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Summary of Notes at Issue
| Issue Date: | 24th May 2006 |
| Maturity Date: | 12th May 2037 |
| Issuance Volume: | AUD 3,494,732,631 |
| Distribution Date: | 12th February, May, August, November |
| Business Day Convention: | Modified Following (Sydney, Perth, London, New York) |
| Security Type: | Class A-1 |
| Amount: | USD 600,000,000 |
| Coupon Details: | LIBOR3M + 8bps |
| Rating (S&P/Moody's): | AAA/Aaa |
| CUSIP: | |
| ISIN: | XS0254988107 |
| Security Type: | Class A-2 |
| Amount: | AUD 1,400,000,000 |
| Coupon Details: | BBSW3M + 14bps |
| Rating (S&P/Moody's): | AAA/Aaa |
| CUSIP: | |
| ISIN: | AU300SQ30017 |
| Security Type: | Class A-3 |
| Amount: | EUR 720,000,000 |
| Coupon Details: | Euribor3M + 8bps |
| Rating (S&P/Moody's): | AAA/Aaa |
| CUSIP: | |
| ISIN: | XS0254988529 |
| Security Type: | Class B |
| Amount: | AUD 112,000,000 |
| Coupon Details: | BBSW3M + 18bps |
| Rating (S&P/Moody's): | AA/Aa2 |
| CUSIP: | |
| ISIN: | AU300SQ30025 |
Prospectus
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Information Memorandum
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Redemption Letter
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