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IFT090 Bond Interest Payment Appendix 7

Dividend23 July 2018IFTUtilities

APPENDIX 7 - NZX CONDUCT RULES
Number of pages including this one

(Please provide any other relevant

New Zealand Stock Exchange Listing Rule 7.12.2. For rights, Listing Rules 7.10.9 and 7.10.10. details on additional pages)

For change to allotment, Listing Rule 7.12.1, a separate advice is required.

Full name

of Issuer

Name of officer authorised to

Authority for event,

make this notice

e.g. Directors' resolution

Contact phone

Contact fax

numbernumber

Date

Nature of event

BonusIf ticked,

Rights Issue

Tick as appropriate

Issue

state whether:Taxable

/ Non TaxableConversionInterest

X

Renouncable

Rights IssueCapital

If ticked, stateFull

non-renouncable

changeCallDividend

whether:

InterimYearSpecial

EXISTING securities affected by this

If more than one security is affected by the event, use a separate form.

Description of theISIN

class of securities

If unknown, contact NZX

Details of securities issued pursuant to this eventIf more than one class of security is to be issued, use a separate form for each class.

Description of theISIN

class of securities

If unknown, contact NZX

Number of Securities toMinimum

Ratio, e.g

be issued following eventEntitlement

1 for 2 for

Conversion, Maturity, Call

Treatment of Fractions

Payable or Exercise Date

Tick if

provide an

pari passu

ORexplanation

Strike price per security for any issue in lieu or date

of the

Strike Price available.

ranking

Monies Associated with Event

Dividend payable, Call payable, Exercise price, Conversion price, Redemption price, Application money.

Source of

Payment

Amount per security

SupplementaryAmount per security

Currencydividendin dollars and cents

details -

Listing Rule 7.12.7

Total monies

TaxationAmount per Security in Dollars and cents to six decimal places

In the case of a taxable bonusResident

Credits

issue state strike priceWithholding Tax(Give details)

Timing

(Refer Appendix 8 in the Listing Rules)

Record Date 5pmApplication Date

For calculation of entitlements -Also, Call Payable, Dividend /

must be the last business day ofInterest Payable, Exercise Date,

a weekConversion Date. In the case

of applications this must be the

last business day of the week.

Notice DateAllotment Date

Entitlement letters, call notices,For the issue of new securities.

conversion notices mailedMust be within 5 business days

of record date.

OFFICE USE ONLY

Ex Date:

Commence Quoting Rights:Security Code:

Cease Quoting Rights 5pm:

Commence Quoting New Securities:Security Code:

Cease Quoting Old Security 5pm:

3 August, 201815 August, 2018

$

$1,724,633.51

In dollars and cents

Date Payable

Enter N/A if not

applicable

15 August, 2018

Interest at 8.5%

NZD$

$$

TO FAX ++64-4-473-1470

Phillippa Harford

Infratil Limited

Infratil 15 February 2020 BondsNZIFTD0009S2

Notice of event affecting securities

04 473 366304 473 2388

Interest payment

7201824

Data sourced from publicly available filings. Our datasets may not be complete. Automated analysis can produce errors. If you believe any data on this page is incorrect, please contact us at hello@nzxplorer.co.nz. For informational purposes only. Not investment advice.

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