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Dividend/Distribution – ANZPE

Dividend24 September 2019ANZFinancials

Notification of dividend / distribution
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Announcement Summary

Entity name

AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED

Security on which the Distribution will be paid

ANZPE - CAP NOTE 6-BBSW+3.25% PERP NON-CUM RED T-03-22

Announcement Type

New announcement

Date of this announcement

Tuesday September 24, 2019

Distribution Amount

AUD 1.49340000

Ex Date

Friday March 13, 2020

Record Date

Monday March 16, 2020

Payment Date

Tuesday March 24, 2020

Additional Information

This Distribution payment is subject to ANZ's absolute discretion and no Payment Condition existing in respect of

the Distribution Payment Date (these are standard conditions in respect of every six monthly Distribution paid on

CN2). For more information in relation to Distributions paid on ANZ CN2, please refer to 3D.11, 5.1 and the ANZ

CN2 Prospectus dated 19 February 2014.

Refer to below for full details of the announcement

Announcement Details

Part 1 - Entity and announcement details

1.1 Name of +Entity

AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED

1.2 Registered Number Type

ABN

Registration Number

11005357522

1.3 ASX issuer code

ANZ

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1.4 The announcement is

New announcement

1.5 Date of this announcement

Tuesday September 24, 2019

1.6 ASX +Security Code

ANZPE

ASX +Security Description

CAP NOTE 6-BBSW+3.25% PERP NON-CUM RED T-03-22

Part 2A - All dividends/distributions basic details

2A.1 Type of dividend/distribution

Ordinary

2A.2 The Dividend/distribution:

relates to a period of six months

2A.3 The dividend/distribution relates to the financial reporting or payment period ending

ended/ending (date)

Monday March 23, 2020

2A.4 +Record Date

Monday March 16, 2020

2A.5 Ex Date

Friday March 13, 2020

2A.6 Payment Date

Tuesday March 24, 2020

2A.7 Are any of the below approvals required for the dividend/distribution before business day 0

of the timetable?

Security holder approval

Court approval

Lodgement of court order with +ASIC

ACCC approval

FIRB approval

Another approval/condition external to the entity required before business day 0 of the

timetable for the dividend/distribution.

No

2A.8 Currency in which the dividend/distribution is made ("primary currency")

AUD - Australian Dollar

2A.9 Total dividend/distribution payment amount

per +security (in primary currency) for all

dividends/distributions notified in this form

AUD 1.49340000

Estimated or Actual?

Actual

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2A.10 Does the entity have arrangements

relating to the currency in which the

dividend/distribution is paid to securityholders

that it wishes to disclose to the market?

No

2A.11 Does the entity have a securities plan for

dividends/distributions on this +security?

We do not have a securities plan for

dividends/distributions on this security

2A.12 Does the +entity have tax component

information apart from franking?

No

Part 3A - Ordinary dividend/distribution

3A.1 Is the ordinary dividend/distribution

estimated at this time?

No

3A.1a Ordinary dividend/distribution estimated

amount per +security

AUD

3A.1b Ordinary Dividend/distribution amount per

security

AUD 1.49340000

3A.2 Is the ordinary dividend/distribution

franked?

Yes

3A.2a Is the ordinary dividend/distribution fully

franked?

Yes

3A.3 Percentage of ordinary

dividend/distribution that is franked

100.0000 %

3A.3a Applicable corporate tax rate for franking

credit (%)

30.0000 %

3A.4 Ordinary dividend/distribution franked

amount per +security

AUD 1.49340000

3A.5 Percentage amount of dividend which is

unfranked

0.0000 %

3A.6 Ordinary dividend/distribution unfranked

amount per +security excluding conduit foreign

income amount

AUD 0.00000000

3A.7 Ordinary dividend/distribution conduit

foreign income amount per security

AUD 0.00000000

Part 3D - Preference +security distribution rate details

3D.1 Start date of payment period

Tuesday September 24, 2019

3D.2 End date of payment period

Monday March 23, 2020

3D.3 Date dividend/distribution rate is set (optional)

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3D.5 Number of days in the dividend/distribution

period

182

3D.6 Dividend/distribution base rate (pa)

1.0287 %

3D.7 Comments on how dividend/distribution base rate is set

This is the 180 day Bank Bill Rate (average mid-rate) on the first Business Day of the Distribution Period. For more

information, please refer to the ANZ CN2 Prospectus dated 19 February 2014.

3D.8 Dividend/distribution margin

3.2500 %

3D.9 Comments on how dividend/distribution margin is set

Margin as determined under the Bookbuild. For more information, please refer to the ANZ CN2 Prospectus dated

19 February 2014.

3D.10 Any other rate / multiplier used in calculating dividend/distribution rate

-1.2836 %

3D.11 Comments on how other rate used in calculating dividend/distribution rate is set

The Distribution Rate is 70% of the aggregate of the Bank Bill Rate (refer 3D.6) and the Margin (refer 3D.8)

(together the "Aggregate Rate"). The figure in 3D.10 represents 30% of the Aggregate Rate (ie the current

corporate tax rate) - this amount is deducted from the Aggregate Rate to calculate the Distribution Rate. For more

information, please also refer to 5.1. and the ANZ CN2 prospectus dated 19 February 2014.

3D.12 Total dividend/distribution rate for the period (pa)

2.9951 %

3D.13 Comment on how total distribution rate is set

Part 5 - Further information

5.1 Please provide any further information applicable to this dividend/distribution

This Distribution has been calculated based on an estimated Franking Rate of 100%. However, if the applicable

Franking Rate on the Distribution Payment Date is less than 100% then the Distribution will be adjusted in

accordance with clause 3.2 of the Note Terms. For more information in relation to Distributions paid on ANZ CN2,

please refer to the ANZ CN2 Prospectus dated 19 February 2014. Note that an update will be lodged if ANZ

determines a different franking percentage.

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5.2 Additional information for inclusion in the Announcement Summary

This Distribution payment is subject to ANZ's absolute discretion and no Payment Condition existing in respect of

the Distribution Payment Date (these are standard conditions in respect of every six monthly Distribution paid on

CN2). For more information in relation to Distributions paid on ANZ CN2, please refer to 3D.11, 5.1 and the ANZ

CN2 Prospectus dated 19 February 2014.

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.