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Notice to redeem wholesale AUD 200m ANZ Subordinated Notes

Debt Issuance19 April 2022ANZFinancials

Australia and New Zealand Banking Group Limited ABN 11 005 357 522
ANZ Centre Melbourne, Level 9A, 833 Collins Street, Docklands VIC 3008


19 April 2022


Market Announcements Office

ASX Limited

Level 4

20 Bridge Street

SYDNEY NSW 2000






Notice to redeem wholesale A$200,000,000 ANZ Subordinated Notes



ANZ advises that it has today posted the attached notice of redemption in respect of its

wholesale A$200,000,000 fixed rate subordinated notes due May 2027.


Yours faithfully





Simon Pordage

Company Secretary

Australia and New Zealand Banking Group Limited



Approved for distribution by ANZ’s Company Secretary.



19 April 2022


Australia and New Zealand Banking Group Limited (ABN 11 005 357 522)

(the "Issuer")


Notice of Early Redemption to the holders of

AUD 200,000,000 4.75 per cent. Fixed Rate Subordinated Notes due 13 May 2027

(the "Notes")


Issued under the Issuer’s US$60,000,000,000 Euro Medium Term Note Programme


Series No.:1809

Tranche No.: 1

ISIN Code: XS1233064739



Notice is hereby given to all holders of the Notes that, pursuant to clause 23 of the Pricing Supplement

dated 12 May 2015 in respect of the Notes and the applicable terms and conditions, the Issuer will

redeem all of the Notes at 100% of their outstanding principal amount (i.e., par) on the optional

redemption date of 13 May 2022. The Issuer confirms that the Australian Prudential Regulation

Authority has provided its prior written approval of the redemption of the Notes.





___________________________

Adrian Went - Group Treasurer

For and on behalf of

Australia and New Zealand Banking Group Limited

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