IFT 15/11/10 7.25%pa - Infratil Ltd Infrastructure Bonds (IFT130)

As at 6:15 pm, 3 Jul (20 min delay)
IFT130
0.000%
0
(+0.0%)
Buy Yield
Buy per $100
Sell Yield
Sell per $100
 
Last per $100
First
 
High
Maturity
15 Nov 2010
Low
Int Freq
3
Last
0.000%
Coupon
7.25
Market
0.000%
 
Volume
Outstanding Debt
680500
Trades
0
Min Holding
5000
 
Next interest date
15 Aug 2009

Market Announcements

Date
Type
Headline
6 May 2009 APPNDX7 IFT130 - Appendix 7
4 Feb 2009 APPNDX7 Infratil Appendix 7
4 Feb 2009 APPNDX7 Infratil Appendix 7
5 Nov 2008 INTEREST IFT130 Appendix 7
1 Aug 2008 INTEREST Infratil 15 Nov 2010 Bonds
View more Announcements

Sponsored Links

Company Summary


Security Type
N
Sector
Energy Processing
First Listed
11/10/2005 00:00
Industry Group
Issuer Code
IFT
Company Secretary
Kevin Baker
Issuer type / Sector
Industrial /
Energy Processing
Solicitor
Incorporated Status
Limited Liability
Public ISIN
NZIFTD0012S6
Issuer Name
Infratil Limited
 
Auditor
KPMG, Wellington
 
Website  

Trading Summary


  Trades Volume Value High Low
Today 0 0 0 0.000 0.000
This Week 0 0 0 0.000 0.000
This Month 0 0 0 0.000 0.000
This Year 0 0 0 0.000 0.000
Rolling Year 0 0 0 0.000 0.000

 

 

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