For the purposes of Listing Rule 7.12.1, Vector Limited advises that the following securities have been issued:
Class of security and ISIN |
Fixed rate unsecured, unsubordinated bonds
NZVCTDT090C6 |
Number issued |
250,000,000 |
Issue price |
$1.00 per bond |
Payment method |
Cash |
Amount paid up: |
Fully paid |
Percentage of total class of securities issued |
100% |
Reason for the issue |
Applications received and processed under the offer set out in the Product Disclosure Statement dated 1 May 2019 |
Specific authority for the issue |
Board resolutions dated 16 April 2019 |
Terms of issue |
As set out in the Product Disclosure Statement dated 1 May 2019 and the Final Terms Sheet dated 16 May 2019 |
Total number of securities of the class in existence after the issue |
250,000,000 bonds |
Treasury stock |
N/A |
Date of issue |
27 May 2019 |
ENDS