SPH Notice – Commonwealth Bank of Australia
Disclosure of beginning to have substantial holding
Section 276, Financial Markets Conduct Act 2013
To NZX LIMITED
and
To SKY NETWORK TELEVISION LIMITED
Date this disclosure made: 03-Apr-2018
Date on which substantial holding began: 28-Mar-2018
Substantial product holder(s) giving disclosure
Full name(s): Commonwealth Bank of Australia
Summary of substantial holding
Class of quoted voting products: Ordinary shares
Summary for Commonwealth Bank of Australia
For this disclosure,—
(a) total number held in class: 19,664,249
(b) total in class: 389,139,785
(c) total percentage held in class: 5.053%
100080615/3821102.1 1
Details of relevant interests
Details for ASB Bank Limited ACN 398445
(a) Nature of relevant interest(s):
Relevant interest as a result of having the power to control the voting and disposal of the securities in its capacity as the provider of a discretionary investment management
service.
(b) number held in class: 989
(c) percentage held in class: 0.000%
Custodian Name
Custodian Total Holding
Custodian Total Holding(%)
Investment Custodial Services Limited
989
0.000%
Details for CBA Markets Limited ACN 003 485 952
(a) Nature of relevant interest(s):
Relevant interest arising as a result of having the power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose
securities in a proprietary capacity (including as a result of underwriting activities).
(b) number held in class: 477,460
(c) percentage held in class: 0.123%
Custodian Name
Custodian Total Holding
Custodian Total Holding(%)
Share Direct Nominees Pty Limited
477,460
0.123%
Details for Commonwealth Bank Officers Superannuation Corporation Pty Limited ACN 074 519 798
(a) Nature of relevant interest(s):
Relevant interest arising from having the power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of
securities in its capacity as trustee for the Officers' Superannuation Fund.
(b) number held in class: 1,903,640
(c) percentage held in class: 0.489%
Custodian Name
Custodian Total Holding
Custodian Total Holding(%)
Citicorp Nominees Pty Limited (Australia)
1,903,640
0.489%
Details for Colonial First State Asset Management (Australia) Limited ACN 114 194 311
(a) Nature of relevant interest(s):
Relevant interest arising from having the power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of
securities in its capacity as investment manager (as provided for under its investment mandates).
(b) number held in class: 7,547,085
(c) percentage held in class: 1.939%
Custodian Name
Custodian Total Holding
Custodian Total Holding(%)
Citibank N A Hong Kong
6,870,530
1.766%
Citicorp Nominees Pty Limited (New Zealand)
676,555
0.174%
Details for Colonial First State Investments Limited ACN 002 348 352
(a) Nature of relevant interest(s):
100080615/3821102.1 2
Relevant interest arising from having the power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of
securities in its capacity as a responsible entity of a managed investment scheme (which managed investment scheme is not managed by Colonial First State Investments
Limited or a related body corporate).
(b) number held in class: 6,012,565
(c) percentage held in class: 1.545%
Custodian Name
Custodian Total Holding
Custodian Total Holding(%)
Citibank N A Hong Kong
901,214
0.232%
Citicorp Nominees Pty Limited (Australia)
4,290,680
1.103%
UBS Nominees Pty Ltd
820,671
0.211%
Details for Realindex Investments Pty Limited ACN 133 312 017
(a) Nature of relevant interest(s):
Relevant interest arising from having the power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of
securities in its capacity as investment manager (as provided for under its investment mandates).
(b) number held in class: 3,722,510
(c) percentage held in class: 0.957%
Custodian Name
Custodian Total Holding
Custodian Total Holding(%)
Citibank N A Hong Kong
2,882,073
0.741%
HSBC Bank Australia Limited
634,385
0.163%
National Bank Nominees Pty Limited
206,052
0.053%
Grand Total
19,664,249
5.053%
Details of transactions and events giving rise to substantial holding
Details of transactions or other events requiring disclosure:
See Appendix A
Additional information
Address(es) of substantial product holder(s):
* ASB Bank Limited ACN 398445, Level 2, ASB North Wharf, 12 Jellicoe Street, Auckland, 1010 , New Zealand
* CBA Markets Limited ACN 003 485 952, Ground Floor Tower 1, 201 Sussex Street, Sydney, NSW, 2000, Australia
* Commonwealth Bank Officers Superannuation Corporation Pty Limited ACN 074 519 798, Level 11 Tower 1, 201 Sussex St Sydney NSW 2001
* Colonial First State Asset Management (Australia) Limited ACN 114 194 311, Ground Floor Tower 1, 201 Sussex Street, Sydney, NSW, 2000, Australia
* Colonial First State Investments Limited ACN 002 348 352, Ground Floor Tower 1, 201 Sussex Street, Sydney, NSW, 2000, Australia
* Realindex Investments Pty Limited ACN 133 312 017, Ground Floor Tower 1, 201 Sussex Street, Sydney, NSW, 2000, Australia
* Commonwealth Bank of Australia, Ground Floor Tower 1, 201 Sussex Street, Sydney, NSW, 2000, Australia
100080615/3821102.1 3
Contact details:
Anitha Subramanian, +61 (0) 457 529 297, AUSR_SM02041@cba.com.au
*Nature of connection between substantial product holders:
Commonwealth Bank of Australia is a related body corporate of
ASB Bank Limited ACN 398445
CBA Markets Limited ACN 003 485 952
Commonwealth Bank Officers Superannuation Corporation Pty Limited ACN 074 519 798
Colonial First State Asset Management (Australia) Limited ACN 114 194 311
Colonial First State Investments Limited ACN 002 348 352
Realindex Investments Pty Limited ACN 133 312 017
Name of any other person believed to have given, or believed to be required to give, a disclosure under the Financial Markets Conduct Act 2013 in relation to the financial products
to which this disclosure relates:
[not applicable]
Certification
I, Clare McManus, certify that, to the best of my knowledge and belief, the information contained in this disclosure is correct and that I am duly authorised to make this disclosure
by all persons for whom it is made.
