Disclosure type: launch
Issuer name: Queensland Treasury Corporation
Issuer rating: AA+/Aa1
Announcement date: 13 May 2024
Expected pricing date: 14 May 2024
Settlement date: 17 May 2024
Lead managers: ANZ, RBC Capital Markets, Westpac Institutional Bank
Transaction type: senior-unsecured bond
Currency: AUD
Indicative volume: ND
Maturity date: 22 August 2035
Coupon: 4.5%
Price guidance: 90-93bp/10-year futures contract, 87-90bp/ June 2035 ACGB