| Instrument Name | WNZ 16/09/2032 6.19% Westpac New Zealand Limited Notes |
|---|---|
| Issued By | Westpac New Zealand Limited |
| ISIN | NZWNZD01T2L9 |
| Type | Debt/Equity Hybrids |
| Price Per $100 | $104.759 |
| Maturity Date | 15 Sep 2027 |
| Previous Payment Date | 15 Sep 2025 |
| Instrument Name | WNZ 14/02/2034 6.73% Westpac New Zealand Limited Notes |
|---|---|
| Issued By | Westpac New Zealand Limited |
| ISIN | NZWNZD02T2L8 |
| Type | Debt/Equity Hybrids |
| Price Per $100 | $108.096 |
| Maturity Date | 13 Feb 2029 |
| Previous Payment Date | 13 Nov 2025 |
| Instrument Name | WNZ 00/00/00 7.10% Westpac New Zealand Limited Preference Shares |
|---|---|
| Issued By | Westpac New Zealand Limited |
| ISIN | NZWNZD0001S1 |
| Type | Debt/Equity Hybrids |
| Price Per $100 | $104.900 |
| Maturity Date | — |
| Previous Payment Date | 12 Sep 2025 |