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17 October 2017 Notification of redemption of securities For the purposes of Listing Rule 7.12.1, Auckland International Airport Limited ("AIA") advises that the following securities have matured and have been redeemed on 17 October 2017: (a) Class of security Fixed Rate Bonds ISIN NZAIADT110L3 (b) Number redeemed 100,000,000 (c) Nominal value NZ$100,000,000 Redemption price NZ$1.00 (d) Payment in cash Yes (e) Amount paid up Fully paid (f) Principal terms of the securities (other than for Quoted Securities) The principal terms of the fixed rate bonds are set out in the investment statement dated 15 October 2008. (g) Percentage of class of securities 100% (h) Reason for redemption The bonds matured on 17 October 2017. (i) Specific authority for redemption Not applicable. (j) Terms of redemption As set out in the investment statement dated 15 October 2008. (k) Number of securities of the Class in existence after redemption 0 (l) Treasury stock Not applicable (m) Date of redemption 17 October 2017 End CA:00308817 For:AIA Type:GENERAL Time:2017-10-17 12:47:25