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THE PUBLIC DEBT OF NEW ZEALAND. TABLE I.—STATEMENT OF SECURITIES CHARGED ON THE PUBLIC REVENUES OF NEW ZEALAND AND OUTSTANDING ON 31st MARCH, 1941-continued.

B.—l [Pt. Ill].

PUBLIC ACCOUNTS, 1 940-1941.

5

Annual Charge. Domicile of Principal. Nominal j ■ ! Amount Due Date. "8! I ! • 1 Remarks. outstanding. „ 2 . Nominal i-S Interest When payable. New Zealand. London. Australia, , r £ s. d. % £ £ s. d. £ s. d. £ Brought forward .. 59,900,734 14 8 .. .. 2,243,171 .. 22,517,190 17 0 37,366,243 17 8 17,300 New Zealand Loans Act, 1932 —continued. Debentures and Stock continued. 2,090,909 1 9 1 Dee., 1945* 4* 94,090+ 1 June and 1 Dee. .. 2,090,909 1 9 .. * Repayable at the option of the Government on or after 1st December, 1925, by giving three months' notice in the London Gazette. t Interest suspended in terms of agree- __ ment vrith Imperial Government. 12,886,110 3 9 1 Jan., 1946 5 644,305 1 Jan. „ 1 July .. 12,886,110 3 9 9,840,855 0 0 15 Feb., 19464. 4 393,634 15 Feb, „ 15 Aug. 9,840,855 0 0 .. .. J Repayable at the option of the Government at par on or after 15th February, 1943, on three , months' notice. 1,233,743 9 0 1 April, 1946 3 37,012 1 April „ 1 Oct. 1,233,743 9 0 424,148 10 0 1 April, 1946§ 4 16,966 1 April „ 1 Oct. 424,148 10 0 .. .. § Repayable at option of the holders on 14 days' notice. April, 1946 .. .. .. .. .. .. Option to repay £8,963,205 maturing _ _ 15th April, 1949. 2,851,050 0 0 15 Sept., 1947 4 114,042 15 Mar. and 15 Sept. 2,851,050 0 0 1,330,500 0 0 15 Sep., 1947 5 66,525 15 Mar. „ 15 Sept. 1,127,200 0 0 120,000 0 0 83,300 11,221,608 16 5 1 Nov., 1947 4J 504,972 1 May „ 1 Nov. .. 11,221,608 16 5 1 Mar., 1948 . . .. .. .. .. .. Option to repay £19,225,465 matur- j . ing 1st March, 1958. 4,996,690 0 0 30 Nov., 1948 4 199,868 31 May and 30 Nov. 4,996,690 0 0 10,500 0 0 1 Jan., 1949 4 420 1 Jan. „ 1 July 10,500 0 0 Feb., 1949 .. . . .. .. .. .. Option to repay £5,791,201 maturing 1st February, 1954. 8,963,205 0 0 15 April, 1949] j 4 358,528 15 April and 15 Oct. 8,963,205 0 0 .. .. [[ Repayable at the option of the Government at par on or. after 15th April, 1946, on three months' notice. -May, 1949 .. . . .. . .. .. Option to repay £776,125 3§ per cent, and £11,707,980 4 per cent, securities maturing 15th Mav, 1952. 7,500,000 0 0 15 Dec., 1949 5 375,000 15 June and 15 Dec. .. 7,500,000 0 0 250,000 0 0 15 Dec., 1950 3| 8,750 15 June „ 15 Dec. 250,000 0 0 2,029,000 0 0 1 Feb.. 1951 5£ 111,595 1 Feb. „ 1 Aug. .. 1,250,000 0 0 779,000 Carried forward .. 125,529,054 15 7 .. .. 5,168,878 .. 52,214,582 16 0 72,434,871 19 7 ~879,600

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