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Pin to quick picksAeci 5 1/2% Prf Regulatory News (87FZ)

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Listing of New Financial Instruments

8 Sep 2023 09:00

AECI Limited - Listing of New Financial Instruments

AECI Limited - Listing of New Financial Instruments

PR Newswire

LONDON, United Kingdom, September 08

AECI LIMITED

(Incorporated in the Republic of South Africa)

(Registration No. 1924/002590/06)

Company code: AECI

LEI: 3789008641F1D3D90E85

Bond code: AECI05 ISIN: ZAG000199258

Bond code: AECI06 ISIN: ZAG000199266

(AECI)

 

 

LISTING OF NEW FINANCIAL INSTRUMENTS

 

The JSE Limited has granted AECI the listings of its AECI05 and AECI06 Sustainability-Linked Senior Unsecured Floating Rate Notes, in terms of its Domestic Medium Term Note Programme (the Programme) dated 4 September 2023 and guaranteed by AECI Mining Solutions Limited, Chemical Services Limited, Much Asphalt Proprietary Limited and AECI Mauritius Ltd, effective 11 September 2023.

 

Debt Security Code:

AECI05

ISIN:

ZAG000199258

Nominal Issued:

ZAR 535 000 000.00

Coupon Rate:

3 Month JIBAR plus 139 basis points

Maturity Date:

11 September 2026

Last Day to Register:

By 17h00 on 30 November, 28 February, 31 May and 31 August of each year until the maturity date, except for the period falling in February 2024 where the last day to register will be by 17h00 on 29 February 2024

 

 

Debt Security Code:

AECI06

ISIN:

ZAG000199266

Nominal Issued:

ZAR 465 000 000.00

Coupon Rate:

3 Month JIBAR plus 150 basis points

Maturity Date:

11 September 2028

Last Day to Register:

By 17h00 on 30 November, 28 February, 31 May and 31 August of each year until the maturity date, except for the periods falling in February 2024 and in February 2028 where the last day to register will be by 17h00 on 29 February 2024 and by 17h00 on 29 February 2028, respectively

 

 

Type of Debt Security:

Floating Rate Notes

Issue Date:

11 September 2023

Issue Price:

100%

Interest Commencement Date:

11 September 2023

Interest Determination Date(s):

11 December, 11 March, 11 June, and 11 September of each year until the maturity date, with the first Interest Rate Determination Date being 6 September 2023

First Interest Payment Date:

11 December 2023

Interest Payment Date(s):

11 December, 11 March, 11 June, and 11 September of each year until the maturity date

Books Close:

1 December, 1 March, 1 June, and 1 September of each year until the maturity date

Business Day Convention:

Following Business Day

Final Maturity Amount:

100% of the Aggregate Nominal Amount

Other:

The pricing supplements contain additional terms and conditions or changes to the terms and conditions as contained in the Programme

Summary of Additional Terms:

Please see other provisions, and appendix 1 headed "Additional Terms and Conditions relating to the AECI05/AECI06 Notes - Sustainability Linked Notes" and appendix 2 headed "Documents Incorporated by Reference"

 

 

Programme Amount:

ZAR 5 000 000 000.00

Total Notes in Issue:

ZAR 1 320 000 000.00, exclusive of these issuances of notes

 

 

 

8 September 2023

 

 

Debt sponsor

RAND MERCHANT BANK (a division of FirstRand Bank Limited)

 

2



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12th Dec 201811:18 amPRNInterest Payments Notification Correction
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3rd Dec 201810:00 amPRNRefinancing of short-term bridge facilities
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27th Feb 201812:30 pmPRNDirectorate Change
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27th Feb 20188:27 amPRNFinal Results & Dividend Declaration
19th Feb 20187:17 amPRNTrading Statement
17th Jan 20183:07 pmPRNFulfilment of Conditions Precedent
11th Dec 20172:13 pmPRNNotification in terms of Section 45(5)
4th Dec 20173:00 pmPRNRotation of External Auditors
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10th Aug 20172:44 pmPRNListing of New Financial Instrument
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28th Jul 201712:00 pmPRNDirector/PDMR Shareholding
26th Jul 201711:00 amPRNResults Presentation
26th Jul 20177:00 amPRNInterim Financial Results & Cash Dividend Declaration
18th Jul 20177:00 amPRNTrading Statement
30th Jun 20172:00 pmPRNDirector/PDMR Shareholding
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31st May 20172:37 pmPRNHolding(s) in Company

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