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Westpac Self-Funding Instalments over securities in VAS

Dividend4 October 2022WBCFinancials

Structured Investments
Level 11, Tower Two

International Towers Sydney

200 Barangaroo Avenue

Barangaroo NSW 2000


Telephone: 1800 990 107

www.westpac.com.au/structuredinvestments


4 October 2022



Mr Martin Dinh

Warrant Administration

Australian Securities Exchange

Level 6, 20 Bridge St

Sydney NSW 2000



Dear Mr Dinh


Re: Westpac Self-Funding Instalments over securities in

Vanguard Australian Shares Index

ETF (VAS) - Distribution adjustment announcement


Westpac Banking Corporation, as issuer of Westpac Self-Funding Instalments (“Westpac SFIs”) over

the following Underlying Securities, notifies of an amendment to the distribution that was previously

announced in respect of those Underlying Securities:


Underlying Securities Vanguard Australian Shares Index ETF (VAS)

Dividend/distribution type Adjusted distribution

Amount $1.4506 per security

Ex-distribution Date 3 October 2022

Record Date 4 October 2022

Payment Date On or about 18 October 2022


As a result of VAS confirming their distribution, the previously announced distribution amount on the

following series of Westpac SFIs is also amended as listed below from $1.4455 per security to

$1.4506 per security.


ASX Code

Previous

Completion

Payment

Distribution

Adjustment

Amount

New

Completion

Payment

VASSWB $30.2515 $0.0051 $30.2464



For further information please contact Westpac Structured Investments on 1800 990 107.


Capitalised terms not otherwise defined in this announcement have the same meaning as given in the

Westpac SFIs Product Disclosure Statement.


This document has been authorised for release by Tim Hartin, Company Secretary

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