ANZ launches 10NC5 tier-two transaction

Disclosure type: launch
Issuer name: ANZ
Issuer rating: AA-/Aa3/A+
Expected issue rating: BBB+/Baa1/A-
Announcement date: 3 August 2022
Expected pricing date: 3 August 2022
Lead manager: ANZ

Transaction type: tier-two
Currency: AUD
Indicative volume: ND
Tenor: 10-year non-call five-year
Coupon type: fixed and/or FRN
Price guidance: 280bp/swap benchmarks area