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Auckland Airport: AIA - Notification of Allotment of Securities

Direct News Source

17-Oct-2017 Notification of allotment of securities

For the purposes of Listing Rule 7.12.1, Auckland International Airport Limited ("AIA") advises that the following securities have been issued on 17 October 2017 and will be quoted on the NZX Debt Market from 18 October 2017:

(a) Class of security Fixed Rate Bonds
ISIN NZAIADT220L0
(b) Number issued 100,000,000
(c) Nominal value NZ$100,000,000
Issue price NZ$1.00
(d) Payment in cash Yes
(e) Amount paid up Fully paid
(f) Principal terms of the securities (other than for Quoted Securities) The principal terms of the fixed rate bonds are set out in the final terms sheet dated 11 October 2017.
(g) Percentage of class of securities 100%
(h) Reason for issue The fixed rate bonds were issued to raise funds for general corporate purposes pursuant to a final terms sheet dated 11 October 2017.
(i) Authority for issue Directors' resolution.
(j) Terms of issue As set out in the final terms sheet dated 11 October 2017.
(k) Number of securities of the Class in existence after issue 100,000,000
(l) Treasury stock Not applicable