100080615/3821102.1 4
Appendix A
Details of the transactions or other events requiring disclosure:
Date of Transaction
Registered Company
Nature of Change Class
Number of
Securities
Cash
Consideration
Currency
Tuesday, 28 November 2017
Citibank N A Hong Kong
Sale
Ordinary shares
17,819
40,181.85
AUD
Tuesday, 28 November 2017
Citibank N A Hong Kong
Sale
Ordinary shares
9,182
20,668.68
AUD
Wednesday, 29 November 2017
Citibank N A Hong Kong
Sale
Ordinary shares
3,956
8,903.37
AUD
Wednesday, 29 November 2017
Citibank N A Hong Kong
Sale
Ordinary shares
54,229
121,754.95
AUD
Wednesday, 29 November 2017
Citibank N A Hong Kong
Sale
Ordinary shares
5,044
11,324.79
AUD
Wednesday, 29 November 2017
Citibank N A Hong Kong
Sale
Ordinary shares
368
828.22
AUD
Thursday, 30 November 2017
Citibank N A Hong Kong
Sale
Ordinary shares
12,638
28,396.32
AUD
Thursday, 30 November 2017
Citibank N A Hong Kong
Sale
Ordinary shares
14,140
31,602.90
AUD
Thursday, 30 November 2017
Citibank N A Hong Kong
Sale
Ordinary shares
1,455
3,273.75
AUD
Thursday, 30 November 2017
Citibank N A Hong Kong
Purchase
Ordinary shares
175,845
437,678.21
NZD
Thursday, 30 November 2017
Citibank N A Hong Kong
Purchase
Ordinary shares
15,299
38,079.21
NZD
Friday, 1 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
24,515
60,552.05
NZD
Friday, 1 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
14,055
31,483.20
AUD
Friday, 1 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
2,649
5,933.76
AUD
Monday, 4 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
18,462
41,447.19
AUD
Tuesday, 5 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
7,280
16,198.00
AUD
Tuesday, 5 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
1,500
3,355.95
AUD
Tuesday, 5 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
904
2,011.40
AUD
Tuesday, 5 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
12,084
27,035.53
AUD
Wednesday, 6 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
23,728
52,676.16
AUD
Wednesday, 6 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
7,503
16,694.18
AUD
Wednesday, 6 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
1,245
2,770.13
AUD
Wednesday, 6 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
480
1,068.00
AUD
Wednesday, 6 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
1,517
3,367.74
AUD
Wednesday, 6 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
19,459
43,296.28
AUD
Thursday, 7 December 2017
UBS Nominees Pty Ltd
Borrow Decrease, UBS AG (Agreement
3), See Appendix B
Ordinary shares
16,101
N/A
AUD
Tuesday, 12 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
23,101
54,171.85
AUD
Tuesday, 12 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
825,366
1,935,483.27
AUD
Tuesday, 12 December 2017
National Bank Nominees
Pty Limited
Sale
Ordinary shares
65,534
153,677.23
AUD
Wednesday, 13 December 2017
Citibank N A Hong Kong
Purchase
Ordinary shares
5,873
15,680.91
NZD
Wednesday, 13 December 2017
Citicorp Nominees Pty
Limited (New Zealand)
Sale
Ordinary shares
5,873
15,680.91
NZD
Thursday, 14 December 2017
Citibank N A Hong Kong
Purchase
Ordinary shares
7,248
18,627.36
NZD
Thursday, 14 December 2017
Citicorp Nominees Pty
Limited (New Zealand)
Purchase
Ordinary shares
789
2,027.73
NZD
Friday, 15 December 2017
Citicorp Nominees Pty
Limited (New Zealand)
Purchase
Ordinary shares
14,530
38,619.29
NZD
Friday, 15 December 2017
Citibank N A Hong Kong
Purchase
Ordinary shares
129,836
345,091.10
NZD
Friday, 15 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
1,221
2,964.83
AUD
Friday, 15 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
21,503
52,213.58
AUD
Monday, 18 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
4,424
10,764.03
AUD
Monday, 18 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
4,424
10,764.03
AUD
Monday, 18 December 2017
Citicorp Nominees Pty
Limited (Australia)
Purchase
Ordinary shares
180,374
445,379.48
AUD
Monday, 18 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
