The capital markets are an important source of funding for Standard Bank and are accessed via various platforms.

The Debt Centre contains information and documents in respect of Standard Bank’s capital markets activity.

SBG Domestic Medium Term Note Programme

SBG DMTN Risk Factors Disclosure Document 08 December 2022

SBG Issuer Disclosure Document (08 December 2022)

SBG Issuer Disclosure Document (October 2021)

SBG DMTN Risk Factors Disclosures Document (October 2021)

SBG Issuer Disclosure Document 24 December 2020

SBG DMTN Risk Factors Disclosure Document 24 December 2020

Please click here to view the latest update to the Programme – 08 December 2022

Please click here to view the latest update to the Programme  – 24 December 2020

Please click here to view the 24 December 2020 Programme Memorandum

Please click here to view the 9 October 2019 Programme Memorandum

Please click here to view the 13 November 2018 Programme Memorandum

Please click here to view the 28 November 2016 Programme Memorandum

ISIN Bond Issue Date Maturity Date Size Pricing Supplements
ZAG000200692 SBT111 16/11/2023 31/12/2028 R2 000 000 000-00 pdf
ZAG000200007 SBT210  17/10/2023 18/10/2023 R3 639 000 000 pdf
ZAG000196478 SBT110 (Tap) 06/06/2023 Perpetual (First Redemption date 30/06/2028) R1 000 000 000. pdf
ZAG000196478 SBT110 01/06/2023 Perpetual (First Redemption date 30/06/2028) R1 500 000 000 pdf
ZAG000191966 SBT109 (Tap) 28/11/2022 Perpetual (First Redemption date 31/12/2027) R1 100 000 000 pdf
ZAG000191966 SBT109 21/11/2022 Perpetual (First Redemption date 31/12/2027) R2 500 000 000 pdf
ZAG000143017 SBT101 30/03/2017 Perpetual R1 744 000 000 pdf
ZAG0000146622 SBT102 21/09/2017 30/09/2022 R1 800 000 000-00 pdf
ZAG000157157 SBT103 20/02/2019 31/03/2024 R1 942 000 000 pdf
ZAG000170986 SBT104 28/08/2020 31/12/2099 R 1 539 000 000-00 pdf
ZAG000174830 SBT105 29/03/2021 Perpetual (First Redemption Date 31 March 2026) R1 800 000 000-00 pdf
ZAG000180431 SBT106 12/10/2021 31/12/2036 R1 724 000 000-00 pdf
ZAG000184896 SBT107 07/04/2022 Perpetual R1 559 000 000-00 pdf
ZAG000187972 SBT108 12/07/2022 Perpetual R2 000 000 000-00 pdf

 

 

ISIN Bond Issue Date Maturity Date Size Pricing Supplements
ZAG000194242 SST203 03/03/2023 03/03/2033 R2,000,000,000 pdf
ZAG000189325 SST202 30/08/2022 31/08/2032 R1,639,000,000 pdf
ZAG000182031 SST201 07/12/2021 08/12/2031 R1,444,000,000 pdf
ZAG000177353 SBT209 28/06/2021 29/06/2031 R1 722 000 000 pdf
ZAG000172651 SBT208 27/11/2020 28/11/2030 R1 500 000 000 pdf
ZAG000168964 SBT207 24/06/2020 24/06/2030 R3.5 billion pdf
ZAG000165754 SBT206 30/01/2020 31/10/2030 R2,000,000,000 pdf
ZAG000149519 SBT201 13/02/2018 13/02/2028 R1 744 000 000 pdf
ZAG000155680 SBT202 03/12/2018 03/12/2028 R1 516 000 000 pdf
ZAG000155714 SBT203 03/12/2018 03/12/2028 R484 000 000 pdf
ZAG000158684 SBT204 15/04/2018 16/04/2029 R1 000 000 000 pdf
SBSA Domestic Medium Term Programme

SBSA DMTN Risk Factors Disclosures Document (08 December 2022)

SBSA Issuer Disclosure Document (08 December 2022)

SBSA DMTN Risk Factors Disclosures Document (October 2021)

SBSA Issuer Disclosure Document (October 2021)

SBSA Issuer Disclosure Document 24 December 2020

SBSA DMTN Risk Factors Disclosure 24 December 2020

Please click here to view the latest update to the  DMTN programme – 08 December 2022

Please click here to view the latest update to the  DMTN programme -24 December 2020

Please click here to view the 24 December 2020 DMTN programme.

