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Markets Issuance Programme

The ANZ Markets Issuance Programme is for the issuance of structured notes to wholesale and professional investors. For further details please refer to the full documentation or contact us at ANZ Group Funding.

Issuer Australia and New Zealand Banking Group Limited (acting through its Hong Kong Branch)  
Programme Size Unlimited  
Listing Notes may be unlisted or admitted to trading on the International Securities Market of the London Stock Exchange  
Form of Instruments Notes may be issued in either bearer form or registered form, represented by a Global Note  
Currencies Subject to compliance with all relevant laws, regulations and directives, Notes may be issued in such currencies as may be agreed between the Issuer and the initial Dealer   
Status Unsubordinated  
Issue Price Notes may be issued at their principal amount or at a discount or premium to their principal amount  
Maturities Subject to compliance with all relevant laws, regulations and directives, Notes may be issued with such maturities as may be agreed between the Issuer and the initial Dealer  
Governing Law English Law  
Clearing System Euroclear, Clearstream and such other clearing system as may be agreed between the Issuer and the initial Dealer  
Ratings Issuer's long-term debt ratings apply  
Arranger and Initial Dealer Australia and New Zealand Banking Group Limited  
Fiscal Agent and Paying Agent Deutsche Bank AG, Hong Kong Branch  
Registrar and Transfer Agent Deutsche Bank Luxembourg S.A.  
Calculation Agent Australia and New Zealand Banking Group Limited or such other calculation agent as may be appointed, from time to time, by the Issuer for any Tranche of Notes  

 

Title Files  

Offering Circular

Offering Circular dated 22 November 2024 (PDF, 2.1 MB)

 

Supplementary Offering Circulars

Supplementary Offering Circular dated 10 December 2024 (PDF, 80 KB)

Supplementary Offering Circular dated 8 April 2025 (PDF, 101 KB)

Supplementary Offering Circular dated 9 May 2025 (PDF, 114 KB) 

 

Information Incorporated by Reference

Unaudited condensed consolidated financial statements in respect of the six months ended 31 March 2025

Audited consolidated financial statements of the Group in respect of the year ended 30 September 2024

Audited consolidated financial statements of the Group in respect of the year ended 30 September 2023

The Sections entitled "Liquidity", "Funding" and "Capital Management" as set out on pages 31 to 32 of the ANZ BGL Annual Report)

Basel III Pillar 3 Disclosure as at 31 March 2025 (APS 330 Public Disclosure)

Basel III Pillar 3 Disclosure as at 30 September 2024 (APS 330 Public Disclosure)

Basel III Pillar 3 Disclosure as at 31 December 2024 (APS 330 Public Disclosure)

Basel III Pillar 3 Disclosure 2025 First Quarter Chart Pack for quarter ended 31 December 2024

For the purpose of any issue of Notes which are to be consolidated and form a single Series with an existing Tranche or Series of Notes, the terms and conditions set out on:

 
Pricing Supplement  

Constitution

Constitution of the Issuer

 

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