Fixed to Floating Rate Bond
AUD
Fixed to Floating Rate
Semi-Annual Payment
6.446%
p.a.
Issuer Rating | Aa2/AA- (Moody's/S&P)
-
Payment: Semi-Annually
-
Subordinated Unsecured
-
Issue Date: 21/08/2026
-
Maturity Date: 21/08/2041
-
Call Date: 21/08/2036
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Fixed Rate Bond
AUD
Fixed Rate
Semi-Annual Payment
6.749%
p.a.
Issuer Rating | Aa2/AA- (Moody's/S&P)
-
Payment: Semi-Annually
-
Subordinated Unsecured
-
Issue Date: 21/08/2026
-
Maturity Date: 21/08/2046
-
Call Date: -
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Fixed Coupon Bond
AUD
Fixed Rate
Semi-Annual Payment
6.250%
p.a.
Issuer Rating | Aa2/AA+ (Moody's/S&P)
-
Payment: Semi-Annually
-
Senior Unsecured
-
Issue Date: 27/08/2026
-
Maturity Date: 27/08/2036
-
Call Date: -
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Fixed Coupon Bond
AUD
Fixed Rate
Semi-Annual Payment
6.900%
p.a.
Issuer Rating | Aa2/AA+ (Moody's/S&P)
-
Payment: Semi-Annually
-
Senior Unsecured
-
Issue Date: 27/08/2026
-
Maturity Date: 27/08/2046
-
Call Date: -
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Fixed to Floating Coupon Bond
Fixed to Floating Rate
Semi-Annual Payment
USD
6.255%
p.a.
Issuer Rating | A1/BBB+ (Moody's/S&P)
-
Payment: Semi-Annually
-
Senior Unsecured
-
Issue Date: 07/12/2023
-
Maturity Date: 07/12/2034
-
Call Date: 07/12/2033
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Fixed: Resettable Coupon Bond
Fixed: Resettable Rate
Semi-Annual Payment
USD
6.090%
p.a.
Issuer Rating | Aa2/AA- (Moody's/S&P)
-
Payment: Semi-Annually
-
Subordinated Unsecured
-
Issue Date: 16/09/2026
-
Maturity Date: 16/09/2037
-
Call Date: 16/09/2036
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Floating Coupon Bond
Floating Rate
Quarterly Payment
USD
SOFR + 0.7%
p.a.
Issuer Rating | Aa2/AA- (Moody's/S&P)
-
Payment: Quarterly
-
Senior Unsecured
-
Issue Date: 16/09/2026
-
Maturity Date: 16/12/2031
-
Call Date: -
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Fixed to Floating Rate Bond
AUD
Fixed to Floating Rate
Semi-Annual Payment
5.774%
p.a.
Issuer Rating | Aa2/AA- (Moody's/S&P)
-
Payment: Semi-Annually
-
Subordinated Unsecured
-
Issue Date: 30-Jul-2025
-
Maturity Date: 30-Jul-2040
-
Call Date: 30-Jul-2035
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Fixed to Floating Rate Bond
AUD
Fixed to Floating Rate
Semi-Annual Payment
5.691%
p.a.
Issuer Rating | Aa2/AA- (Moody's/S&P)
-
Payment: Semi-Annually
-
Subordinated Unsecured
-
Issue Date: 14/08/2025
-
Maturity Date: 14/08/2040
-
Call Date: 14/08/2035
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Fixed Rate Bond
AUD
Fixed Rate
Semi-Annual Payment
6.171%
p.a.
Issuer Rating | Aa2/AA- (Moody's/S&P)
-
Payment: Semi-Annually
-
Subordinated Unsecured
-
Issue Date: 14/08/2025
-
Maturity Date: 14/08/2045
-
Call Date: -
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Fixed to Floating Rate Bond
AUD
Fixed to Floating Rate
Semi-Annual Payment
5.642%
p.a.
Issuer Rating | A3/A- (Moody's/S&P)
-
Payment: Semi-Annually
-
Subordinated Unsecured
-
Issue Date: 28-Aug-2025
-
Maturity Date: 28-Aug-2036
-
Call Date: 28-Aug-2035
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Fixed to Floating Rate Bond
AUD
Fixed Rate
Semi-Annual Payment
6.135%
p.a.
Issuer Rating | Aa2/AA- (Moody's/S&P)
-
Payment: Semi-Annually
-
Subordinated Unsecured
-
Issue Date: 13-Nov-2025
-
Maturity Date: 13-Nov-2045
-
Call Date: -
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Fixed to Floating Rate Bond
AUD
Fixed to Floating Rate
Semi-Annual Payment
6.085%
p.a.
Issuer Rating | Aa2/AA- (Moody's/S&P)
-
Payment: Semi-Annually
-
Subordinated Unsecured
-
Issue Date: 12-Feb-2026
-
Maturity Date: 12-Feb-2041
-
Call Date: 12-Feb-2036
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Fixed to Floating Rate Bond
AUD
Fixed to Floating Rate
Semi-Annual Payment
6.447%
p.a.
Issuer Rating | A1/A+ (Moody's/S&P)
-
Payment: Semi-Annually
-
Subordinated Unsecured
-
Issue Date: 13-Feb-2026
-
Maturity Date: 13-Feb-2041
-
Call Date: 13-Feb-2036
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Fixed Coupon Bond
AUD
Fixed Rate
Semi-Annual Payment
6.40%
p.a.
Issuer Rating | Aa2/AA- (Moody's/S&P)
-
Payment: Semi-Annually
-
Subordinated Unsecured
-
Issue Date: 05/03/2026
-
Maturity Date: 05/03/2046
-
Call Date: -
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→