IMPCB 201801300015A
Full Capital Redemption And Delisting – IMPCB 2018 Convertible Bonds
Impala Platinum Holdings Limited
(Incorporated in the Republic of South Africa)
(Registration No. 1957/001979/06)
Convertible Bond Code: IMPCB
ISIN: ZAE000175873
("Implats" or the "Company")
FULL CAPITAL REDEMPTION AND DELISTING – IMPCB 2018 CONVERTIBLE BONDS
In accordance with the Terms and Conditions of the Implats Convertible Bond Listing Document dated
8 April 2013, bondholders are advised of the following full capital redemption effective on Wednesday,
21 February 2018, being the maturity date of the 2018 Convertible Bonds:
Bond code: IMPCB
ISIN: ZAE000175873
Amount outstanding before capital redemption: ZAR304,240,000.00
Capital redemption amount: ZAR304,240,000.00
Amount outstanding after the capital redemption: Nil
Accrued interest at ZAR250.00 for each ZAR10,000.00 ZAR7,606,000.00
(equating to ZAR250.00 per note):
Total redemption amount payable at ZAR31,184.60 for each ZAR311,846,000.00
ZAR10,000.00 (equating to ZAR10,250.00 per note):
Last day to trade: Tuesday, 13 February 2018
Bonds suspended on JSE trading system: Wednesday, 14 February 2018
Record date: Friday, 16 February 2018
Payment date: Wednesday, 21 February 2018
Listing of bonds terminated on JSE trading system: Thursday, 22 February 2018
Johannesburg
30 January 2018
Debt Sponsor
The Standard Bank of South Africa Limited
Date: 30/01/2018 09:00:00 Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE').
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