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Amended Quotation Notice-ANZ Bank New Zealand Ltd (“ANBHC”)

08/07/2022, 17:16 NZST, OFFER

The record date field has been amended to read "distribution payment date" as opposed to "interest payment date". QUOTATION NOTICE: NZX DEBT MARKET ANZ BANK NEW ZEALAND LIMITED ("ANBHC") PERPETUAL PREFERENCE SHARES Company: ANZ Bank New Zealand Limited ("ANB") Security Code: ANBHC ISIN: NZANBDP001C9 Details of Issue: NZ$550 million of perpetual preference shares Opening Date: 4 July 2022 Closing Date: 12:00pm, 7 July 2022 Rate Reset Date: 18 July 2028 and each quarterly Scheduled Distribution Payment Date after that date Distribution Rate: 6.95% per annum until 18 July 2028. After this date, the distribution rate will be a floating rate. Distribution Payment Dates: 18 January, 18 April, 18 July, and 18 October in each year and, if the PPS are redeemed, the date on which the PPS are redeemed Date of First Distribution Payment: 18 October 2022 First Distribution Paid To: Holder on Record Date Record Date: Close of business on the tenth calendar day before the Distribution Payment Date. If the Record Date is not a Business Day, the Business Day immediately preceding that Record Date. Early Call Dates: 18 July 2028 and each quarterly Scheduled Distribution Payment Date after that date, or at any time following the occurrence of a Tax Event or Regulatory Event Minimum Application Amount: NZ$5,000 Minimum Holding: NZ$5,000 Minimum Transferable Amount: No transfer of any part of a Holder's holding may be effected if such transfer would result in the transferor or the transferee holding or continuing to hold a Non-marketable Parcel of PPS. Non-marketable Parcel of PPS means a parcel of PPS registered in the same name or same joint names, the aggregate Face Value of which is less than NZ$5,000 or is not a multiple of NZ$1,000. Face Value: NZ$1.00 Lead Manager: ANZ Bank New Zealand Limited, Craigs Investment Partners Limited, Forsyth Barr Limited, Hobson Wealth Partners Limited and Jarden Securities Limited. Issue Date: 18 July 2022 Registrar: Computershare Investor Services (RMLT) Settlement Status: NZCDC Settlement System Expected Commencement of Trading on the NZX Debt Market: 19 July 2022 Mark Peterson Chief Executive Officer NZX Limited 08 07 2022 End CA:00395115 For:REGCO Type:OFFER Time:2022-07-08 17:16:49