Issue date: 
Wednesday, 27 March 2019

The Treasury has announced details of the regular New Zealand Government Bond tender schedule for the June quarter of the 2018/19 fiscal year. Formal confirmation of each tender occurs on announcement dates.

Bond Maturity Volume ($m) Announcement Tender Settlement
Inflation-indexed 20-Sep-2040 100 3-Apr-2019 4-Apr-2019 9-Apr-2019
Nominal 20-Apr-2029 250 10-Apr-2019 11-Apr-2019 16-Apr-2019
Nominal 15-Apr-2037 150 17-Apr-2019 18-Apr-2019 26-Apr-2019
Inflation-indexed 20-Sep-2040 100 1-May-2019 2-May-2019 7-May-2019
Nominal 20-Apr-2029 200 8-May-2019 9-May-2019 14-May-2019
Nominal 15-Apr-2037 150 15-May-2019 16-May-2019 21-May-2019
Nominal 15-Apr-2025 150 22-May-2019 23-May-2019 28-May-2019
Inflation-indexed 20-Sep-2040 100 5-Jun-2019 6-Jun-2019 11-Jun-2019
Nominal 20-Apr-2029 250 12-Jun-2019 13-Jun-2019 18-Jun-2019
Nominal 15-Apr-2037 150 19-Jun-2019 20-Jun-2019 25-Jun-2019
Nominal 15-Apr-2025 150 26-Jun-2019 27-Jun-2019 2-Jul-2019


Treasury Contacts

Andrew Hagan | Director, Capital Markets
Tel: +64 4 917 6937 

Kim Martin | Head of Funding Strategy and Engagement
Tel: +64 4 890 7274 

Last updated: 
Tuesday, 26 March 2019