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

Impala Platinum Holdings Limited published this content on 30 January 2018 and is solely responsible for the information contained herein.
Distributed by Public, unedited and unaltered, on 30 January 2018 11:09:10 UTC.

Original documenthttp://www.profiledata.co.za/JSE_SENS_PDF/history/2018/01/30/SENS_20180130_S394875.pdf

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