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TOUR/TOUR 14082023/SOUT2998.50 Applicable Pricing Supplement Class D1_Execution/#8268866v1AMBER HOUSE FUND 5 (RF) LIMITED (Incorporated in South Africa as a public company with limited liability under
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To fill out the applicable pricing supplement class, follow these steps:
02
Start by providing the necessary information about the product or service being priced.
03
Include details about the pricing model or strategy being used.
04
Specify the pricing components such as base price, discounts, taxes, etc.
05
Provide any additional instructions or guidelines for pricing calculations or adjustments.
06
Review and verify the accuracy of all the information filled in.
07
Save and distribute the applicable pricing supplement class as required.

Who needs applicable pricing supplement class?

01
The applicable pricing supplement class is needed by individuals or companies involved in pricing products or services.
02
It is commonly used by pricing analysts, sales teams, product managers, and finance professionals.
03
Any organization that deals with pricing and wants to maintain accurate and consistent pricing information can benefit from using the applicable pricing supplement class.
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The applicable pricing supplement class refers to the specific category of pricing supplements that must be filed to provide detailed information about the pricing of securities in a public offering.
Underwriters, issuers, or sponsors of the securities offerings are typically required to file the applicable pricing supplement class.
To fill out the applicable pricing supplement class, you must provide detailed information about the terms of the securities being offered, including pricing, maturity, interest rates, and any specific features relevant to the offering.
The purpose of the applicable pricing supplement class is to provide potential investors with essential information about the specific terms and conditions of a security offering, ensuring transparency and informed investment decisions.
The information that must be reported includes the pricing terms, the nature of the securities, the maturity dates, interest rates or dividend yields, and any risk factors associated with the investment.
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