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Amendments have been made to the Lead managers and Trust Deed section. QUOTATION NOTICE: NZX DEBT MARKET NAPIER PORT HOLDINGS LIMITED ("NPH010") BONDS Company: Napier Port Holdings Limited ("NPH") Security Code: NPH010 ISIN: NZNPHD0010L9 Details of Issue: NZ$100,000,000 unsecured, unsubordinated fixed rate Bonds. Opening Date: Monday, 12 September 2022 Closing Date: 12:00pm, Friday, 16 September 2022 Maturity Date: Thursday, 23 March 2028 Interest Rate: 5.52% per annum Interest Payment Dates: 23 March, 23 June, 23 September and 23 December of each year up to and including the Maturity Date. Date of First Interest Payment: Friday, 23 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. If the Record Date is not a Business Day, the Business Day immediately preceding that Record Date. Minimum Application Amount: NZ$5,000 Minimum Holding: NZ$5,000 Minimum Transferable Amount: NZ$1,000 Face Value: NZ$1.00 per bond Lead Manager: Craigs Investment Partners Limited, Forsyth Barr Limited, Jarden Securities Limited and Westpac Banking Corporation (ABN 33 007 457 141) (acting through its New Zealand branch). Trust Deed Dated: Master Trust Deed dated 30 August 2022 and Supplemental Deed date 31 August 2022 both between the Issuer and Public Trust as bond supervisor. Issue Date: Friday, 23 September 2022 Registrar: Link Market Services Limited ("LNKT") Settlement Status: NZCDC Settlement System Expected Commencement of Trading on the NZX Debt Market: Tuesday, 27 September 2022 Mark Peterson Chief Executive Officer NZX Limited 16 September 2022 End CA:00398982 For:REGCO Type:OFFER Time:2022-09-16 17:06:25