Announcements 2022
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22 Nov 2022
Northam bondholders are advised of the following interest payments due on Friday, 25 November 2022 and Monday, 28 November 2022, respectively:
Bond Code: |
NHM018 |
ISIN: |
ZAG000168097 |
Coupon: |
9.508% per annum |
Interest Period: |
25 August 2022 to 24 November 2022 |
Interest Amount Due: |
R54 892 679.67 |
Payment Date: |
25 November 2022 |
Date Convention: |
Following Business Day |
Bond Code: |
NHM019 |
ISIN: |
ZAG000168105 |
Coupon: |
9.758% per annum |
Interest Period: |
25 August 2022 to 24 November 2022 |
Interest Amount Due: |
R86 476 203.37 |
Payment Date: |
25 November 2022 |
Date Convention: |
Following Business Day |
Bond Code: |
NHM020 |
ISIN: |
ZAG000172594 |
Coupon: |
9.508% per annum |
Interest Period: |
25 August 2022 to 24 November 2022 |
Interest Amount Due: |
R16 344 382.25 |
Payment Date: |
25 November 2022 |
Date Convention: |
Following Business Day |
Bond Code: |
NHM021 |
ISIN: |
ZAG000181496 |
Coupon: |
10.008% per annum |
Interest Period: |
26 August 2022 to 27 November 2022 |
Interest Amount Due: |
R14 768 517.70 |
Payment Date: |
28 November 2022 |
Date Convention: |
Following Business Day |
Johannesburg
22 November 2022
Debt Sponsor
One Capital