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  1. Home (NZ Debt Management)
  2. Investor Resources
  3. Media Statements

Media Statements

Issue of 15 May 2030 Nominal Bond Announced

Media statement
Issue date:
Tue 7 Mar 2023

The Treasury has today announced that NZ$4.0 billion of the nominal 15 May 2030 New Zealand Government Bond has been issued via syndication.

Launch of 15 May 2030 Nominal Bond Announced

Media statement
Issue date:
Mon 6 Mar 2023

The Treasury announces the launch of a new 4.50% coupon 15 May 2030 nominal bond. Given the timing of the launch, the Treasury also announces the cancellation of the tender scheduled for 9 March 2023.

Syndicate for Launch of 15 May 2030 Nominal Bond Announced

Media statement
Issue date:
Wed 1 Mar 2023

The Treasury has today announced the appointment of the following joint lead managers to form the panel for the syndication of the 15 May 2030 nominal bond:

New Zealand Government Bond Tender Schedule - March 2023

Media statement
Issue date:
Wed 22 Feb 2023

The Treasury has announced details of the regular New Zealand Government Bond (NZGB) tender schedule for the month of March 2023. Formal confirmation of each tender occurs on announcement dates.

New Zealand Government Bond Tender Schedule - February 2023

Media statement
Issue date:
Wed 25 Jan 2023

The Treasury has announced details of the regular New Zealand Government Bond (NZGB) tender schedule for the month of February 2023. Formal confirmation of each tender occurs on announcement dates.

New Zealand Government Bond Tender Schedule - January 2023

Media statement
Issue date:
Thu 15 Dec 2022

The Treasury has announced details of the regular New Zealand Government Bond (NZGB) tender schedule for the month of January 2023. Formal confirmation of each tender occurs on announcement dates.

2022/23 New Zealand Government Bond Programme Increased to NZ$28 Billion

Media statement
Issue date:
Wed 14 Dec 2022

In conjunction with the Half Year Economic and Fiscal Update 2022, the Treasury has updated the forecast core Crown borrowing programme.

Changes to Kiwi Bond Interest Rates

Media statement
Issue date:
Thu 8 Dec 2022

The Treasury today announced changes to the interest rates available on Kiwi Bonds, effective from 8 December 2022. The interest rate for the six-month Kiwi Bond has increased to 3.75%.

New Zealand Government Bond Tender Schedule - December 2022

Media statement
Issue date:
Wed 23 Nov 2022

The Treasury has announced details of the regular New Zealand Government Bond (NZGB) tender schedule for the month of December 2022. Formal confirmation of each tender occurs on announcement dates.

Issue of 15 May 2034 Nominal Green Bond Announced

Media statement
Issue date:
Tue 15 Nov 2022

The Treasury has today announced that NZ$3.0 billion of the nominal green 15 May 2034 New Zealand Government Bond has been issued via syndication.

Launch of 15 May 2034 Nominal Green Bond Announced

Media statement
Issue date:
Mon 14 Nov 2022

The Treasury announces the launch of a new 4.25% coupon 15 May 2034 nominal green bond. Given the timing of the launch, the Treasury also announces the cancellation of the tender scheduled for 17 November 2022.

New Zealand Debt Management to Undertake Financing of Kainga Ora

Media statement
Issue date:
Fri 11 Nov 2022

The Government has today announced that Kainga Ora’s future financing requirements will be met by loans from New Zealand Debt Management (NZDM), rather than private markets. Further details on the changes are available here.

Syndicate for Launch of 15 May 2034 Nominal Green Bond Announced

Media statement
Issue date:
Wed 9 Nov 2022

The Treasury has today announced the appointment of the following joint lead managers to form the panel for the syndication of the 15 May 2034 nominal green bond:

New Zealand Government Bond Tender Schedule - November 2022

Media statement
Issue date:
Wed 26 Oct 2022

The Treasury has announced details of the regular New Zealand Government Bond (NZGB) tender schedule for the month of November 2022. Formal confirmation of each tender occurs on announcement dates.

Replacement Product Disclosure Statements Lodged

Media statement
Issue date:
Thu 20 Oct 2022

New Zealand Debt Management advises that replacement product disclosure statements, dated 19 October 2022, have been lodged on the Disclose Register for the following government bond products:

New Zealand Government Bond Tender Schedule - October 2022

Media statement
Issue date:
Wed 28 Sep 2022

The Treasury has announced details of the regular New Zealand Government Bond (NZGB) tender schedule for the month of October 2022. Formal confirmation of each tender occurs on announcement dates.

New Zealand Sovereign Green Bond Programme launched

Media statement
Issue date:
Wed 14 Sep 2022

Further to today’s announcement from Minister of Finance Hon Grant Robertson and Climate Change Minister Hon James Shaw, New Zealand Debt Management is publishing the Framework setting out how the Government plans to finance or refinance climate and env

Advisory Note: Change of Sovereign and its impact on New Zealand Debt Management

Media statement
Issue date:
Mon 12 Sep 2022

In light of the passing of Her Majesty Queen Elizabeth II, New Zealand Debt Management (NZDM) wishes to note that:

Changes to Kiwi Bond Interest Rates

Media statement
Issue date:
Thu 1 Sep 2022

The Treasury today announced changes to the interest rates available on Kiwi Bonds, effective from 1 September 2022. The interest rates for the twelve-month Kiwi Bond has increased to 3.50%.

Additional Issue of 20 September 2035 Inflation-Indexed Bond, and Repurchase of 20 September 2025 Inflation-Indexed Bond, Announced

Media statement
Issue date:
Wed 24 Aug 2022

The Treasury has today announced that NZ$2.5 billion of 20 September 2035 inflation-indexed New Zealand Government Bonds have been issued via syndicated tap.

New Zealand Government Bond Tender Schedule - September 2022

Media statement
Issue date:
Wed 24 Aug 2022

The Treasury has announced details of the regular New Zealand Government Bond (NZGB) tender schedule for the month of September 2022. Formal confirmation of each tender occurs on announcement dates.

Launch of 20 September 2035 Inflation-Indexed Bond Tap, and Concurrent Repurchase of 20 September 2025 Inflation-Indexed Bond, Announced

Media statement
Issue date:
Tue 23 Aug 2022

The Treasury announces the syndicated tap of the 2.50% coupon 20 September 2035 inflation-indexed bond, and concurrent repurchase of the 2.00% coupon 20 September 2025 inflation-indexed bond.

Further information – Syndicated Tap of 20 September 2035 Inflation-Indexed Bond, and Concurrent Repurchase of 20 September 2025 Inflation-Indexed Bond

Media statement
Issue date:
Thu 18 Aug 2022

The Treasury expects to issue between NZ$1.5 billion and NZ$2.5 billion of the 20 September 2035 inflation-indexed bond in the syndicated tap.

Syndicate for Tap of 20 September 2035 Inflation-Indexed Bond, and Concurrent Repurchase of 20 September 2025 Inflation-Indexed Bond, Announced

Media statement
Issue date:
Fri 12 Aug 2022

The Treasury has today announced the appointment of the following joint lead managers to form the panel for the syndicated tap of the 20 September 2035 inflation-indexed bond, and concurrent repurchase of the 20 September 2025 inflation-indexed bond: 

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