• 32 Day Prime-Time Notice Deposit   8.50% NACM    Yield
  • 63 Day Prime-Time Notice Deposit   8.65% NACM    Yield
  • 91 Day Prime-Time Notice Deposit   8.80% NACM    Yield
  • 126 Day Prime-Time Notice Deposit   8.95% NACM    Yield
  • 182 Day Prime-Time Notice Deposit   9.25% NACM    Yield
  • 365 Day Prime-Time Notice Deposit   9.50% NACM    Yield
  • Flexi Notice - 32 Days   8.63% NACM    Yield
  • Flexi - 42 Days   8.81% NACM    Yield
  • Flexi Notice - 91 Days   8.97% NACM    Yield
  • Flexi Notice - 126 Days   9.20% NACM    Yield
  • Flexi Notice -182 Days   9.43% NACM    Yield

Library

 
Document Download
Grindrod Financial Holdings Limited Annual Financial Statements (For the nine months ended 30 September 2023)
Grindrod Bank Limited Annual Financial Statements (For the nine months ended 30 September 2023)
Grindrod Bank Limited Annual Financial Statements (For year ended 31 December 2022)
Grindrod Financial Holdings Limited Annual Financial Statements (For year ended 31 December 2022)
Grindrod Bank Limited Annual Financial Statements (For year ended 31 December 2021)
Grindrod Financial Holdings Limited Annual Financial Statements (For year ended 31 December 2021)
Grindrod Bank Limited Annual Financial Statements (For year ended 31 December 2020)
Grindrod Financial Holdings Limited Annual Financial Statements (For year ended 31 December 2020)
Grindrod Bank Limited Annual Financial Statements (For year ended 31 December 2019)
Grindrod Financial Holdings Limited Annual Financial Statements (For year ended 31 December 2019)
Grindrod Bank Limited Annual Financial Statements (For year ended 31 December 2018)
Grindrod Bank Limited Annual Financial Statements (For year ended 31 December 2017)
Grindrod Bank Limited Annual Financial Statements (For year ended 31 December 2016)
Grindrod Bank Limited Annual Financial Statements (For year ended 31 December 2015)
Grindrod Bank Limited Annual Financial Statements (For year ended 31 December 2014)
Grindrod Bank Limited Annual Financial Statements (For year ended 31 December 2013)
Document Download
Integrated Annual Report 2021
Integrated Annual Report 2019

Bond Programme

In October 2012, Grindrod Bank issued its inaugural bond on the Johannesburg Securities Exchange (JSE).

Grindrod Bank initially raised R500m under a Domestic Medium Term Note Programme (DMTNP) and has the capacity to issue further amounts of up to R1billion under the programme. The initial note was for a period of 3 years and has a yield linked to the 3 month Johannesburg Interbank Agreed Rate (3m JIBAR). Please refer below to find the latest Information Statement.

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Applicable Pricing Supplement - GBL06
Bond Programme 2019

Corporate Governance

Grindrod Bank is steadfast in its commitment to upholding high standards of corporate governance and ethics practices. Good corporate governance is a key component of our culture, behaviour and is consistent with our core values.

Our corporate governance is supported by an ethos of accountability & ethics. We are dedicated to doing business in an ethical and transparent manner. This requires having a long-term vision and corporate governance structure that supports our business and meets the needs of our stakeholders. We accomplish this by focusing on integrity, transparency and timely communication; implementing clear processes; and following internal policies & procedures that enable us to operate in the best interests of all our stakeholders, and which comply with applicable South African corporate governance requirements.

