skip to log on skip to main content
VoiceOver users please use the tab key when navigating expanded menus

Kingfisher Trust 2026-1

Summary of notes as at closing date

Issue Date: 4 June 2026
Maturity Date: 24 March 2057
Issuance Volume: AUD 1,500,000,000
Monthly Distribution Date: 24th day of each calendar month commencing on 24 July 2026
Business Day Convention: Following
Security Type: Class A1
Amount: AUD 1,380,000,000
Coupon Details: BBSW1M + 93 bps
Rating (Moody's / Fitch): Aaa(sf) / AAAsf
ISIN: AU3FN0110185
Security Type: Class A2
Amount: AUD 37,500,000
Coupon Details: BBSW1M + 115 bps
Rating (Moody's / Fitch): Aaa(sf) / AAAsf
ISIN: AU3FN0110193
Security Type: Class B
Amount: AUD 48,000,000
Coupon Details: BBSW1M + 145 bps
Rating (Moody's / Fitch): Aa2(sf) / NR
ISIN: AU3FN0110201
Security Type: Class C
Amount: AUD 12,000,000
Coupon Details: BBSW1M + 180 bps
Rating (Moody's / Fitch): A2(sf) / NR
ISIN: AU3FN0110219
Security Type: Class D
Amount: AUD 10,500,000
Coupon Details: BBSW1M + 210 bps
Rating (Moody's / Fitch): Baa2(sf) / NR
ISIN: AU3FN0110227
Security Type: Class E
Amount: AUD 9,000,000
Coupon Details: BBSW1M + 390 bps
Rating (Moody's / Fitch): Ba2(sf) / NR
ISIN: AU3FN0110235
Security Type: Class F
Amount: AUD 3,000,000
Coupon Details: BBSW1M + 525 bps
Rating (Moody's / Fitch): NR / NR
ISIN: AU3FN0110243

Investor Reports

data
Date Title Files
   
 

Your use of this Website is governed by the Disclaimer and Terms of Use set out on the entry page. By accessing this Website, you acknowledge and agree to the terms set out in that Disclaimer and Terms of Use.

Top