Please click here to view the 09 October 2019 DMTN programme.

Please click here to view the 13 November 2018 DMTN programme.

Please click here to view the 12 September 2017 DMTN programme.

Please click here to view the 02 September 2016 DMTN programme.

Please click here to view the 07 December 2015 DMTN programme.

Please click here to view 25 November 2014 DMTN Programme.

Please click here to view 19 September 2013 DMTN Programme.

Please click here to view 20 August 2012 DMTN Programme.

Please click here to view 01 December 2010 DMTN Programme.

The following notes are outstanding under the Programme as at 01 June 2011:

ISIN Bond Issue Date Maturity Date Size Pricing Supplements
ZAG000197484 SBS82 (Tranche 2) 29/11/2023 08/08/2026 R918 000 000 pdf
ZAG000197476 SBS81 (Tranche 2) 29/11/2023 08/08/2026 R555 000 000 pdf
ZAG000197856 SBSL01 (Tranche 2) 29/11/2023 08/08/2026 R978 000 000 pdf
ZAG000197856 SBSL01 08/08/2023 08/08/2026 R1 400 000 000 pdf
ZAG000197476 SBS81 08/08/2023 08 /08/2028 R800 000 000 pdf
ZAG000197484 SBS82 08/08/2023 08/08/2030 R800 000 000 pdf
ZAG000185463 SBS76 (Tranche 3) 03/02/2023 26/04/2032 R793 000 00 pdf
ZAG000192303 SBS78 (Tranche 2) 03/02/2023 1/12/2025 R440 000 000 pdf
ZAG000192295
SBS79 (Tranche 2)
03/02/2023 1/06/2028 R995 000 000 pdf
ZAG000192295 SBS79 01/12/2022 1/06/2028 R618 000 000 pdf
ZAG000192303 SBS78 01/12/2022 01/12/ 2025 R938 000 000 pdf
ZAG000185463 SBS76 Tranche 2 (Tap) 01/12/2022 26/04/2032 R790 000 000 pdf
ZAG000191040 SBS77 Tranche 2 (Tap) 07 /11/2022 19/10/2027 R1.1 billlion pdf
ZAG000191040 SBS77 19/10/2022 19/10/2027 R1 099 billlion pdf
ZAG000160490 SBS67 (Tap) 19/10/2022 26/06/2029 R678 million pdf
ZAG000156654 SBS63 (Tap) 19/10/2022 31/01/2026 R692 million pdf
ZAG000185463 SBS76 26/04/2022 26/04/2032 R440 million pdf
ZAG000185455 SBS75 26/04/2022 26/04/2027 R1 985 billion pdf
ZAG000185448 SBS74 26/04/2022 26/04/2025 R1 251 billion pdf
ZAG000183211 SBS72 (Tap) 26/04/2022 02/02/2029 R356 million pdf
ZAG000183211 SBS72 02/02/2022 02/02/2029 R404 000 000-00 pdf
ZAG000183203 SBS71 02/02/2022 02/02/2027 R1 139 000 000-00 pdf
ZAG000183195 SBS70 02/02/2022 02/02/2025 R1 457 000 000-00 pdf
ZAG000000178443 SBSS01 19/08/2021 19/08/2024 R926 000 000-00 pdf
ZAG000000178443 SBSS01T2 09/12/2021 19/08/2024 R750 000 000-00 (Tranche 2) pdf
ZAG000178435 SBSS02 19/08/2021 19/08/2026 R1 074 000 000-00 pdf
ZAG000178435 SBSS02T2 09/12/2021 19/08/2026 R750 000 000-00 (Tranche 2) pdf
ZAG000172651 SBT208 27/11/2020 28/11/2030 R1 500 000 000-00 pdf
ZAG000170986 SBT104 28/08/2020 31/12/2099 R 1 539 000 000-00 pdf
ZAG000164575 SBS69 02/12/2019 02/12/2034 R1,000,000,000 pdf
ZAG000160490 SBS67T2 21/11/2019 26/06/2029 R416,000,000 pdf
ZAG000164450 SBS68 21/11/2019 21/11/2024 R1,334,000,000 pdf
ZAG000164450 SBS68T2 21/01/2020 21/11/2024 R1,197,000,000 pdf
ZAG000144619 SBS58T4 21/11/2019 12/06/2027 R447,000,000 pdf
