SENS

FRII - Interest and Capital Payment Notifications:

FirstRand Bank Limited

(Incorporated in the Republic of South Africa)

(Registration number: 1929/001225/06)

Issuer code: FRII

LEI: ZAYQDKTCATIXF9OQY690

Bond code: FRC406 ISIN: ZAG000186198

Bond code: FRS349 ISIN: ZAG000199845

Bond code: FRS350 ISIN: ZAG000199993

Bond code: FRC407 ISIN: ZAG000186230

Bond code: FRS206 ISIN: ZAG000163304

Bond code: FRS172 ISIN: ZAG000147455

Bond code: FRC256 ISIN: ZAG000145806

Bond code: FRS339 ISIN: ZAG000197690

Bond code: FRC456 ISIN: ZAG000194416

Bond code: FRC400 ISIN: ZAG000185695

Bond code: FRS340 ISIN: ZAG000197740

Bond code: FRC463 ISIN: ZAG000194770

Bond code: FRC485 ISIN: ZAG000198979

Bond code: FRC396 ISIN: ZAG000184656

Bond code: FRC398 ISIN: ZAG000185141

Bond code: FRC399 ISIN: ZAG000185273

Bond code: FRC455 ISIN: ZAG000194366

(FRB)

INTEREST AND CAPITAL PAYMENT NOTIFICATIONS

Noteholders are advised of the following interest payments due 7 October 2024:

Bond code: FRC406

ISIN: ZAG000186198

Coupon: 11.942%

Interest amount due: R 602 007.67

Bond code: FRS349

ISIN: ZAG000199845

Coupon: 10.308%

Interest amount due: R 2 569 939.73

Interest period: 8 July 2024 to 6 October 2024

Date convention: Modified following business day

Payment date: 7 October 2024

Noteholders are advised of the following interest and capital payments due 10 October 2024:

Bond code: FRS350

ISIN: ZAG000199993

Coupon: 11.702%

Interest amount due: R 2 949 545.21

Capital amount due: R 100 000 000.00

Interest period: 10 July 2024 to 9 October 2024

Date convention: Modified following business day

Payment date: 10 October 2024

Noteholders are advised of the following interest payments due 14 October 2024:

Bond code: FRC407

ISIN: ZAG000186230

Coupon: 11.275%

Interest amount due: R 2 108 270.55

Bond code: FRS206

ISIN: ZAG000163304

Coupon: 8.913%

Interest amount due: R 2 222 145.21

Interest period: 15 July 2024 to 13 October 2024

Date convention: Modified following business day

Payment date: 14 October 2024

Noteholders are advised of the following interest and capital payments due 16 October 2024:

Bond code: FRS172

ISIN: ZAG000147455

Coupon: 9.860%

Interest amount due: R 2 485 260.27

Capital amount due: R 100 000 000.00

Interest period: 16 July 2024 to 15 October 2024

Date convention: Modified following business day

Payment date: 16 October 2024

Noteholders are advised of the following interest payments due 17 October 2024:

Bond code: FRC256

ISIN: ZAG000145806

Coupon: 10.525%

Interest amount due: R 238 758.90

Date convention: Following business day

Bond code: FRS339

ISIN: ZAG000197690

Coupon: 9.645%

Interest amount due: R 4 254 369.86

Date convention: Modified following business day

Interest period: 17 July 2024 to 16 October 2024

Payment date: 17 October 2024

Noteholders are advised of the following interest payment due 18 October 2024:

Bond code: FRC456

ISIN: ZAG000194416

Coupon: 11.525%

Interest amount due: R 1 452 465.75

Interest period: 18 July 2024 to 17 October 2024

Date convention: Modified following business day

Payment date: 18 October 2024

Noteholders are advised of the following interest payments due 21 October 2024:

Bond code: FRC400

ISIN: ZAG000185695

Coupon: 11.508%

Interest amount due: R 7 673 029.94

Interest period: 19 July 2024 to 20 October 2024

Bond code: FRS340

ISIN: ZAG000197740

Coupon: 10.212%

Interest amount due: R 2 103 951.78

Interest period: 19 July 2024 to 20 October 2024

Bond code: FRC463

ISIN: ZAG000194770

Coupon: 11.628%

Interest amount due: R 597 807.12

Interest period: 22 July 2024 to 20 October 2024

Bond code: FRC485

ISIN: ZAG000198979

Coupon: 11.408%

Interest amount due: R 1 422 093.15

Interest period: 22 July 2024 to 20 October 2024

Bond code: FRC396

ISIN: ZAG000184656

Coupon: 10.328%

Interest amount due: R 643 731.51

Interest period: 22 July 2024 to 20 October 2024

Bond code: FRC398

ISIN: ZAG000185141

Coupon: 10.808%

Interest amount due: R 673 649.31

Interest period: 22 July 2024 to 20 October 2024

Bond code: FRC399

ISIN: ZAG000185273

Coupon: 11.408%

Interest amount due: R 1 564 302.47

Interest period: 22 July 2024 to 20 October 2024

Bond code: FRC455

ISIN: ZAG000194366

Coupon: 10.658%

Interest amount due: R 664 300.00

Interest period: 22 July 2024 to 20 October 2024

Date convention: Modified following business day

Payment date: 21 October 2024

1 October 2024

Debt sponsor

Rand Merchant Bank (a division of FirstRand Bank Limited)

Date: 01-10-2024 05:25:00

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