KAP Limited: Interest Payment Notification

KAP Limited
Bondholders are advised of the following interest payments:
 
Bond code:                     KAP020
ISIN:                                ZAG000179797
Coupon:                         10.113%
Interest period:                 16 September 2024 to 16 December 2024
 Interest amount due:        R6,372,575.34
Payment date:                 17 December 2024 Date convention:    Following business day
 
Bond code:                     KAP021
ISIN:                                ZAG000179805
Coupon:                         10.133%
Interest period:                 16 September 2024 to 16 December 2024
 Interest amount due:        R6,385,178.08
Payment date:                 17 December 2024 Date convention:    Following business day
 
Bond code:                     KAP030
ISIN:                                ZAG000200510
Coupon:                         9.733%
Interest period:                 16 September 2024 to 16 December 2024
 Interest amount due:        R12,266,246.58
Payment date:                 17 December 2024 Date convention:    Following business day
 
Bond code:                     KAP026
ISIN:                                ZAG000189952
Coupon:                         9.480%
Interest period:                 30 September 2024 to 29 December 2024
 Interest amount due:        R8,035,923.29
Payment date:                 30 December 2024 Date convention:    Following business day
 
Bond code:                     KAP027
ISIN:                                ZAG000189960
Coupon:                         9.690%
Interest period:                 30 September 2024 to 29 December 2024
 Interest amount due:        R15,944,695.89
Payment date:                 30 December 2024 Date convention:    Following business day
 
Bond code:                     KAP024
ISIN:                                ZAG000185182
Coupon:                         9.542%
Interest period:                 14 October 2024 to 12 January 2025
 Interest amount due:        R9,991,650.41
Payment date:                 13 January 2025
Date convention:             Following business day
 
Bond code:                     KAP025
ISIN:                                ZAG000185190
Coupon:                         9.772%
Interest period:                 14 October 2024 to 12 January 2025
 Interest amount due:        R14,130,579.73
Payment date:                 13 January 2025
Date convention:             Following business day
 
For the full document click the link below:
KAP Limited
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