ZAG000144619 SBS58T5 21/01/2020 12/06/2027 R805,000,000 pdf
ZAG000133497 SBS47T4 21/11/2019 15/02/2023 R1,129,000,000 pdf
ZAG000160490 SBS67 26/06/2019 26/06/2029 R748,000,000.00 pdf
ZAG000160490 SBS67T3 21/01/2020 26/06/2029 R792,000,000 pdf
ZAG000160508 SBS66 26/06/2019 26/06/2022 R1,484,000,000.00 pdf
ZAG000156662 SBS64 31/01/2019 31/01/2029 R995,000,000.00 pdf
ZAG000156654 SBS63 31/01/2019 31/01/2026 R1,010,000,000.00 pdf
ZAG000156647 SBS62 31/01/2019 31/01/2024 R1,006,000,000.00 pdf
ZAG000083940 SBS15 26/04/2011 26/04/2016 R2.545 billion pdf
ZAG000085556 SBS14 07/02/2011 07/02/2014 R500 million pdf
ZAG000086729 SBS16 22/09/2011 22/09/2018 R456 million pdf
ZAG000086745 SBS18 23/06/2011 23/06/2021 R1.375 billion pdf
ZAG000095373 SBS21 15/05/2012 15/05/2026 R1.257 billion pdf
ZAG00095373 SBS21 (T4) 26/06/2019 15/05/2026 R724,000,000.00 pdf
ZAG000095522 SBS23 24/05/2012 24/05/2017 R2.075 billion pdf
ZAG000095530 SBS24 24/05/2012 24/05/2019 R804 million pdf
ZAG000115189 SBS28 24/04/2014 24/04/2017 R2 billion pdf
ZAG000116625 SBS30 12/06/2014 12/06/2019 R1.159 billion pdf
ZAG000119413 SBS32 19/09/2014 19/09/2017 R465 million pdf
ZAG000119421 SBS33 19/09/2014 19/09/2019 R100 million pdf
ZAG000123266 SBS35 29/01/2015 29/01/2018 R1.475 billion pdf
ZAG000123274 SBS36 29/01/2015 29/01/2020 R153 million pdf
ZAG000131186 SBS40 12/11/2015 12/11/2020 R1.504 billion pdf
ZAG000133471 SBS44 11/02/2016 15/02/2019 R405 million pdf
ZAG000133463 SBS45 11/02/2016 15/02/2021 R362 million pdf
ZAG000133497 SBS47 11/02/2016 15/02/2023 R170 million pdf
ZAG0000133497 SBS47T2 06/12/2017 15/02/2023 R950 million pdf
ZAG000133497 SBS47T3 08/03/2018 15/02/2023 R300 million pdf
ZAG000133497 SBS47T5 21/01/2020 15/02/2023 R284,000,000 pdf
ZAG000141722 SBS48 31/01/2017 31/01/2020 R1.081 billion pdf
ZAG000141730 SBS49 31/01/2017 31/01/2022 R1.474 billion pdf
ZAG000141730 SBS52 25/04/2017 29/01/2030 R1.200 billion pdf
ZAG000143512 SBS52T2 09/10/2017 29/01/2030 R1.130 billion pdf
ZAG000143603 SBS53 02/05/2017 03/05/2027 R650 million pdf
ZAG000143603 SBS53T2 19/07/2017 03/05/2027 R1 billion pdf
ZAG000143603 SBS53T3 19/07/2017 03/05/2027 R250 million pdf
ZAG0000143603 SBS53T4 24/08/2017 03/05/2027 R255 million pdf
ZAG0000143603 SBS53T5 10/11/2011 03/05/2027 R250 million pdf
ZAG000144577 SBS54 12/06/2017 12/06/2020 R1.004 million pdf
ZAG000144593 SBS55 12/06/2017 12/06/2022 R1.648 billion pdf
ZAG000144593 SBS55T2 09/10/2017 12/06/2022 R1.710 billion pdf
ZAG000144593 SBS55T3 07/11/2017 12/06/2022 R1,293 billion pdf
ZAG000144635 SBS57 12/06/2017 12/06/2024 R627 million pdf
ZAG000144635 SBS57T2 09/10/2017 12/06/2024 R402 million pdf
ZAG000144635 SBS57 (T3) 26/06/2019 12/06/2024 R845,000,000.00 pdf
ZAG000144619 SBS58 12/06/2017 12/06/2027 R1.245 billion pdf
ZAG000144619 SBS58T2 09/10/2017 12/06/2027 R384 billion pdf
ZAG000147182 SBS59 09/10/2017 09/10/2020 R436 billion pdf
ZAG0000149303 SBS60 18/01/2018 18/01/2023 R1.5 billion pdf

