93DC: Westpac Banking.: FRN Variable Rate Fix

  93DC: Westpac Banking.: FRN Variable Rate Fix

UK Regulatory Announcement

LONDON

As Agent Bank, please be advised of the following rate determined on:
06/12/2012
Issue                ¦ Westpac Banking Corporation - Series 839 USD140,000,000
                     FRN due 10 September 2014
                     
ISIN Number          ¦ XS0450788251
ISIN Reference       ¦ 45078825
Issue Nomin USD      ¦ 140000000
Period               ¦ 10/12/2012 to 11/03/2013               Payment Date
                                                               11/03/2013
Number of Days       ¦ 91
Rate                 ¦ 0.5905
Denomination USD     ¦ 100000                  ¦ 140000000              ¦
                                                
Amount Payable per   ¦ 149.27                   ¦ 208971.39               ¦
Denomination

Contact:

Westpac Banking.