Interest payment on convertible bond
Impala Platinum Holdings Limited
(Incorporated in the Republic of South Africa)
(Registration No. 1957/001979/06)
JSE Share Code: IMP
LSE Share Code: IPLA
ADR Code: IMPUY
JSE Convertible Bond ISIN: ZAE000175873
Convertible Bond Code: IMPCB
INTEREST PAYMENT ON CONVERTIBLE BOND
Bondholders of the Implats Convertible Bond (“the Convertible Bond”) are hereby advised that
the Convertible Bond will commence trading ex-interest from the commencement of trade on
Monday, 16 February 2015 until the close of trade on Friday, 20 February 2015, with respect
to the interest coupon period that commenced on 22 August 2014 (inclusive) and that will end
on 23 February 2015 (exclusive).
The interest amount to be paid on Monday, 23 February 2015 will be ZAR250.00 for each
ZAR10 000.00 of principal amount. The next interest coupon period will commence on 23
February 2015 (inclusive) and end on 21 August 2015 (exclusive).
The salient dates relating to this interest payment are as follows:
Last day to trade in order to participate in this interest Friday, 13 February
Ex interest date Monday, 16 February
Record date Friday, 20 February
Payment date Monday, 23 February
29 January 2015
The Standard Bank of South Africa Limited
Date: 29/01/2015 02:30:00 Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE').
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