If you require further searching capabilities for announcements please email: data@nzx.com

Quotation Notice - Infratil Limited (“IFT370”)

04/06/2025, 17:05 NZST, OFFER

QUOTATION NOTICE: NZX DEBT MARKET INFRATIL LIMITED (“IFT370”) Company: Infratil Limited ("IFT") Security Code: IFT370 ISIN: NZIFTD0370L3 Details of Issue: An offer of NZ$100,000,000 unsecured, unsubordinated, fixed rate Bonds under the Firm Offer, and up to an additional NZ$43,413,442 of Bonds under the Exchange Offer. Under the Exchange Offer, IFT is offering holders of the bonds maturing on 15 June 2025 (Security Code IFT250) that are New Zealand residents the opportunity to exchange some or all their maturing bonds for Bonds on a one-to-one basis. Firm Offer Opening Date: Thursday, 29 May 2025 Firm Offer Closing Date: 11.00am Wednesday, 4 June 2025 Exchange Offer Opening Date: 8.30am Thursday, 5 June 2025 Exchange Offer Closing Date: 5.00pm Wednesday, 11 June 2025 Maturity Date: 16 June 2032 Interest Rate: 6.16% per annum Interest Payment Dates: 16 March, 16 June, 16 September and 16 December of each year up to and including the Maturity Date Date of First Interest Payment: Monday, 16 June 2025. This is the same as the Issue Date. For Bonds allotted under the Firm Offer, no interest will have accrued and so no interest will be payable on the First Interest Payment Date. For Bonds allotted under the Exchange Offer, interest will accrue from (and including) 13 June 2025 (the business day immediately preceding 15 June 2025) to (but excluding) the First Interest Payment Date (16 June 2025). First Interest Paid To: Original Subscriber Record Date: 10 calendar days before the relevant Interest Payment Date, or if that date is not a business day, the immediately preceding business day. Minimum Application Amount: NZ$5,000 and in multiples of NZ$1,000 thereafter Minimum Holding: 5,000 Bonds Minimum Transferable Amount: 1 Bond. IFT may decline to register a transfer if the transfer would result in the transferee holding less than the Minimum Holding Amount. Face Value: NZ$1.00 per bond Supervisor: Trustee Executors Limited Joint Lead Managers: Bank of New Zealand, Craigs Investment Partners Limited and Forsyth Barr Limited Trust Deed Dated: Master Trust Deed dated 11 November 1999 (as amended) and supplemented by a series supplement dated 29 May 2025 Registrar: MUFG Pension & Market Services (NZ) Limited ("LNKT") Settlement Status: NZCDC Settlement System Issue Date: Monday, 16 June 2025 Expected Commencement of Trading on the NZX Debt Market: Tuesday, 17 June 2025 Mark Peterson Chief Executive Officer NZX Limited 04 06 2025