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Listing & Quotation Notice (IFT160)

14 Feb 2011

Quotation Notice Bonds - Unsecured (IFT160)
Company: Infratil Limited (IFT)
Details of Issue: Unsecured, unsubordinated fixed rate convertible debt obligations of the Issuer.
Offer of up to $25 million of Infrastructure Bonds to all investors in New Zealand (with the option to accept up to $25 million oversubscriptions at Infratil's discretion).
Infratil also is offering holders of the Infrastructure Bonds maturing on 15 May 2011 ("2011 Bonds") the opportunity to exchange all or some of their 2011 Bonds for the Infrastructure Bonds on a one to one basis (“Exchange Offer”).

Opening of Offer: 21 January 2011
Closing of Offer: 15 May 2011
Interest Rate: 8.50% per annum.
Maturity Date: 15 June 2017
First Interest Payment Date: 15 June 2011
First Interest Payment Paid to: First registered holder of a Bond
Interest Payment Dates: 15 March, 15 June, 15 September and 15 December of each year until and including the Maturity Date
Record Date: The tenth day before the due date for that payment
or, if that day is not a Business Day, the Business Day immediately preceding such day.
Minimum Subscription: $5,000 and in multiples of $1,000 thereafter (unless a holder of 2011 Bonds is exchanging all of his or her 2011 Bonds under the Exchange Offer).
Issue Price: $1.00 per bond
Trustee Name: Trustees Executors Limited
Trust Deed Dated: 11 November 1999 (as amended) and the series
supplement dated 21 January 2011.
Settlement Status: NZCDC settlement system
Registrar: Link Market Services Limited (LNKT)
Joint Lead Managers: Forsyth Barr Limited, Westpac Institutional Bank, ANZ National Bank Limited and First NZ Capital Limited.
Organising Participant Forsyth Barr Limited
Solicitor: Russell McVeagh
Security Code: IFT160
Short Name: Infratil Limited (IFT)
Initial Allotment Date: 14 February 2011, and every Friday thereafter until May 20 2011

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