PFI has one retail bond outstanding.

PFI020 is for $100 million, has an interest rate of 4.25% and matures on 1 October 2025. Interest is paid quarterly quarterly in arrear in equal amounts on 1 January, 1 April, 1 July and 1 October each year (or if that day is not a business day, the next business day) until and including the maturity date. 

Further details of this bond can be found in the terms sheet, supplementary trust deed and master trust deed (see below).

Investors interested in buying PFI's retail bonds should contact an NZX Market Participant.