Performance of XTBs and Underlying bonds to 30 June 2018. For any XTBs created after 30 June 2018, please contact us for performance.
AGL: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMAGL |
5.00% 05 NOV 21 |
3.89% |
– |
4.07% |
Underlying bond |
|
4.34% |
– |
4.53% |
Alumina: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMAWC |
5.50% 19 NOV 19 |
3.87% |
– |
6.48% |
Underlying bond |
|
4.29% |
– |
6.96% |
AMP Bank: Floating-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMF01 |
BBSW+0.87% 06 JUN 18 |
2.00%* |
– |
2.47%* |
Underlying bond |
|
2.19%* |
– |
2.68%* |
ANZ: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMANZ |
3.25% 03 JUN 20 |
2.41% |
– |
2.42% |
Underlying bond |
|
2.84% |
– |
2.85% |
ANZ: Floating-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMF07 |
BBSW+0.82% 17 APR 20 |
2.35% |
– |
2.82% |
Underlying bond |
|
2.57% |
– |
3.04% |
APA Group: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMAPA |
7.75% 22 JUL 20 |
3.20% |
– |
3.99% |
Underlying bond |
|
3.59% |
– |
4.40% |
YTMAP1 |
3.75% 20 OCT 23 |
1.45%** |
– |
1.45%** |
Underlying bond |
|
1.70%** |
– |
1.70%** |
Aurizon: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMAZJ |
5.75% 28 OCT 20 |
3.36% |
– |
4.41% |
Underlying bond |
|
3.77% |
– |
4.86% |
Ausnet: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMAST |
5.75% 28 JUN 22 |
4.67% |
– |
4.67% |
Underlying bond |
|
5.12% |
– |
5.14% |
YTMAS2 |
4.40% 16 AUG 27 |
Created post 30 Jun |
– |
Created post 30 Jun |
Underlying bond |
|
– |
– |
– |
Bank of Queensland: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMBOQ |
4.00% 12 JUN 18 |
1.92%* |
– |
2.73%* |
Underlying bond |
|
2.30%* |
– |
3.15%* |
Bank of Queensland: Floating-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMF02 |
BBSW+1.15% 07 NOV 16 |
Matured in 2016 |
– |
2.71% |
Underlying bond |
|
Matured in 2016 |
– |
2.50% |
YTMF03 |
BBSW+1.00% 12 JUN 18 |
2.15%* |
– |
2.67%* |
Underlying bond |
|
2.35%* |
– |
2.88%* |
YTMF08 |
BBSW+1.07% 06 NOV 19 |
2.73% |
– |
2.94% |
Underlying bond |
|
2.94% |
– |
3.16% |
BHP Group: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMBHP |
3.75% 18 OCT 17 |
0.07%* |
– |
2.51%* |
Underlying bond |
|
0.08%* |
– |
2.92%* |
YTMBH1 |
3.00% 30 MAR 20 |
2.74% |
– |
3.46% |
Underlying bond |
|
3.17% |
– |
3.92% |
Caltex: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMCTX |
7.25% 23 NOV 18 |
2.38% |
– |
2.99% |
Underlying bond |
|
2.77% |
– |
3.39% |
Coca Cola Amatil: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMCCA |
4.25% 13 NOV 19 |
2.49% |
– |
3.28% |
Underlying bond |
|
2.90% |
– |
3.71% |
Crown Group: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMCWN |
5.75% 18 JUL 17 |
0.08%* |
– |
3.07%* |
Underlying bond |
|
0.10%* |
– |
3.48%* |
Dexus: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMDXS |
5.75% 10 SEP 18 |
2.10% |
– |
3.22% |
Underlying bond |
|
2.50% |
– |
3.63% |
YTMDX1 |
4.75% 05 NOV 25 |
4.05% |
– |
2.95% |
Underlying bond |
|
4.57% |
– |
3.43% |
YTMDX2 |
4.25% 11 MAY 27 |
Created post 30 Jun |
– |
Created post 30 Jun |
Underlying bond |
|
– |
– |
– |
Downer Group: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMDOW |
5.75% 29 NOV 18 |
2.61% |
– |
3.75% |
Underlying bond |
|
3.01% |
– |
4.17% |
YTMDO1 |
4.50% 11 MAR 22 |
4.73% |
– |
6.07% |
Underlying bond |
|
5.21% |
– |
6.60% |
GPT Group: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMGPT |
6.75% 24 JAN 19 |
2.23% |
– |
3.14% |
Underlying bond |
|
2.63% |
– |
3.54% |
YTMGP1 |
3.66% 24 AUG 26 |
1.70** |
– |
1.70%** |
Underlying bond |
|
1.98%** |
– |
1.98%** |
Incitec Pivot: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMIPL |
5.75% 21 FEB 19 |
3.04% |
– |
3.91% |
Underlying bond |
|
3.45% |
– |
4.34% |
Lend Lease Group: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMLLC |
5.50% 13 NOV 18 |
2.45% |
– |
3.59% |
Underlying bond |
|
2.85% |
– |
4.02% |
YTMLL1 |
6.00% 13 MAY 20 |
3.53% |
– |
4.42% |
Underlying bond |
|
3.95% |
– |
4.86% |
Macquarie Bank: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMMQG |
3.25% 03 MAR 20 |
2.69% |
– |
2.78% |
Underlying bond |
|
3.12% |
– |
3.21% |
Macquarie Bank: Floating-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMF09 |
BBSW+1.10% 03 MAR 20 |
2.71% |
– |
3.06% |
Underlying bond |
|
2.92% |
– |
3.28% |
Mirvac Group: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMMGR |
5.75% 18 SEP 20 |
3.59% |
– |
4.08% |
Underlying bond |
|
4.01% |
– |
4.52% |
YTMMG1 |
5.55% 18 DEC 17 |
1.01%* |
– |
2.88%* |
