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

IFT130
0.000
Buy Yield
0.00%
Buy per $100
Sell Yield
0.00%
Sell per $100
 
Last per $100
First
%
 
High
%
Maturity
2010-11-15
Low
%
Interest Frequency
Quarterly
Last
%
Next interest date
2010-05-15
Market
8.50%
Coupon
7.250%
Volume
0
Outstanding Debt
680,500.00
Trades
0
Min Holding
5,000.000

Market Announcements

Company Summary


Security Type
Fixed Interest
Sector
Energy Processing
First Listed
2005-10-11
Industry Group
Issuer Code
IFT
Company Secretary
Kevin Baker
Issuer type / Sector
/
Energy Processing
Solicitor
Incorporated Status
Public ISIN
NZIFTD0012S6
Issuer Name
Infratil Limited
Settlement Method
F
Auditor
KPMG, Wellington
Share Registrar
LNKT
Website  
 

Trading Summary


  Trades Volume Value High Low
Today 0 0 0.00 0.000 0.000
This Week 0 0 0.00 0.000 0.000
This Month 0 0 0.00 0.000 0.000
This Year 0 0 0.00 0.000 0.000
Rolling Year 1 8,000 7,906.90 8.500 8.500