Z Energy Allotment Notice

09/08/2011 - By Jonathan Hill | Investor News - Continuous disclosure

 

The following information is provided by Z Energy Limited in accordance with Listing Rule 7.12.1.

A total of NZ$150,000,000 bonds have been allotted today to investors pursuant to the simplified disclosure prospectus dated 29 June 2011. The details of the issue as required by Listing Rule 7.12.1 are:

Issuer Z Energy Limited (ZEL020)
Class of security issued and ISIN Secured fixed rate bonds having a maturity date of 15 August 2018, ISIN: NZZELD0020L8
Attachment to permit A   Secured fixed rate bonds having a maturity date of 15 August 2018, ISIN: NZZELD0020L8
Number of securities issued 150,000,000
Issue price $1.00 per bond
Payment method Cash
Percentage of the total Class of Securities issued 100%
Any terms or details of the issue Terms set out in the simplified disclosure prospectus dated 29 July 2011
Total number of securities of the class in existance after the issue 150,000,000
Date of the issue 9 August 2011

 

 

For further information please contact:

Jonathan Hill
Corporate Communications Manager
(04) 498 0212

Jonathan.hill@z.co.nz

 


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