Investec Bank plc
Incorporated in England and
Wales
Registration number:
489604
LEI:
84S0VF8TSMH0T6D4K848
ISSUER CALL OPTION EXERCISE
NOTICE
ZAR 125,000,000 FLOATING RATE CREDIT
LINKED NOTES DUE 2029
SERIES NUMBER: 1074S
ISIN: XS2137301771
ISSUED BY INVESTEC BANK PLC (THE
"ISSUER")
UNDER ITS £2,000,000,000 IMPALA STRUCTURED NOTES
PROGRAMME
(THE "NOTES")
In accordance with Condition 13 (Notices) relating to all Notes,
NOTICE IS HEREBY GIVEN of
the exercise of the Issuer Call Option pursuant to Condition 6(f)
(Redemption at the Option of the
Issuer).
The Issuer shall redeem all outstanding Notes
pursuant to such Issuer Call Option on 31 May 2024 (the
"Optional Redemption Date")
at the Optional Redemption Amount, being the Fair Market Value
together with interest accrued to (but excluding) the Optional
Redemption Date.
Following the payment by the Issuer of the
Optional Redemption Amount in respect of each Note, the Notes shall
be redeemed in full and cancelled, and the Issuer shall have no
further obligations to Noteholders in respect of the
Notes.
All capitalised terms used and not defined
herein shall have the same meaning as in the terms and conditions
of the Notes as set out in the Base Prospectuses dated
17 July 2019 relating to the £2,000,000,000
Impala Bonds Programme.
FURTHER INFORMATION
Noteholders may contact the following person for
further information:
Don Leitch
E-mail: don.leitch@investec.co.uk
Telephone: +44 20 7597 4000
Dated: 17 May 2024