Instrument Name | KWB 11/12/2030 2.36% Kiwibank Limited Notes |
---|---|
Issued By | Kiwibank Limited |
ISIN | NZKIWD1230L2 |
Type | Debt/Equity Hybrids |
Price Per $100 | $96.444 |
Maturity Date | 11 Dec 2025 |
Previous Payment Date | 11 Sept 2024 |
Instrument Name | KWB 12/05/2033 6.4% Kiwibank Limited Notes |
---|---|
Issued By | Kiwibank Limited |
ISIN | NZKIWD01T2L3 |
Type | Debt/Equity Hybrids |
Price Per $100 | $104.553 |
Maturity Date | 12 May 2028 |
Previous Payment Date | 12 Aug 2024 |
Instrument Name | KWB 00/00/00 4.93% Kiwibank Limited Perpetual Preference Shares |
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Issued By | Kiwibank Limited |
ISIN | NZKIWD0001S3 |
Type | Debt/Equity Hybrids |
Price Per $100 | $95.300 |
Maturity Date | — |
Previous Payment Date | 2 Aug 2024 |