Should you wish to lodge a complaint, please download and complete this Complaints Form and submit to: [email protected]

Document Download
Grindrod Bank Limited King IV Assessment (For the year ended 31 December 2022)
Grindrod Bank Limited Nominations & Appointment of Directors Policy
Grindrod Bank Limited Conflict of Interests Policy: Directors & Prescribed Officers
Grindrod Bank Limited Privacy Notice
Grindrod Bank Limited PAIA Manual
Grindrod Bank Limited Complaints Process
Grindrod Bank Limited Conflict of Interest Management Policy
Ombudsman | Contact Details
Grindrod Bank Limited Promotion of Access to Information Act Manual
Grindrod Bank Limited AML & CTF Policy

CREDIT RATING REPORT

As of 30 July 2021, GCR Ratings (“GCR”) has affirmed the national scale long- and short-term issuer ratings assigned to Grindrod Bank Limited at ‘A-(ZA)’ and ‘A2(ZA)’ respectively; and affirmed the international scale long-term issuer rating at ‘B+’ with outlooks accorded as Stable.

Document Download
GCR Rating | Grindrod Bank

PUBLIC DISCLOSURE IN TERMS OF REGULATION 43 OF THE BANKS ACT

Grindrod Financial Holdings Limited and Grindrod Bank Limited are required in terms of Regulation 43 of the Regulations relating to Banks, as well as in accordance with the Basel Committee on Banking Supervision (BCBS) revised Pillar 3 disclosure requirements and the Prudential Authority (PA), Directive 1 of 2019, to publicly report on their capital management plan, capital strategy, capital structure, capital adequacy ratio, leverage and liquidity ratios, all of which are disclosed in the 2021 year end report.

Grindrod Bank's risk governance framework is fully disclosed in its 2021 Annual Financial Statements and Integrated Report available on the website or from the Company Secretary.

 

