Investor Presentaiton
Key dates1
Key dates for the Offer
Record date for determining Eligible Securityholders (7:00pm, Sydney time)
Lodgement of Prospectus with ASIC
Bookbuild
Announcement of the Margin
Lodgement of the replacement Prospectus with ASIC
Opening Date for Broker Firm Offer and the Securityholder Offer
Closing Date for the Securityholder Offer (5:00pm, Sydney time)
Date
6 November 2019
11 November 2019
18 November 2019
18 November 2019
19 November 2019
19 November 2019
10 December 2019
Closing Date for the Broker Firm Offer (excluding applications in respect of the Reinvestment Offer) (10:00am, Sydney time)
Issue Date
Capital Notes 3 commence trading on ASX (deferred settlement basis)
Holding Statements despatched by
Capital Notes 3 commence trading on ASX (normal settlement basis)
Key dates for Capital Notes 3
First Distribution Payment Date
Optional Exchange Date
Scheduled Mandatory Conversion Date
Key dates for CPS3 Holders
Record date for determining Eligible CPS3 Holders for the Reinvestment Offer (7:00pm, Sydney time)
Opening Date for the Reinvestment Offer
Closing Date for the Reinvestment Offer (5:00pm, Sydney time)
Closing Date for the Broker Firm Offer (applications in respect of the Reinvestment Offer) (5:00pm, Sydney time)
Reinvestment CPS3 Repayment Date and scheduled dividend payment date for all CPS3
Optional exchange date for remaining CPS3
Note:
1 These dates are indicative only and may change without notice.
SUNCORP
Capital Notes 3
13 December 2019
17 December 2019
18 December 2019
19 December 2019
20 December 2019
17 March 2020
17 June 2026
17 June 2028
6 November 2019
19 November 2019
10 December 2019
10 December 2019
17 December 2019
17 June 2020
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