Structured Investments

Level 11, Tower Two

International Towers Sydney

200 Barangaroo Avenue

Barangaroo NSW 2000

Telephone: 1800 990 107

www.westpac.com.au/structuredinvestments

13 September 2019

Mr Martin Dinh

Warrant Administration

Australian Securities Exchange

Level 6, 20 Bridge St

Sydney NSW 2000

Dear Mr Dinh

Re: Westpac Self-Funding Instalments over securities in CSL Limited (CSL)

Westpac Banking Corporation, as issuer of Self-Funding Instalments ("SFI") over the following securities, notifies of an amendment to the previously announced dividend in respect of those securities:

Distribution/Entitlement of Security

Securities

CSL Limited (CSL)

Distribution/Entitlement

Final dividend

Amount

$1.4545 per security

Franking percentage

0%

Ex-distribution/Entitlement Date

10 September 2019

Record Date

11 September 2019

Payment Date

On or about 11 October 2019

As a result of CSL Limited confirming their dividend in Australian Dollars, having fixed the USD/AUD exchange rate for that dividend, Westpac is amending the previously announced dividend payable on the SFIs listed below from $1.4784 per security to $1.4545 per security.

Resulting Change in Completion Payment for each Self Funding Instalment

Previous

Dividend

New

ASX Code

Completion

Completion

Adjustment

Payment

Payment

CSLSWA

$69.2903

-$0.0239

$69.3142

CSLSWB

$100.2284

-$0.0239

$100.2523

CSLSWR

$54.3394

-$0.0239

$54.3633

For further information please contact Westpac Banking Corporation on 1800 990 107.

For and on behalf of Westpac Banking Corporation

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Westpac Banking Corporation published this content on 13 September 2019 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 13 September 2019 07:51:01 UTC