 

ISIN Bond Issue Date Maturity Date Size Pricing Supplements
ZAG000193368 SBS80 03/02/2023 03/02/2028 R 772 million pdf
ZAG000030586 SBS3 25/05/2006 25/05/2026 R750 million pdf
ZAG000035049 SBS4 16/11/2006 16/11/2021 R500 million pdf
ZAG000051483 SBS7 26/03/2008 26/03/2013 R75 million pdf
ZAG000069329 SBS9 07/07/2009 07/07/2016 R2.75 billion pdf
ZAG000080839 SBS13 22/09/2010 22/09/2017 R700 million pdf
ZAG000086752 SBS19 23/06/2011 23/06/2021 R1.65 billion pdf
ZAG000095365 SBS20 15/05/2012 15/05/2026 R1.894 billion pdf
ZAG000095365 SBS20T2 15/05/2012 15/05/2026 R500 million pdf
ZAG0000895548 SBS25 24/05/2011 24/05/2019 R1.86 billion pdf
ZAG000112772 SBS27 20/02/2014 20/02/2024 R2.007 billion pdf
ZAG000116617 SBS29 12/06/2014 12/06/2019 R500 million pdf
ZAG000116633 SBS31 12/06/2014 12/06/2027 R440 million pdf
ZAG000119439 SBS34 19/09/2014 19/09/2024 R1.46 billion pdf
ZAG000123282 SBS37 29/01/2015 29/01/2020 R1.215 billion pdf
ZAG000123282 SBS37T2 14/03/2018 29/01/2020 R500 million pdf
ZAG000123290 SBS38 29/01/2015 29/01/2025 R2.8 billion pdf
ZAG000123308 SBS39 29/01/2015 29/01/2030 R1.343 billion pdf
ZAG1000123308 SBS39T2 05/06/2015 29/01/2030 R500 million pdf
ZAG000131202 SBS41 12/11/2015 12/11/2022 R451 million pdf
ZAG000131202 SBS42 12/11/2015 12/11/2025 R976 million pdf
ZAG000131244 SBS43 19/10/2015 12/11/2027 R400 million pdf
ZAG000133489 SBS46 11/02/2016 15/02/2023 R168 million pdf
ZAG000141748 SBS50 31/01/2017 31/01/2022 R400 million pdf
ZAG000141755 SBS51 31/01/2017 31/01/2024 R195 million pdf
ZAG000144601 SBS56 12/06/2017 12/06/2022 R533 million pdf
ISIN Bond Issue Date Maturity Date Size Pricing Supplements
ZAG000075789 SBSI11 03/03/2010 07/12/2023 R2.15 billion pdf
ZAG000080847 SBSI12 22/09/2010 31/01/2017 R2.15 billion pdf
ZAG000133737 SBSI14 19/02/2016 07/12/2033 R520 million pdf
ISIN Bond Issue Date Maturity Date Size Pricing Supplements
ZAG000168964 SBT207 24/06/2020 24/06/2030 R3.5 billion pdf
ZAG000029687 SBK9 10/04/2006 10/04/2018 R1.5 billion pdf
ZAG000091018 SBK14 01/12/2011 01/12/2017 R1.78 billion pdf
ZAG000092339 SBK15 23/01/2012 23/01/2017 R1.22 billion pdf
ZAG000093741 SBK16 15/03/2012 15/03/2018 R2 billion pdf
ZAG000097619 SBK17 20/07/2012 30/07/2019 R2 billion pdf
ZAG000100827 SBK18 24/10/2012 24/01/2020 R2.5 billion pdf
ZAG000100827 SBK18T2 30/10/2012 24/10/2025 R1 billion pdf
ZAG000095365 SBK19 24/10/2012 24/01/2019 R500 million pdf
ZAG000121781 SBK20 02/12/2014 02/12/2019 R2.25 billion pdf
ZAG000123258 SBK21 28/01/2015 28/01/2020 R750 million pdf
ZAG000126442 SBK22 28/05/2015 28/05/2020 R1 billion pdf
ZAG000126434 SBK23 28/05/2015 28/05/2022 R1 billion pdf
ZAG000130584 SBK24 19/10/2015 19/10/2025 R880 million pdf
ZAG000135781 SBK25 25/04/2016 25/04/2026 R1.2 billion pdf
ZAG000135799 SBK26 25/04/2016 25/04/2026 R500 million pdf
USD Structured Note Programme

