THE PUBLIC DEBT OF NEW ZEALAND. TABLE I.—STATEMENT OF SECURITIES CHARGED ON THE PUBLIC REVENUES OF NEW ZEALAND AND OUTSTANDING ON 31st MARCH, 1938.
B.—l : PT. Ill] .
PUBLIC ACCOUNTS, 19 3 7-1 938.
1*
3
Annual Charge. Domicile of Principal. outstanding. Due Date ' °1 I Remarks. £ & Interest. When payable. New Zealand. London. Australia. . _ ___ ; New Zealand Loans Act, 1932: — £ s. d. % £ £ s. d. £ s. d. £ Debentures and Stock .. .. 1,615 0 0 Various. .. .. .. 1,615 0 0 .. .. Unpresented. 50 0 0 1 Feb., 1936 5J .. .. 50 0 0 .. .. Subject to conversion under New Zealand Debt Conversion Act. 600 0 0 1 Sept., 1937 33 1 Mar. and 1 Sept. 600 0 0 .. .. Subject, to conversion under New Zealand Debt Conversion Act. 250,000 0 0 15 May, 1938 3J 7,813 1.5 May „ 15 Nov. 250,000 0 0 10,000 0 0 15 Sept., 1938 5 500 15 Mar. „ 15 Sept. 10,000 0 0 2,810 0 0 15 Nov., 1938 3 84 15 May „ 15 Nov. 2,810 0 0 19,220 0 0 15 Nov., 1938 4J 865 15 May „ 15 Nov. 12,220 0 0 4,000 0 0 3,000 £2,700 subject to conversion under New Zealand Debt Conversion Act. 15 Nov., 1938 .. .. .. .. .. .. Option to repay £3,283,630 maturing 15th November, 1941. 2,900 0 0 20 April,1939 4J 130 20 Apriland20 Oct. 1,900 0 0 1,000 0 0 .. £300 subject to conversion under New Zealand Debt Conversion Act. 15 Julv, 1939 .. .. .. .. .. .. Option to repay £4,613,505 maturing 15th July, 1941. 17,176,532 0 0 1 Jan., 1940 3J 601,179 1 Jan. and 1 July 4,341 8 8 17,172,190 11 4 8,900 0 0 15 Jan., 1940 3f 333 15 Jan. „ 15 July 8,900 0 0 .. .. 15 Mar., 1940 .. .. .. .. .. .. Option to repay £13,670,835 3J per cent, and £7,335 4 per cent, securities maturing 15th March, 1943. 10,000 0 0 31 Mar., 1940 2£ 250 31 Mar. and 30 Sept. 10,000 0 0 500,000 0 0 15 Sept., 1940 3| 16,250 15 Mar. „ 15 Sept. 500,000 0 0 10 0 0 15 Dec., 1940 4} .. 15 June „ 15 Deo. 10 0 0 .. .. Subject to conversion under New Zealand Debt Conversion Act. 10,300 0 0| 1 July, 1941 4J 464 1 Jan. „ 1 July .. .. 10,300 4,613,505 0 0 1 15 July, 1941* 3 138,405 15 Jail. „ 15 July 4,613,505 0 0 .. .. *Repayable at the option of the Government at par on or after 15th July, 1939, on three months' notice. 7,000 0 0 1 Aug., 1941 4£ 315 1 Feb. „ 1 Aug. .. .. 7,000 3,283,630 0 0 15 Nov., 1941f 3f 123,136 15 May „ 15 Nov. 3,283,630 0 0 .. .. f Repayable at the option of the Government at par on or after 15th November, 1938, on three months' notice. 37,000 0 0 1 Mar., 1942 4 1,480 1 Mar. „ 1 Sept. 37,000 0 0 1 Feb., 1943 .. .. .. . . .. : .. Option to repay £10,884,628 maturing 1st February, 1963. 15 Feb., 1943 .. .. .. .. .. .. Option to repay £9,842,470 maturing 15th February, 1946. Carried forward .. 25,934,072 0 0 .. .. 891,237 .. 8,736,581 8 8 17,177,190 11 4- 20,300 ,|_ \-
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