• 32 Day Prime-Time Notice Deposit   8.75% NACM    8.75% Yield
  • 63 Day Prime-Time Notice Deposit   8.90% NACM    8.94% Yield
  • 91 Day Prime-Time Notice Deposit   9.05% NACM    9.12% Yield
  • 126 Day Prime-Time Notice Deposit   9.20% NACM    9.31% Yield
  • 182 Day Prime-Time Notice Deposit   9.50% NACM    9.69% Yield
  • 365 Day Prime-Time Notice Deposit   9.75% NACM    10.21% Yield
  • Flexi Notice - 32 Days   8.81% NACM    8.81% Yield
  • Flexi - 42 Days   9.00% NACM    9.01% Yield
  • Flexi Notice - 91 Days   9.17% NACM    9.24% Yield
  • Flexi Notice - 126 Days   9.40% NACM    9.52% Yield
  • Flexi Notice -182 Days   9.64% NACM    9.83% Yield

Sens

 
Date Sens Document Download
26 February 2024 26/2/2024 - Interest Payment Notification
24 November 2023 24/11/2023 - Interest Payment Notification
24 November 2023 24/11/2023 - Notice of Availability of the Financial Statements for the Nine Month Period
29 September 2023 29/9/2023 - Notification of Change of External Auditor
01 September 2023 1/9/2023 - Interest Payment Notification
28 August 2023 28/8/2023 - Market Repurchase: GBL06
13 July 2023 13/07/22023 - Notification of Affirmation Of Credit Ratings
25 May 2023 25/05/2023 - Interest Payment Notification
22 May 2023 22/05/2023 - Changes to the Board
06 April 2023 6/4/2023 - Change in Financial Year-End
31 March 2023 31/03/2023 - Change in Directorate
30 March 2023 30/03/2023 - Notice of Availability of the Consolidated Annual Financial Statements
14 March 2023 14/3/2023 - Correction Announcement
27 February 2023 27/2/2023 - Interest Payment Notification
08 December 2022 8/12/2022 - Changes to the Board
05 December 2022 5/12/2022 - Interest Payment Notification
30 November 2022 30/11/2022 - Changes to the Board and Board Committees
07 November 2022 7/11/2022 - Changes to the Board
31 October 2022 31/10/2022 - Changes to the Board
25 October 2022 25/10/2022 - Changes to the Board
25 October 2022 25/10/2022 - Interest Payment and Redemption Notification
10 October 2022 10/10/2022 - Finalisation of disposal of 100% of the issued ordinary share capital of Grindrod Financial Holdings Limited and 100% of the preference shares issued by Grindrod Bank Limited
25 August 2022 25/8/2022 - Interest Payment Notification
25 July 2022 25/7/2022 - Interest Payment Notification
26 May 2022 26/5/2022 - Disposal of 100% of the issued ordinary share capital of Grindrod Financial Holdings Limited and 100% of the preference shares Issued by Grindrod Bank Limited
24 May 2022 24/5/2022 - Interest Payment Notification
21 April 2022 21/4/2022 - Interest Payment Notification
31 March 2022 31/03/2022 - Notice of Availability of Consolidated Annual Financial Statements
22 February 2022 22/02/2022 - Interest Payment Notification
25 January 2022 25/01/2022 - Interest Payment Notification
22 November 2021 22/11/2021 - Interest Payment Notification
10 November 2021 Appointment of Independent Non-Executive Director
21 October 2021 21/10/2021 - Interest Payment Notification
19 August 2021 19/08/2021 - Interest Payment Notification
21 July 2021 21/07/2021 - Interest Payment Notification
18 June 2021 18/06/2021 - New Financial Instrument Listing Announcement: GBL06
21 May 2021 20/05/2021 - Interest Payment and Capital Redemption Notification
22 April 2021 22/04/2021 - Interest Payment Notification
23 February 2021 23/02/2021 - Interest Payment Notification
20 January 2021 20/01/2021 - Interest Payment Notification
25 November 2020 25/11/2020 - Interest Payment Notification
26 October 2020 26/10/2020 - Debt Officer Appointment
22 October 2020 22/10/2020 - Interest Payment and Capital Redemption Notification
25 August 2020 19/08/2020 - Interest Payment Notification
23 July 2020 23/07/2020 - Interest Payment Notification
13 July 2020 13/07/2020 - Affirmation of the Credit Rating
05 November 2019 05/11/2019 - New Financial Instrument Listing Announcement: GBL05
09 May 2019 09/05/2019 - Interest Payment Notification
25 February 2019 25/02/2019 - Interest Payment Notification
20 February 2019 20/02/2019 - GBL03 and GBL04 Tap Issuance
11 February 2019 11/02/2019 - Interest Payment Notification
12 November 2018 12/11/2018 - Interest Payment Notification
18 October 2018 18/10 2018 - GBL03 Tap Issue
15 October 2018 15/10/2018 - GBL03 Tap Issue
09 October 2018 09/10/2018 - Interest & Capital Redemption Notification
04 October 2018 04/10/2018 - GBL04 Tap Issue
10 July 2018 10/07/2018 - Interest Payment Notification
04 June 2018 04/06/2018 - New Financial Instrument Listing Announcement: GBL04
04 June 2018 04/06/2018 - New Financial Instrument Listing Announcement: GBL04
11 May 2018 11/05/2018 - Interest Payment Notification
16 November 2017 16/11/2017 - New Financial Instrument Listing Announcement: GBL03
02 June 2017 02/06/2017 - SENS: Tap Issue of note GBL02
15 October 2015 15/10/2015 - JSE Listing - GBL02
14 April 2014 14/04/2014 - PropTrax TEN
14 April 2014 14/04/2014 - PropTrax SAPY distribution
14 April 2014 14/04/2014 - PrefTrax distribution
10 April 2014 10/04/2014 - DivTrax listing
10 April 2014 10/04/2014 - LowVolTrax listing
13 July 0001 Notification of Affirmation Of Credit Ratings