Application for quotation of securities - WBC
Appendix 2A - Application for quotation of securities
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Announcement Summary
Entity name
WESTPAC BANKING CORPORATION
Announcement Type
New announcement
Date of this announcement
Tuesday May 19, 2026
The +securities to be quoted are:
Please refer to the response to Q2.3d for further information about the type of securities to be quoted and the
circumstances of the issue.
As the decision to quote the Fixed Rate Reset Callable Subordinated Instruments is made at the same time as this
Appendix 2A is lodged, an Appendix 3B is not necessary.
Total number of +securities to be quoted
ASX +security
codeSecurity description
Number of +securities to
be quotedIssue date
New class - code
to be confirmed
Series 1603 SGD 500,000,000 Fixed Rate Reset
Callable Subordinated Instruments due 19 May
2038
20,00019/05/2026
Refer to next page for full details of the announcement
Other
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Part 1 - Entity and announcement details
1.1 Name of entity
WESTPAC BANKING CORPORATION
We (the entity named above) apply for +quotation of the following +securities and agree to the matters set out in Appendix
2A of the ASX Listing Rules.
1.2 Registered number type
ABN
Registration number
33007457141
1.3 ASX issuer code
WBC
1.4 The announcement is
1.5 Date of this announcement
19/5/2026
New announcement
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Part 2 - Type of Issue
2.1 The +securities to be quoted are:
Please refer to the response to Q2.3d for further information about the type of securities to be quoted and the
circumstances of the issue.
2.2 The +class of +securities to be quoted is:
2.3c Have these +securities been offered under a +disclosure document or +PDS?
2.3d Please provide any further information needed to understand the circumstances in which you are applying to
have these +securities quoted on ASX, including why the issue of the +securities has not been previously
announced to the market in an Appendix 3B
As the decision to quote the Fixed Rate Reset Callable Subordinated Instruments is made at the same time as this
Appendix 2A is lodged, an Appendix 3B is not necessary.
2.4 Any on-sale of the +securities to be quoted within 12 months of their date of issue will comply with the
secondary sale provisions in sections 707(3) and 1012C(6) of the Corporations Act by virtue of:
An applicable ASIC instrument or class order
No
New +securities in a class that is not yet quoted on ASX ("new class")
Other
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Part 3C - number and type of +securities to be quoted (new class) where issue has not previously been notified to ASX in an Appendix
3B
New +securities
ASX +security code
New class - code to be confirmed
+Security description
Series 1603 SGD 500,000,000 Fixed Rate Reset Callable
Subordinated Instruments due 19 May 2038
+Security type
Wholesale debt securities
ISIN code
XS3382707555
CFI
DTFUFB
FISN
WESTPAC BANKING/1EMTN 20380519
Issue date
19/5/2026
Details of wholesale debt securities
+Security currency
SGD - Singapore Dollar
Total principal amount of class
SGD 500,000,000.000000
Face value
SGD 25,000.000000
Number of +securities
20000
Interest rate type
Fixed
Frequency of interest payments per year
Semi-annual
First interest payment date
19/11/2026
Interest rate per annum
3.00 %
Maturity date
19/5/2038
Class type description
Fixed
s128F of the Income Tax Assessment Act status applicable to the +security
s128F exempt
Please provide any further information relating to the principal terms of the +securities
The Fixed Rate Reset Callable Subordinated Instruments are issued in denominations of SGD250,000 and
there are 2,000 securities on issue. Conversion of all or some of the Fixed Rate Reset Callable Subordinated
Instruments will be required upon the occurrence of a Non-Viability Trigger Event, subject to possible write-off.
See the Terms and Conditions set out in the Information Memorandum dated 7 November 2025, as
supplemented by the Pricing Supplement dated 15 May 2026 for further information.
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Please provide a URL link for a document lodged with ASX setting out the material terms of the +securities to be
quoted or provide the information by separate announcement.
See the Information Memorandum dated 7 November 2025, released to the ASX Markets Announcements Platform on 10
November 2025 () and the Pricinghttps://announcements.asx.com.au/asxpdf/20251110/pdf/06rq8sfk87xwlc.pdf
Supplement dated 15 May 2026, released to the ASX Markets Announcement Platform on or about the date of this
Appendix 2A.
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Part 4 - Issued capital following quotation
Following the quotation of the +securities the subject of this application, the issued capital of the entity will
comprise:
The figures in parts 4.1 and 4.2 below are automatically generated and may not reflect the entity's current issued capital if
other Appendix 2A, Appendix 3G or Appendix 3H forms are currently with ASX for processing.
4.1 Quoted +securities (total number of each +class of +securities quoted on ASX following the +quotation of the
+securities subject of this application)
ASX +security code and description
Total number of
+securities on issue
WBCPL : CAP NOTE 3-BBSW+3.40% PERP NON-CUM RED T-09-2815,090,880
WBC : ORDINARY FULLY PAID3,420,303,305
WBCHBN : 4.125% MAT 04-JUN-2026 MIN CONS $5HT NC42,500
WBCHBT : 0.76% MAT 09-JUN-2026 MIN CONS $5HT NC1,000,000
WBCHBO : 5.00% MAT 23-FEB-2046 MIN CONS $5HT NC5,000
WBCPJ : CAP NOTE 3-BBSW+3.40% PERP NON-CUM RED T-03-2717,229,363
WBCPM : CAP NOTE 3-BBSW+3.10% PERP NON-CUM RED T-09-3117,500,000
WBCHCL : 3.250% INSTRUMENTS MAT 4-SEP-2026 MIN CONS $5HT NC5,000
WBCHCG : 5.00% SUB INS MAT 02-MAR-2048 MIN CONS $5HT NC6,500
WBCHCJ : 3.70% INSTRUMENTS MAT 29-JUN-2028 MIN CONS $5HT NC5,000
WBCHCE : 5.00% FIXED RATE INSTRUMENTS MAT 24-JAN-2048 MIN CONS $5HT NC9,250
WBCHDG : 4.65% SUB ORD INS MAT 07SEP2032 MIN CONS $5HT NC45,000
WBCPK : CAP NOTE 3-BBSW+2.90% PERP NON-CUM RED T-09-2917,500,000
New class - code to be confirmed : Series 1603 SGD 500,000,000 Fixed Rate Reset
Callable Subordinated Instruments due 19 May 2038
20,000
4.2 Unquoted +securities (total number of each +class of +securities issued but not quoted on ASX)
ASX +security code and description
Total number of
+securities on issue
WBCAB : SHARE RIGHTS4,159,458
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WBCAC : US$ 5.0% FIXED RATE RESET PERP SUB CONV SECURITIES1,250,000,000
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Part 5 - Other Listing Rule requirements
5.1 Are the +securities being issued under an exception in Listing Rule 7.2 and therefore the
issue does not need any security holder approval under Listing Rule 7.1?
5.2 Has the entity obtained, or is it obtaining, +security holder approval for the issue under
listing rule 7.1?
5.2b Are any of the +securities being issued without +security holder approval using the
entity's 15% placement capacity under listing rule 7.1?
5.2c Are any of the +securities being issued without +security holder approval using the
entity's additional 10% placement capacity under listing rule 7.1A (if applicable)?
N/A
No
No
No
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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