Announcement

SECISSUE: ANB: Notification of Allotment of Bonds 10:30am 
ANB
20/03/2019 10:30
SECISSUE
NOT PRICE SENSITIVE
REL: 1030 HRS ANZ Bank New Zealand Limited

SECISSUE: ANB: Notification of Allotment of Bonds

NZDX Announcement

For release: 20 March 2019

Notification of Allotment

For the purposes of Listing Rule 7.12.1 of the NZX Debt Market Listing Rules
dated 1 October 2017, ANZ Bank New Zealand Limited advises that the following
securities have been issued pursuant to its offer of unsecured unsubordinated
fixed rate bonds:

7.12.1

a) Class of security and ISIN
Unsecured unsubordinated fixed rate bonds (ANB160), NZANBDT023C9

b) Number of securities issued 550,000,000

c) Issue price $1.00

d) Payment terms Cash payment

e) Amount paid up In full

f) The principal terms of securities
As set out in the terms sheet for the offer

g) Percentage of total class of securities issued 100%

h) Reason for issue General business purposes

i) Authority for issue
Board resolutions dated 8 April 2010 and 3 September 2015 and the Deed Poll
dated 18 January 2006 as amended and restated on 8 March 2016

j) Terms of issue
As set out in the terms sheet for the offer

k) Total number of securities of class after issue 550,000,000

l) Treasury stock N/A

m) Date of issue 20 March 2019

Paul Daley
Treasurer
Phone: +64 4 436 6798
Email: nztreasurer@anz.com
End CA:00332210 For:ANB Type:SECISSUE Time:2019-03-20 10:30:52

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