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L&Q Notice – Bank of New Zealand (“BNZ160”)

01/06/2022, 15:40 NZST, OFFER

QUOTATION NOTICE: NZX DEBT MARKET BANK OF NEW ZEALAND ("BNZ160") NOTES Company: Bank of New Zealand ("BNZ") Security Code: BNZ160 ISIN: NZBNZDT401C8 Details of Issue: NZ$650,000,000 unsecured, unsubordinated fixed rate Notes Opening Date: Monday, 30 May 2022 Closing Date: 11:00am, Wednesday, 1 June 2022 Maturity Date: Monday, 7 June 2027 Interest Rate: 4.985% Interest Payment Dates: 7 June and 7 December of each year up to and including the Maturity Date. Date of First Interest Payment: Wednesday, 7 December 2022 First Interest Paid To: Holder on Record Date Record Date: Close of business on the tenth calendar day before the Interest Payment Date (without adjusting such date for payment according to any Business Day Convention) Minimum Application Amount: $5,000 Minimum Holding: $5,000 Minimum Transferable Amount: $1,000 Face Value: NZ$1.00 Lead Manager: Bank of New Zealand Trust Deed Dated: Issued pursuant to the deed poll dated 14 November 2013 (as amended and restated on 2 August 2018 and amended on 31 May 2019) and final terms to be dated 1 June 2022 Issue Date: Tuesday, 7 June 2022 Registrar: Computershare Investor Services Limited ("RMLT") Settlement Status: NZCDC Settlement System Expected Commencement of Trading on the NZX Debt Market: Wednesday, 8 June 2022 Mark Peterson Chief Executive Officer NZX Limited 01 June 2022 End CA:00393139 For:BNZ Type:OFFER Time:2022-06-01 15:40:11