Please click here to view the Programme Memorandum dated 10 September 2021

SBSA Issuer Disclosure Schedule (2021)

SBSA Risk Factor & Other Disclosures Schedule (2021)

Please click here to view the Programme Memorandum dated 14 September 2020

Please click here to view the Programme Memorandum dated 9 September 2019

 

Securitisation

SBSA has established 4 listed securitisation vehicles.

ZAR Structured Note Programme

26 January 2021 Programme Memorandum

10 January 2019 Structured Note Programme.

1 January 2017 Structured Note Programme.

 1 March 2015 Structured Note Programme.

1 February 2012 Structured Note Programme.

30 November 2001 Credit Linked Note Programme.

 

 

SBG and SBSA EMTN Programme

SBSA's USD2 billion programme was established in 2007.
It was most recently updated on 31 May 2023.

ISIN Issue Date Maturity Date Amount Download
XS2001739379 30/05/2019 31/05/2029 USD 4 00 million pdf
SBG Sustainable Bond Framework(s) and Second Party Opinions

Preference shares

Preference shares issued by Standard Bank Group Limited:

Document Download
6,5% cumulative preference shares
ZAE000038881 SBKP
Non-redeemable, non-cumulative, non-participating preference shares
ZAE000056339 SBPP SBPP
SBPP Pre-listing Statement pdf

Debt investors SENS announcements

  • 2023
  • 2022
  • 2021
  • 2020
  • 2019
  • 2018
  • 2017
  • 2016
  • 2015
  • 2014

Presentations

2016

Document Download
SBSA roadshow (January 2016) pdf

2012
2011

Document Download
Road show material pdf

  • 2016
  • 2012
  • 2011
Document Download
SBSA roadshow (January 2016) pdf
Document Download
Road show material pdf

Contacts

Head office

Street: 9th Floor Standard Bank Centre, 5 Simmonds Street, Johannesburg, 2001
Postal: PO Box: 7725, Johannesburg, 2000
Tel: 27 11 636 9111 (switchboard)

DMTN and EMTN Programmes (SBS,SBK, SBR Notes, Preference Shares)

Mr Marc Hearn
Tel: 27 11 344 5004

Structured Note Programme

Mr. Alex Davidson
Tel: (27 415 4063)

Securitisation

Mr. Mike Brunke
Tel: 27 11 721 8101

Standard Bank Africa

Mr. Norbert Hoffman
Tel: 27 11 415 4347