Absa Bank announces final redemption of structured notes due October 2026
Absa announced final redemption of its ASN720, ASN727, ASN728, ASN729, ASN730, ASN731, ASN734 structured product notes in October-November 2026. Redemption amounts per unit will be disclosed on or before each note’s finalisation date between Oct. 12 and Oct. 27, 2026. JSE payment dates run from Oct. 23 to Nov. 10, 2026, with terminations from Oct. 26 to Nov. 11, 2026. Disclaimer: This news brief was created by Public Technologies (PUBT) using generative artificial intelligence. While PUBT strives to provide accurate and timely information, this AI-generated content is for informational purposes only and should not be interpreted as financial, investment, or legal advice. ABSA Bank Limited published the original content used to generate this news brief via SENS, the regulatory disclosure system operated by the Johannesburg Securities Exchange (JSE) (Ref. ID: S603516), on September 18, 2026, and is solely responsible for the information contained therein. (C)
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