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Class of Notes A  
ISIN AU3FN0052551 AU3FN0052569  
Bal. at Issue (par) (million) AUD 2,530 AUD 220  
Coupon + Margin (bp) 1M BBSW + 95bps Not Disclosed  
Original Rating S&P AAA(sf) Unrated  
Original Fitch Rating AAAsf Unrated  
Current S&P Rating No change No change  
Current Fitch Rating No change No change  
Issue Date 04 February 2020
Maturity Date Payment date falling in August 2051
Reuters Page Ref WST/SEC33 and WST/SEC34
Bloomberg Page Ref WST{Mtgs} go
Investor reports

March 2020 (PDF 28KB)

April 2020 (PDF 11KB)

May 2020 (PDF 11KB)

June 2020 (PDF 11KB)

July 2020 (PDF 286KB)

August 2020 (PDF 11KB)

September 2020 (PDF 11KB)

October 2020 (PDF 10KB)

November 2020 (PDF 10KB)

December 2020 (PDF 10KB)

January 2021 (PDF 203KB)

February 2021 (PDF 11KB)

March 2021 (PDF 201KB)

April 2021 (PDF 10KB)

May 2021 (PDF 201KB)

Collateral report

Collateral Pool Information - Series 2020-1 WST Trust (PDF 253KB)

Transaction documents Information Memorandum 2020-1 WST Trust (PDF 1MB)

HKEx announcements

 

 

Formal Notice - 5 February 2020 (PDF 44KB)

Formal Notice - 29 April 2020 (PDF 56KB)

Formal Notice - 18 May 2020 (PDF 38KB)

Formal Notice - 17 June 2020 (PDF 39KB)

Formal Notice - 17 July 2020 (PDF 45KB)

Formal Notice - 17 August 2020 (PDF 45KB)

Formal Notice - 17 September 2020 (PDF 54KB)

Formal Notice - 19 October 2020 (PDF 45KB)

Formal Notice - 17 November 2020 (PDF 45KB)

Formal Notice - 17 December 2020 (PDF 45KB)

Formal Notice - 18 January 2021 (PDF 45KB)

Formal Notice - 17 February 2021 (PDF 34KB)

Formal Notice - 17 March 2021 (PDF 224KB)

Formal Notice - 19 April 2021 (PDF 47KB)

Announcement on Australian Securities Exchange - 27 April 2020 (PDF 37KB)

Announcement on Australian Securities Exchange - 23 December 2020 (PDF 2MB)