Infratil Limited/Announcement
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Capital Change Notice - Allotment of Infrastructure Bonds

Capital Change15 June 2025IFTUtilities

Capital Change Notice

Updated as at February 2025



Section 1: Issuer information

Name of issuer Infratil Limited

NZX ticker code IFT370

Class of financial product Infrastructure Bonds due 16 June 2032

ISIN (If unknown, check on NZX website) NZIFTD0370L3

Currency NZ$

Section 2: Capital change details

Number issued/acquired/redeemed 122,559,333

Nominal value (if any) $122,559,333

Issue/acquisition/redemption price per security $1.00

Nature of the payment (for example, cash or other

consideration)

Cash

Amount paid up (if not in full) Fully paid up

Percentage of total class of Financial Products

issued/acquired/redeemed/ (calculated on the

number of Financial Products of the Class,

excluding any Treasury Stock, in existence)

1


100%

For an issue of Convertible Financial Products or

Options, the principal terms of Conversion (for

example the Conversion price and Conversion date

and the ranking of the Financial Product in relation

to other Classes of Financial Product) or the Option

(for example, the exercise price and exercise date)

N/A

Reason for issue/acquisition/redemption and

specific authority for issue/acquisition/redemption/

(the reason for change must be identified here)

Reason for issue: Applications received

and processed under the Indicative Terms

Sheet for the Offer of Infrastructure Bonds

dated 29 May 2025 and the Updated

Terms Sheet for the Offer of Infrastructure

Bonds dated 4 June 2025.


Specific authority for issue: Authorised by

a board resolution dated 27 May 2025.

Total number of Financial Products of the Class

after the issue/acquisition/redemption/Conversion

(excluding Treasury Stock) and the total number of

Financial Products of the Class held as Treasury

Stock after the issue/acquisition/redemption.

Total number: 122,559,333


Treasury stock: None

In the case of an acquisition of shares, whether

those shares are to be held as treasury stock

N/A

Specific authority for the issue, acquisition, or

redemption, including a reference to the rule

Authorised by a board resolution dated 27

May 2025.


1

The percentage is to be calculated immediately before the issue, acquisition, redemption or Conversion.

pursuant to which the issue, acquisition, or
redemption is made

Terms or details of the issue, acquisition, or

redemption (for example: restrictions, escrow

arrangements)

Terms of the issue are described in the

Indicative Terms Sheet for the Offer of

Infrastructure Bonds dated 29 May 2025

and the Updated Terms Sheet for the

Offer of Infrastructure Bonds dated 4 June

2025.

Date of issue/acquisition/redemption

2

16/06/2025

Section 4: Authority for this announcement and contact person

Name of person


authorised to make this

announcement

Brendan Kevany, Infratil Company

Secretary

Contact person for this announcement Tom Robertson, Infratil Treasurer

Contact phone number +64 4 550 5432

Contact email address Tom.Robertson@infratil.com

Date of release through MAP


16/06/2025





2

Continuous issuers using this form in reliance on Rule 3.13.2, please indicate the period during which the relevant

issue/acquisition/redemptions were made (for example, 1 January 2019 to 31 January 2019).

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.