← View Regulatory Disclosure Statements

ANZ is required under APRA’s APS330 to disclose the main features of instruments included in ANZ’s Regulatory Capital.

The full terms and conditions and a summary of the main features for ANZ’s Ordinary Shares and each other instrument constituting Additional Tier 1 or Tier 2 capital of ANZ are set out below.

Further information about ANZ Convertible Preference Shares, ANZ Subordinated Notes and ANZ Capital Notes can be viewed on the Alternative Securities webpage.

Ordinary Shares

The terms and conditions of ANZ’s Ordinary Shares are set out in ANZ’s Constitution.

Main features of ANZ’s Ordinary Shares

Additional Tier 1 Capital Instruments

The terms and conditions of ANZ’s outstanding Additional Tier 1 capital instruments are set out below

Main features of ANZ’s Additional Tier 1 capital instruments

ANZ Capital Notes
ANZ Capital Notes prospectus
ANZ Capital Notes Media Release
ANZ Capital Notes 2
ANZ Capital Notes 2 Prospectus
ANZ Capital Notes 2 Media Release
ANZ Capital Notes 3
ANZ Capital Notes 3 Prospectus
ANZ Capital Notes 3 Media Release
ANZ Bank New Zealand Limited Capital Notes 2
ANZ NZ Capital Notes 2 Investment Statement
ANZ NZ Capital Notes 2 ASX Media Release
ANZ NZ Capital Notes 2 NZX Release
ANZ Capital Securities
Global Notes (144A and Reg. S)
Cleansing Notice
ANZ Capital Notes 4
ANZ Capital Notes 4 Prospectus
ANZ Capital Notes 4 Media Release
ANZ Capital Notes 5
ANZ Capital Notes 5 Prospectus
ANZ Capital Notes 5 Media Release

Tier 2 Capital Instruments

The terms and conditions of ANZ’s outstanding Tier 2 capital instruments are set out below

Main features of ANZ’s Tier 2 Capital Instruments

USD 300 million Perpetual Subordinated Notes
Offering Circular
Notice of amendment to Terms and Conditions
EUR 750 million Subordinated Notes due 2019
Base Prospectus
Final Terms
USD 800 million Subordinated Notes due 2024
Fixed Rate Notes and Pricing Supplements
Cleansing Notice
CHN 2.5 billion Subordinated Notes due 2025
Information Memorandum
Pricing Supplement
Cleansing Notice
SGD 500 million Subordinated Noted due 2027
Information Memorandum
Pricing Supplement
Cleansing Notice
AUD 200 million Subordinated Notes due 2027
Information Memorandum
Pricing Supplement
Cleansing Notice
AUD 600 million Subordinated Notes due 2026
Information Memorandum
Pricing Supplement
Cleansing Notice
JPY 20 billion Subordinated Notes due 2026
Base Prospectus 
Pricing Supplement
Cleansing Notice
AUD 100 million Subordinated Notes due 2026
Information Memorandum
Pricing Supplement
Cleansing Notice
USD 1500 million Subordinated Notes due 2026
Fixed rate notes and Pricing Supplements
Cleansing Notice
JPY 10 billion Subordinated Notes due 2026
Fixed rate notes and Pricing Supplements
Cleansing Notice
JPY 10 billion Subordinated Notes due 2028
Fixed rate notes and Pricing Supplements
Cleansing Notice
AUD225 million Subordinated Notes due 2023
Fixed rate notes and Pricing Supplements
Cleansing Notice