5. Loan receivables

As of

31 March 2025

$m

31 March 2024

$m

1 The loan is unsecured, bears interest at the rate of three months SOFR+ 2.25% per annum with a maturity date of 25 March 2027. The credit facility is denominated in US$.

2 The loan is unsecured, bears interest at the rate of three months SOFR+ 2% per annum with a maturity date of 31 December 2026. The credit facility is denominated in US$.

3 The loan is unsecured, bears interest at the rate of three months SOFR+ 2% per annum with a maturity date of 31 December 2026. The credit facility is denominated in US$.

4 The loan is unsecured, bears interest at the rate of three months SOFR+ 2% per annum with a maturity date of 31 December 2026. The credit facility is denominated in US$.

Opening balance

126

311

Additions

565

177

Repayment

(387)

(362)

Balance at 31 March

304

126

Bharti Airtel International (Netherlands) B.V.1

114

4

Airtel Africa services (UK) Limited2

165

122

Airtel Africa Telesonic Holdings Limited3

25

0

Nxtra Africa Data Holdings Limited4

0