Underlying bond |
|
1.20%* |
– |
3.29%* |
YTMMG2 |
3.50% 18 SEP 23 |
1.49%** |
– |
1.49%** |
Underlying bond |
|
1.75%** |
– |
1.75%** |
NAB Group: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMNAB |
4.25% 20 MAY 19 |
2.03% |
– |
2.97% |
Underlying bond |
|
2.43% |
– |
3.39% |
YTMNA1 |
4.00% 16 DEC 21 |
3.13% |
– |
2.64% |
Underlying bond |
|
3.57% |
– |
3.07% |
NAB Group: Floating-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMF04 |
BBSW+0.88% 08 NOV 18 |
1.93% |
– |
2.47% |
Underlying bond |
|
2.14% |
– |
2.68% |
YTMF05 |
BBSW+0.85% 20 MAY 19 |
2.09% |
– |
2.63% |
Underlying bond |
|
2.29% |
– |
2.85% |
YTMF10 |
BBSW+0.80% 03 JUN 20 |
2.37% |
– |
2.77% |
Underlying bond |
|
2.58% |
– |
2.99% |
Qantas: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMQF1 |
6.50% 27 APR 20 |
3.77% |
– |
5.46% |
Underlying bond |
|
4.19% |
– |
5.92% |
YTMQF2 |
7.50% 11 JUN 21 |
4.75% |
– |
6.85% |
Underlying bond |
|
5.17% |
– |
7.34% |
YTMQF3 |
7.75% 19 MAY 22 |
4.78% |
– |
7.36% |
Underlying bond |
|
5.21% |
– |
7.87% |
Scentre Group: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMSCG |
5.00% 23 OCT 19 |
2.51% |
– |
3.49% |
Underlying bond |
|
2.92% |
– |
3.93% |
Stockland: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMSGP |
5.50% 06 SEP 19 |
2.46% |
– |
3.55% |
Underlying bond |
|
2.86% |
– |
3.98% |
YTMSG1 |
8.25% 25 NOV 20 |
2.88% |
– |
4.09% |
Underlying bond |
|
3.26% |
– |
4.50% |
YTMSG2 |
4.50% 23 NOV 22 |
1.67%** |
– |
1.67%** |
Underlying bond |
|
1.91%** |
– |
1.91%** |
Suncorp: Floating-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMF06 |
BBSW+1.10% 23 APR 19 |
2.70% |
– |
2.86% |
Underlying bond |
|
2.91% |
– |
3.08% |
Sydney Airport: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMSYD |
7.75% 06 JUL 18 |
2.01% |
– |
2.98% |
Underlying bond |
|
2.40% |
– |
3.38% |
Telstra: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMTLS |
7.75% 15 JUL 20 |
2.46% |
– |
3.18% |
Underlying bond |
|
2.84% |
– |
3.57% |
YTMTL1 |
4.00% 16 SEP 22 |
2.77% |
– |
2.07% |
Underlying bond |
|
3.22% |
– |
2.50% |
YTMTL2 |
4.00% 19 APR 27 |
Created post 30 Jun |
– |
Created post 30 Jun |
Underlying bond |
|
– |
– |
– |
Transurban: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMTCL |
4.75% 08 DEC 21 |
3.83% |
– |
3.44% |
Underlying bond |
|
4.28% |
– |
3.88% |
Vicinity Centres: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMVCX |
3.50% 26 APR 24 |
Created post 30 Jun |
– |
Created post 30 Jun |
Underlying bond |
|
– |
– |
– |
YTMVC1 |
4.00% 26 APR 27 |
Created post 30 Jun |
– |
Created post 30 Jun |
Underlying bond |
|
– |
– |
– |
Wesfarmers: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMWES |
6.25% 28 MAR 19 |
2.40% |
– |
2.92% |
Underlying bond |
|
2.80% |
– |
3.33% |
YTMWE1 |
4.75% 12 MAR 20 |
2.78% |
– |
3.35% |
Underlying bond |
|
3.19% |
– |
3.78% |
Westpac Group: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMWBC |
3.25% 22 JAN 20 |
2.27% |
– |
2.37% |
Underlying bond |
|
2.69% |
– |
2.79% |
YTMWB1 |
3.50% 28 JUL 20 |
2.66% |
– |
2.57% |
Underlying bond |
|
3.09% |
– |
3.00% |
Westpac Group: Floating-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMF11 |
BBSW+0.90% 28 JUL 20 |
2.39% |
– |
2.80% |
Underlying bond |
|
2.60% |
– |
3.02% |
Woolworths: Fixed-Rate XTBs
ASX Code |
Bond |
1 Year (%) p.a. |
5 Year (%) p.a. |
Since Inception (%) p.a. |
YTMWOW |
6.00% 21 MAR 19 |
2.34% |
– |
3.01% |
Underlying bond |
|
2.74% |
– |
3.42% |
* The XTB and the Underlying Bond matured prior to 30 June, the performance figure quoted for the final term from 1 July to the maturity date is an absolute return amount and not an annualised return.
** The XTB was first issued after 1 July in the previous financial year, the performance figures quoted are an absolute return amount and not an annualised return.
Disclaimer
All XTB performance calculations are based on the mid-price for the Underlying Bond, adjusted for the impact of the Securities Manager’s Margin (XTB Fees). Performance is calculated in the period from 1 July to 30 June, unless otherwise stated. Past Performance is no guarantee of future performance. The information contained on this webpage is general in nature. It should not be the sole source of information when making an investment decision. It does not take into account the investment objectives or circumstances of any particular investor. You should consider, with or without advice from a professional adviser, whether an investment is appropriate to your circumstances