Issue 332

Indicative market yield (% pa) 3.45
Indicative market price (%) N/A

Issuer The New Zealand Refining Company Limited
Amount on issue (NZ$m)
Issuer type Corporate
Description Unsecured, Subordinated notes
Security ranking Subordinated
Assumed maturity date 01 Mar 2034
Legal maturity date 01 Mar 2034
Credit rating N/R
Current coupon 5.10
Coupon type Fixed Semi annual
Next coupon reset date N/A
Coupon reset at N/A
Election/Conversion date N/A
First & future call dates N/A
Margin reset date N/A
Margin reset N/A
NZX Code NZR010
Holdings - minimum/increments ($) 5,000/1,000
Issue documentation Click here

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