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Official quotation of GSIC22 will be suspended at the close of business on Friday, 4 February 2022, pending the maturity of the bond on 21 February 2022. The actual final coupon date and redemption payment date will be on Monday, 21 February 2022. The bond will be removed from official quotation with effect from 21 February 2022. | 07/02/2022 |
Official quotation of GSIO20 will be suspended at the close of business on Wednesday, 5 August 2020 pending the maturity of the bond on Thursday, 20 August, 2020. The actual final coupon date and redemption payment date will be on 20 August, 2020. The bond will be removed from official quotation with effect from 21 August, 2020. | 05/08/2020 |
Please note that GSIO20 was suspended in error. GSIO20 will be suspended at the close of business on 5th August 2020. | 30/07/2020 |
Official quotation of GSIO20 will be suspended at the close of business on Wednesday, 5 August 2020 pending the maturity of the bond on Thursday, 20 August, 2020. The actual final coupon date and redemption payment date will be on 20 August, 2020. The bond will be removed from official quotation with effect from 21 August, 2020. | 30/07/2020 |
Official quotation of the bond will be suspended immediately pending the maturity of the bond on Wednesday, 21 November 2018. The actual final coupon date and redemption payment date will be on Wednesday, 21 November 2018. The bond will be removed from official quotation with effect from Wednesday, 21 November 2018. | 07/11/2018 |
Official quotation of the bonds will be suspended from the close of business on Wednesday, 5 August 2015 pending the maturity of the bonds on Thursday, 20 August, 2015. The actual final coupon date and redemption payment date will be on Thursday, 20 August, 2015. The bonds will be finally removed from official quotation with effect from Thursday, 20 August, 2015. Security Code: GSIO15 | 29/07/2015 |
listed entity carried for record purposes only | 21/05/2013 |
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Date of first appointment, title may have changed.