Issue 274

Indicative market yield (% pa) 2.15
Indicative market price (%) 107.62

Issuer Contact Energy
Amount on issue (NZ$m) 125.0
Issuer type Corporate
Description Unsecured, unsubordinated, fixed rate bond
Security ranking Senior
Assumed maturity date 15 Nov 2022
Legal maturity date 15 Nov 2022
Credit rating BBB
Current coupon 4.63
Coupon type Fixed Quarterly
Next coupon reset date N/A
Coupon reset at 5 - 6 yr swap plus 1.50
Election/Conversion date N/A
First & future call dates N/A
Margin reset date N/A
Margin reset N/A
NZX Code CEN040
Holdings - minimum/increments ($) 5,000/1,000
Issue documentation Click here

The information contained on this page details certain terms of the bonds extracted from sources that believes to be accurate and reliable. accepts no liability for any omissions or errors contained in this information. Any prices and/or yields displayed are indicative only and are subject to change. The information contained on this page must not be construed as a recommendation or advice by to buy, sell, hold or otherwise deal in the bonds.