Quotation Notice - Infratil Limited ("IFT280") Bonds

Quotation Notice - Infratil Limited ("IFT280") Bonds


Issuer: Infratil Limited (IFT)

Ticker Code: IFT280


Details of Issue: Up to $200 million (plus oversubscriptions of up to $100 million) in aggregate between this series and Infratil Limited’s other series of bonds due December 2029 with ticker code IFTHC.

Opening Date: Tuesday, 20 August 2019

Closing Date: 5.00pm on Friday, 20 September 2019

Interest Rate: 3.35% per annum

Maturity Date: Tuesday, 15 December 2026

Interest Payment Dates: 15 March, 15 June, 15 September and 15 December of each year until and including the Maturity Date.

Date of First Interest Payment: Sunday, 15 December 2019 (however, as this date is not a Business Day, interest will be payable on Friday, 13 December 2019)

First Interest Paid To: Original Subscriber

Record Date: 10 calendar days before the relevant payment date or, if not a Business Day, the preceding Business Day

Minimum Application Amount: $5,000 and multiples of $1,000 thereafter

Minimum Holding: $5,000

Minimum Transferable Amount: Infratil may decline to register a transfer if the transfer would result in the transferee holding less than the Minimum Holding Amount

Face Value: $1.00 per Bond

Supervisor Name: Trustees Executors Limited

Joint Lead Managers: Forsyth Barr Limited, ANZ Bank New Zealand Limited, Bank of New Zealand, Deutsche Craigs Limited, Jarden Securities Limited

Trust Deed Dated: Programme Trust Deed dated 11 November 1999 (as amended and restated on 12 August 2015 and amended on 17 May 2017) and Series Supplement dated 20 August 2019.

Issue Date: Friday, 20 September 2019 and Tuesday, 24 September 2019

Registrar: Link Market Services Limited

Settlement Status: NZCDC Settlement System

Expected Commencement of Trading on the NZX Debt Market: Friday, 20 September 2019

Mark Peterson
Chief Executive Officer
NZX Limited

13 September 2019