Instrument Name | BNZ 29/01/25 2.16% Bank of New Zealand Notes |
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Issued By | Bank of New Zealand |
ISIN | NZBNZDT396C0 |
Type | Vanilla Corporate Bond |
Price Per $100 | $100.163 |
Maturity Date | 28/01/2025, 11:00 Coordinated Universal Time |
Previous Payment Date | 28/07/2024, 12:00 Coordinated Universal Time |
Cum/Ex Entitlement | — |
Instrument Name | BNZ 08/06/2026 1.884% Bank of New Zealand Notes |
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Issued By | Bank of New Zealand |
ISIN | NZBNZDT397C8 |
Type | Vanilla Corporate Bond |
Price Per $100 | $97.257 |
Maturity Date | 07/06/2026, 12:00 Coordinated Universal Time |
Previous Payment Date | 07/06/2024, 12:00 Coordinated Universal Time |
Cum/Ex Entitlement | — |
Instrument Name | BNZ 07/06/2027 4.985% Bank of New Zealand Notes |
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Issued By | Bank of New Zealand |
ISIN | NZBNZDT401C8 |
Type | Vanilla Corporate Bond |
Price Per $100 | $103.569 |
Maturity Date | 06/06/2027, 12:00 Coordinated Universal Time |
Previous Payment Date | 06/06/2024, 12:00 Coordinated Universal Time |
Cum/Ex Entitlement | — |
Instrument Name | BNZ 25/05/2028 5.536% Bank of New Zealand Notes |
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Issued By | Bank of New Zealand |
ISIN | NZBNZDT402C6 |
Type | Vanilla Corporate Bond |
Price Per $100 | $103.102 |
Maturity Date | 24/05/2028, 12:00 Coordinated Universal Time |
Previous Payment Date | 24/05/2024, 12:00 Coordinated Universal Time |
Cum/Ex Entitlement | — |
Instrument Name | BNZ 1/09/2028 5.872% Bank of New Zealand Notes |
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Issued By | Bank of New Zealand |
ISIN | NZBNZDT403C4 |
Type | Vanilla Corporate Bond |
Price Per $100 | $105.576 |
Maturity Date | 31/08/2028, 12:00 Coordinated Universal Time |
Previous Payment Date | 31/08/2024, 12:00 Coordinated Universal Time |
Cum/Ex Entitlement | — |
Instrument Name | BNZ 00/00/00 7.30% Bank of New Zealand Preference Shares |
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Issued By | Bank of New Zealand |
ISIN | NZBNZEP001C9 |
Type | Debt/Equity Hybrids |
Price Per $100 | $102.500 |
Maturity Date | — |
Previous Payment Date | 13/09/2024, 12:00 Coordinated Universal Time |
Cum/Ex Entitlement | — |
Instrument Name | BNZ 00/00/00 7.28% Bank of New Zealand Preference Shares |
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Issued By | Bank of New Zealand |
ISIN | NZBNZEP002C7 |
Type | Debt/Equity Hybrids |
Price Per $100 | $101.550 |
Maturity Date | — |
Previous Payment Date | — |
Cum/Ex Entitlement | — |