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2024
Pillar III Q2 2024 – disclosure
Pillar III Q1 2024 – disclosure
2023
Pillar III Nine Months Ended September 2023 – disclosure
Pillar III Q2 2023 – disclosure
Pillar III Q1 2023 – disclosure
2022
Pillar III Year Ended December 2022 – disclosure
Pillar III Q3 2022 – disclosure
Pillar III Q2 2022 – disclosure
Pillar III Q1 2022 – disclosure
2021
Pillar III Year Ended December 2021 – disclosure
Pillar III Q3 2021 - disclosure
Pillar III Q2 2021 - disclosure
Pillar III Q1 2021 - disclosure
2020
Pillar III Year Ended December 2020 – disclosure
Pillar III Q3 2020 - disclosure
Pillar III Q2 2020 - disclosure
Pillar III Q1 2020 - disclosure
2019
Pillar III Year Ended December 2019 - disclosure
2018
Pillar III 2018 12 – disclosure
Pillar III 2018 09 - disclosure
Pillar III 2018 06 - additional disclosure
Pillar III 2018 06 - disclosure
Pillar III 2018 03 – disclosure
2017
Pillar III 2017 12 – disclosure
Pillar III 2017 09 - disclosure
Pillar III 2017 06 - disclosure
Pillar III 2017 06 - additional disclosure
Pillar III 2017 03 - disclosure
2016
Pillar III 2016 09 - disclosure
Pillar III 2016 06 - disclosure
Pillar III 2016 06 - additional disclosure
Pillar III 2016 03 - disclosure
2015
Pillar III 2015 06 - disclosure
Pillar III 2015 06 - additional disclosure
Pillar III 2015 09 - disclosure
Pillar III 2015 03 - disclosure
2014
Pillar III 2014 12 - disclosure
Pillar III 2014 09 - disclosure
Pillar III 2014 06 - disclosure
Pillar III 2014 06 - additional disclosure
Pillar III 2014 03 - disclosure
2013
Grindrod Bank Limited Annual Financial Statements (For year ended 31 December 2013)
Pillar III 2013 12 - disclosure
Pillar III 2013 12 – additional disclosure (2013 Annual Financial Statement extract)
Pillar III 2013 09 - disclosure
Pillar III 2013 06 - additional disclosure
Pillar III 2013 06 - disclosure
Pillar III 2013 03 - disclosure
2012
Pillar III 2012 12 - disclosure
Pillar III 2012 12 - additional disclosure
Pillar III 2012 12 - additional disclosure (2012 Annual Financial Statement extract)
Pillar III 2012 09 - disclosure
Pillar III 2012 03 - disclosure
Pillar III 2012 06 - additional disclosure
Pillar III 2012 06 - disclosure
2011
Pillar III 2011 12 - additional disclosure (2011 Annual Financial Statement extract)
Pillar III 2011 12 - disclosure
Pillar III 2011 09 - disclosure
Pillar III 2011 06 - additional disclosure
Pillar III 2011 06 - disclosure
Document Download
28/05/2024 - Interest Payment and Redemption Notification
26/2/2024 - Interest Payment Notification
24/11/2023 - Interest Payment Notification
24/11/2023 - Notice of Availability of the Financial Statements for the Nine Month Period
29/9/2023 - Notification of Change of External Auditor
1/9/2023 - Interest Payment Notification
28/8/2023 - Market Repurchase: GBL06
13/07/22023 - Notification of Affirmation Of Credit Ratings
25/05/2023 - Interest Payment Notification
22/05/2023 - Changes to the Board
6/4/2023 - Change in Financial Year-End
31/03/2023 - Change in Directorate
30/03/2023 - Notice of Availability of the Consolidated Annual Financial Statements
14/3/2023 - Correction Announcement
27/2/2023 - Interest Payment Notification
8/12/2022 - Changes to the Board
5/12/2022 - Interest Payment Notification
30/11/2022 - Changes to the Board and Board Committees
7/11/2022 - Changes to the Board
31/10/2022 - Changes to the Board
25/10/2022 - Changes to the Board
25/10/2022 - Interest Payment and Redemption Notification
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
25/8/2022 - Interest Payment Notification
25/7/2022 - Interest Payment Notification
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
24/5/2022 - Interest Payment Notification
21/4/2022 - Interest Payment Notification
31/03/2022 - Notice of Availability of Consolidated Annual Financial Statements
22/02/2022 - Interest Payment Notification
25/01/2022 - Interest Payment Notification
22/11/2021 - Interest Payment Notification
Appointment of Independent Non-Executive Director
21/10/2021 - Interest Payment Notification
19/08/2021 - Interest Payment Notification
21/07/2021 - Interest Payment Notification
18/06/2021 - New Financial Instrument Listing Announcement: GBL06
20/05/2021 - Interest Payment and Capital Redemption Notification
22/04/2021 - Interest Payment Notification
23/02/2021 - Interest Payment Notification
20/01/2021 - Interest Payment Notification
25/11/2020 - Interest Payment Notification
26/10/2020 - Debt Officer Appointment
22/10/2020 - Interest Payment and Capital Redemption Notification
19/08/2020 - Interest Payment Notification
23/07/2020 - Interest Payment Notification
13/07/2020 - Affirmation of the Credit Rating
05/11/2019 - New Financial Instrument Listing Announcement: GBL05
09/05/2019 - Interest Payment Notification
25/02/2019 - Interest Payment Notification
20/02/2019 - GBL03 and GBL04 Tap Issuance
11/02/2019 - Interest Payment Notification
12/11/2018 - Interest Payment Notification
18/10 2018 - GBL03 Tap Issue
15/10/2018 - GBL03 Tap Issue
09/10/2018 - Interest & Capital Redemption Notification
04/10/2018 - GBL04 Tap Issue
10/07/2018 - Interest Payment Notification
04/06/2018 - New Financial Instrument Listing Announcement: GBL04
04/06/2018 - New Financial Instrument Listing Announcement: GBL04
11/05/2018 - Interest Payment Notification
16/11/2017 - New Financial Instrument Listing Announcement: GBL03
02/06/2017 - SENS: Tap Issue of note GBL02
15/10/2015 - JSE Listing - GBL02
14/04/2014 - PropTrax TEN
14/04/2014 - PropTrax SAPY distribution
14/04/2014 - PrefTrax distribution
10/04/2014 - DivTrax listing
10/04/2014 - LowVolTrax listing
Notification of Affirmation Of Credit Ratings