GOLDMAN SACHS INTERNATIONAL - GS102C Automatic Early Redemptions
What this filing means
Goldman Sachs International is notifying holders that the GS102C autocallable notes will be automatically redeemed early on 6 October 2026, at a capital payment of R1,236 per note and a total redemption amount of R61.8m. This is a scheduled, contractual redemption event for a pre-disclosed structured product — it does not carry any new investment signal beyond the mechanics of an autocall that has reached its trigger.
Goldman Sachs is telling note-holders it is paying them out early on 6 October. The R1,236 per note and R61.8m total are the pre-set terms of a structured product whose autocall condition has been met — not a new event the market needs to react to. Investors holding these notes receive their money on schedule; there is nothing here for anyone else.
Bear case
- No income, coupon rate, or accrual basis is disclosed for this redemption event.
AI-generated summary by SENS-AI, based on the original JSE SENS filing.
SENS-AI conclusion
An automatic early redemption on a Goldman Sachs autocallable note is the contractual execution of a pre-set trigger, not a fresh corporate event. The R1,236 per note and R61.8m total are disclosed, but the original product terms and the autocall trigger mechanism are not reproduced in this announcement — they live in the external pricing supplement. The filing carries no directional economic signal. So what: this is a mechanical payment notice; the next material event for holders is the actual receipt of funds on 6 October 2026.
There is no follow-up disclosure on this instrument — the payment date is the event, and the pricing supplement carries the full original terms.
Evidence from the filing
Total redemption amount disclosed.
“Total Redemption Amount”
Per-note redemption amount disclosed.
“R 1236 (123600 cents)”
Payment and maturity dates disclosed.
“Payment Date Tuesday, 06 October 2026”
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