Infratil Limited

IFT

$11.1300

$0.0000 / 0.00%
52 Week Change:$0.7900 / 7.64%
Instrument NameInfratil Limited Ordinary Shares
Issued ByInfratil Limited
ISINNZIFTE0003S3
TypeOrdinary Shares

IFT250

5.80%

$0.000 / 0.00%
52 Week Change:-$1.645 / -22.10%
Instrument NameIFT 15/06/2025 6.15% Infratil Bonds
Issued ByInfratil Limited
ISINNZIFTD0250L7
TypeVanilla Corporate Bond
Price Per $100$101.332
Maturity Date14 Jun 2025
Previous Payment Date14 Dec 2024

IFT270

5.85%

$0.000 / 0.00%
52 Week Change:-$1.050 / -15.22%
Instrument NameIFT 15/12/2028 6.78% Infratil Limited Bonds
Issued ByInfratil Limited
ISINNZIFTD0270L5
TypeVanilla Corporate Bond
Price Per $100$104.502
Maturity Date14 Dec 2028
Previous Payment Date14 Dec 2024

IFT280

5.92%

$0.000 / 0.00%
52 Week Change:-$1.275 / -17.73%
Instrument NameIFT 15/12/2026 3.35% Infratil Limited Bonds
Issued ByInfratil Limited
ISINNZIFTD0280L4
TypeVanilla Corporate Bond
Price Per $100$96.320
Maturity Date14 Dec 2026
Previous Payment Date14 Dec 2024

IFT300

5.85%

$0.000 / 0.00%
52 Week Change:-$1.550 / -20.95%
Instrument NameIFT 15/03/2026 3.35% Infratil Limited Bonds
Issued ByInfratil Limited
ISINNZIFTD0300L0
TypeVanilla Corporate Bond
Price Per $100$98.141
Maturity Date14 Mar 2026
Previous Payment Date14 Dec 2024

IFT310

5.90%

$0.000 / 0.00%
52 Week Change:-$1.110 / -15.83%
Instrument NameIFT 15/12/2027 3.60% Infratil Limited Bonds
Issued ByInfratil Limited
ISINNZIFTD0310L9
TypeVanilla Corporate Bond
Price Per $100$94.823
Maturity Date14 Dec 2027
Previous Payment Date14 Dec 2024

IFT320

5.80%

$0.000 / 0.00%
52 Week Change:-$1.330 / -18.65%
Instrument NameIFT 15/06/2030 5.93% Infratil Limited Bonds
Issued ByInfratil Limited
ISINNZIFTD0320L8
TypeVanilla Corporate Bond
Price Per $100$101.346
Maturity Date14 Jun 2026
Previous Payment Date14 Dec 2024

IFT330

5.90%

$0.000 / 0.00%
52 Week Change:-$0.800 / -11.94%
Instrument NameIFT 31/07/2029 6.90% Infratil Limited Bonds
Issued ByInfratil Limited
ISINNZIFTD0330L7
TypeVanilla Corporate Bond
Price Per $100$104.355
Maturity Date30 Jul 2029
Previous Payment Date30 Jan 2025

IFT340

6.01%

$0.000 / 0.00%
52 Week Change:-$0.990 / -14.14%
Instrument NameIFT 15/03/2031 7.08% Infratil Limited Bonds
Issued ByInfratil Limited
ISINNZIFTD0340L6
TypeVanilla Corporate Bond
Price Per $100$106.808
Maturity Date14 Mar 2031
Previous Payment Date14 Dec 2024

IFT350

6.05%

$0.000 / 0.00%
52 Week Change:No Change
Instrument NameIFT 17/12/2031 7.06% Infratil Limited Bonds
Issued ByInfratil Limited
ISINNZIFTD0350L5
TypeVanilla Corporate Bond
Price Per $100$106.971
Maturity Date16 Dec 2031
Previous Payment Date16 Dec 2024

IFT360

5.95%

$0.000 / 0.00%
52 Week Change:No Change
Instrument NameIFT 13/12/2030 6.00% Infratil Limited Bonds
Issued ByInfratil Limited
ISINNZIFTD0360L4
TypeVanilla Corporate Bond
Price Per $100$101.475
Maturity Date12 Dec 2030
Previous Payment Date

IFTHA

$0.633

$0.000 / 0.00%
52 Week Change:-$66.367 / -99.06%
Instrument NameIFT 00/00/00 5.51% Infratil Limited Infrastructure Bonds
Issued ByInfratil Limited
ISINNZIFTD0020S9
TypeStructured Bond
Price Per $100
Maturity Date
Previous Payment Date14 Feb 2025

IFTHC

$0.968

$0.000 / 0.00%
52 Week Change:-$98.532 / -99.03%
Instrument NameIFT 15/12/2029 6.24% Infratil Limited Bonds
Issued ByInfratil Limited
ISINNZIFTD0290L3
TypeVanilla Corporate Bond
Price Per $100
Maturity Date14 Dec 2029
Previous Payment Date14 Dec 2024
Alison GerryChair
Jason BoyesChief Executive Officer, Director
Andrew CarrollChief Financial Officer
Paul GoughIndependent Director
Kirsty MactaggartIndependent Director
Peter SpringfordIndependent Director
Andrew ClarkIndependent Non-Executive Director
Anne UrlwinIndependent Non-Executive Director
Brendan KevanyCompany Secretary

Company summary

First Listed27 Mar 1994
Primary Listing VenueNZ
SolicitorNo Solicitor recorded
AuditorKPMG, Wellington
Share RegistryMUFG Pension & Market Services
End of Financial YearMarch