Disclosure type: launch
Issuer name: Kiwibank
Issuer rating: A1/AA
Expected issue rating: as issuer
Announcement date: 10 October 2022
Expected pricing date: 12 October 2022
Lead managers: ANZ, BNZ, Westpac Banking Corporation New Zealand Branch
Transaction type: senior-unsecured
Indicative volume: NZ$100 million (US$56.1 million)
Maturity date: 19 October 2027
Coupon type: fixed
Price guidance: 110-120bp/mid-swap