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LISTING AND QUOTATION NOTICE: CHC020

12/05/2022, 17:27 NZST, OFFER

LISTING AND QUOTATION NOTICE: NZX DEBT MARKET Christchurch International Airport Limited Bonds ("CHC020") Company: Christchurch International Airport Limited Issuer Code: CHC Security Code: CHC020 ISIN: NZCHCDT005C1 Details of Issue: An offer of $100 million unsecured, unsubordinated, fixed rate, 6-year bonds including $25 million in oversubscription Opening Date: Monday, 9 May 2022 Closing Date: Thursday, 12 May 2022 Interest Rate: 5.18% per annum Maturity Date: Friday, 19 May 2028 Interest Payment Dates: The Interest Payment Dates will be 19 May and 19 November each year, until (and including) the Maturity Date Date of First Interest Payment: Saturday, 19 November 2022 with payment on Monday, 21 November 2022, being the first Business Day following the First Interest Payment Date. First Interest Paid To: Holder on Record Date Record Date: The tenth calendar day before the relevant interest payment date, or if that date is not a business day, the immediately preceding business day. Minimum Application Amount: NZ$5,000 Minimum Holding: NZ$5,000 Minimum Transferrable Amount: NZ$1,000 Face Value: $1.00 per Security Arranger and Organising Participant: Westpac Banking Corporation (ABN 33 007 457 141) (acting through its New Zealand branch) Bank of New Zealand Trust Deed Dated: Master trust deed dated 9 November 2012 as amended and/or amended and restated from time to time Supplemental trust deed dated 9 May 2022 Final Terms sheet dated 12 May 2022 Issue Date: Thursday, 19 May 2022 Registrar: Computershare Investor Services Limited ("RMLT") Settlement Status: NZCDC Settlement System Expected Commencement of Trading on the NZX Debt Market: Friday, 20 May 2022 Mark Peterson Chief Executive Officer NZX Limited 12 05 2022 End CA:00391968 For:CHC Type:OFFER Time:2022-05-12 17:27:19