| Instrument Name | Precinct Prop NZ Ltd & Invest Ltd Stapled Security (NS) | 
|---|---|
| Issued By | Precinct Properties NZ & Precinct Properties Investments Ltd | 
| ISIN | NZAPTE0001S3 | 
| Type | Stapled | 
| Instrument Name | PCT 28/05/2027 2.85% Precinct Properties New Zealand Ltd Bonds | 
|---|---|
| Issued By | Precinct Properties NZ & Precinct Properties Investments Ltd | 
| ISIN | NZPCTDT003C7 | 
| Type | Green Vanilla Corporate Bond | 
| Price Per $100 | $100.016 | 
| Maturity Date | 27 May 2027 | 
| Previous Payment Date | 27 May 2025 | 
| Instrument Name | PCT 09/05/2028 5.25% Precinct Properties New Zealand Limited Bonds | 
|---|---|
| Issued By | Precinct Properties NZ & Precinct Properties Investments Ltd | 
| ISIN | NZPCTDT004C5 | 
| Type | Green Vanilla Corporate Bond | 
| Price Per $100 | $102.854 | 
| Maturity Date | 08 May 2028 | 
| Previous Payment Date | 08 May 2025 | 
| Instrument Name | PCT 21/09/2026 7.56% Convertible Notes | 
|---|---|
| Issued By | Precinct Properties NZ & Precinct Properties Investments Ltd | 
| ISIN | NZPCTDG002C4 | 
| Type | Convertible Notes | 
| Price Per $100 | — | 
| Maturity Date | 20 Sep 2026 | 
| Previous Payment Date | 20 Sep 2025 | 
| Instrument Name | PCT 21/09/2027 7.53% Convertible Notes | 
|---|---|
| Issued By | Precinct Properties NZ & Precinct Properties Investments Ltd | 
| ISIN | NZPCTDG003C2 | 
| Type | Convertible Notes | 
| Price Per $100 | — | 
| Maturity Date | 20 Sep 2027 | 
| Previous Payment Date | 20 Sep 2025 |