIT by the JSE)


INTEREST AND CAPITAL PAYMENT NOTIFICATIONS


In accordance with the terms and conditions of the ZAR15 000 000 000 Domestic Medium-Term Note Programme
dated 4 December 2019, noteholders are advised of the following information in respect of an interest and capital
payment:

 Bond code:                                 RES65
 ISIN:                                      ZAG000200064
 Interest period:                           23 July 2026 to 22 October 2026
 Interest amount due:                       ZAR 4 209 315.07
 Coupon rate:                               8.350%
 Capital amount due:                        ZAR 200 000 000.00
 Payment date:                              23 October 2026
 Date convention:                           Following business day*

Noteholders are further advised of the following information in respect of interest payments:

 Bond code:                                 RES59
 ISIN:                                      ZAG000190901
 Interest period:                           13 July 2026 to 12 October 2026
 Interest amount due:                       ZAR 10 474 993.97
 Coupon rate:                               8.658%
 Interest payment date:                     13 October 2026
 Date convention:                           Following business day*

 Bond code:                                 RES66
 ISIN:                                      ZAG000200072
 Interest period:                           23 July 2026 to 22 October 2026
 Interest amount due:                       ZAR 11 714 246.58
 Coupon rate:                               8.450%
 Interest payment date:                     23 October 2026
 Date convention:                           Following business day*

 Bond code:                                 RES79
 ISIN:                                      ZAG000219205
 Interest period:                           16 July 2026 to 15 October 2026
 Interest amount due:                       ZAR 4 087 320.55
 Coupon rate:                               8.108%
 Interest payment date:                     16 October 2026
 Date convention:                           Following business day*

 Bond code:                                 RES80
 ISIN:                                      ZAG000219197
 Interest period:                           16 July 2026 to 15 October 2026
 Interest amount due:                       ZAR 11 378 761.64
 Coupon rate:                               8.208%
 Interest payment date:                     16 October 2026
 Date convention:                           Following business day*
 
 Bond code:                                 RES85
 ISIN:                                      ZAG000224213
 Interest period:                           15 July 2026 to 14 October 2026
 Interest amount due:                       ZAR 4 976 821.92
 Coupon rate:                               7.898%
 Interest payment date:                     15 October 2026
 Date convention:                           Following business day*

 Bond code:                                 RES86
 ISIN:                                      ZAG000224221
 Interest period:                           15 July 2026 to 14 October 2026
 Interest amount due:                       ZAR 10 180 493.15
 Coupon rate:                               8.078%
 Interest payment date:                     15 October 2026
 Date convention:                           Following business day*

* When the interest payment date falls on a non-business day, such interest payment will be paid on the first business
  day after the weekend or public holiday.

30 September 2026


Debt sponsor
Java Capital
Date: 30/09/2026 10:25:00
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