Octodec Investments Limited: Interest Payment Notification

Octodec Investments Limited
Bondholders are advised of the following interest payments:
Bond code: PMM60
ISIN: ZAG000194077
Coupon: 10.283%
Interest period: 30 August 2024 to 29 November 2024
Interest amount due: R 2 050 965.48
Payment date: 29 November 2024
Date convention: Modified following business day
Bond code: PMM59
ISIN: ZAG000194093
Coupon: 10.133%
Interest period: 30 August 2024 to 29 November 2024
Interest amount due: R 2 526 309.59
Payment date: 29 November 2024
Date convention: Modified following business day
Bond code: PMM58
ISIN: ZAG000183898
Coupon: 10.383%
Interest period: 30 August 2024 to 29 November 2024
Interest amount due: R 2 588 638.36
Payment date: 29 November 2024
Date convention: Modified following business day
Bond code: OCT001
ISIN: ZAG000199852
Coupon: 10.183%
Interest period: 30 August 2024 to 29 November 2024
Interest amount due: R 2 538 775.34
Payment date: 29 November 2024
Date convention: Modified following business day
For the full document click the link below:
Octodec Investments Limited
Stay ahead of the curve! Subscribe to InsidEntity for daily updates on all your favourite companies.