Resilient REIT schedules ZAR 200 million bond principal repayment for Oct. 23, 2026
Resilient REIT notified noteholders of scheduled interest payments across domestic medium-term notes in October 2026, including ZAR 200 million principal for RES65 on Oct. 23, 2026, and other October interest payments at RES66, RES59 and RES80. Coupon rates across the disclosed bonds range from 7.898% to 8.658%.