68,366
166,341.31
AUD
Monday, 18 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
68,366
166,341.31
AUD
Tuesday, 19 December 2017
HSBC Bank Australia
Limited
Purchase
Ordinary shares
466,754
1,171,552.54
AUD
100080615/3821102.1 5
Tuesday, 19 December 2017
HSBC Bank Australia
Limited
Purchase
Ordinary shares
230,008
577,320.08
AUD
Tuesday, 19 December 2017
Citibank N A Hong Kong
Borrow Decrease,
Citigroup Global
Markets
Limited (Agreement 1), See
Appendix B
Ordinary shares
861
N/A
AUD
Tuesday, 19 December 2017
Citibank N A Hong Kong
Borrow Decrease, Citigroup Global
Markets Limited (Agreement 1), See
Appendix B
Ordinary shares
383
N/A
AUD
Wednesday, 20 December 2017
UBS Nominees Pty Ltd
Borrow Increase, UBS AG (Agreement 1),
See Appendix B
Ordinary shares
28,670
N/A
AUD
Wednesday, 20 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
3,802
9,566.21
AUD
Thursday, 21 December 2017
Citicorp Nominees Pty
Limited (New Zealand)
Sale
Ordinary shares
20,246
56,680.70
NZD
Thursday, 21 December 2017
UBS Nominees Pty Ltd
Borrow Increase, UBS AG (Agreement 3),
See
Appendix B
Ordinary shares
12,771
N/A
AUD
Thursday, 21 December 2017
Citibank N A Hong Kong
Borrow Decrease, Citigroup Global
Markets
Limited (Agreement 1), See
Appendix B
Ordinary shares
8,974
N/A
AUD
Tuesday, 26 December 2017
Share Direct Nominees Pty
Limited
Borrow Increase, Barclays Capital
Securities Ltd,
See Appendix B
Ordinary shares
35,628
N/A
NZD
Wednesday, 27 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
60,304
168,242.13
NZD
Wednesday, 27 December 2017
Share Direct Nominees Pty
Limited
Borrow Decrease, Barclays
Capital Securities Ltd, See
Appendix B
Ordinary shares
35,628
N/A
NZD
Friday, 29 December 2017
Citibank N A Hong Kong
Sale
Ordinary shares
9,153
25,709.86
NZD
Tuesday, 2 January 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Barclays Capital
Securities Ltd,
See Appendix B
Ordinary shares
43,262
N/A
NZD
Wednesday, 3 January 2018
Share Direct Nominees Pty
Limited
Borrow Decrease, Barclays
Capital
Securities Ltd, See
Appendix B
Ordinary shares
43,262
N/A
NZD
Friday, 5 January 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Barclays Capital
Securities Ltd,
See Appendix B
Ordinary shares
43,262
N/A
NZD
Monday, 8 January 2018
Share Direct Nominees Pty
Limited
Borrow Decrease,
Barclays
Capital Securities Ltd, See
Appendix B
Ordinary shares
43,262
N/A
NZD
Monday, 8 January 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Barclays Capital
Securities Ltd,
See Appendix B
Ordinary shares
12,662
N/A
NZD
Tuesday, 9 January 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Barclays Capital
Securities Ltd,
See Appendix B
Ordinary shares
87,456
N/A
NZD
Tuesday, 9 January 2018
Share Direct Nominees Pty
Limited
Borrow Decrease, Barclays
Capital Securities Ltd, See
Appendix B
Ordinary shares
12,662
N/A
NZD
Wednesday, 10 January 2018
Share Direct Nominees Pty
Limited
Borrow Decrease, Barclays
Capital Securities Ltd, See
Appendix B
Ordinary shares
87,456
N/A
NZD
Wednesday, 10 January 2018
Citibank N A Hong Kong
Purchase
Ordinary shares
327
835.63
AUD
Thursday, 11 January 2018
Citibank N A Hong Kong
Purchase
Ordinary shares
17,905
45,618.36
AUD
Thursday, 11 January 2018
Citibank N A Hong Kong
Purchase
Ordinary shares
1,031
2,645.10
AUD
Tuesday, 16 January 2018
UBS Nominees Pty Ltd
Borrow Decrease, UBS AG (Agreement
2), See Appendix B
Ordinary shares
13,077
N/A
AUD
Tuesday, 16 January 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Goldman
Sachs International, See
Appendix B
Ordinary shares
426,726
N/A
NZD
Wednesday, 17 January 2018
Share Direct Nominees Pty
Limited
Borrow Decrease, Goldman
Sachs International, See
Appendix B
Ordinary shares
426,726
N/A
NZD
Tuesday, 30 January 2018
Citibank N A Hong Kong
Purchase
Ordinary shares
31,119
79,474.81
AUD
Tuesday, 30 January 2018
Citibank N A Hong Kong
Purchase
Ordinary shares
17,438
49,000.78
NZD
Wednesday, 31 January 2018
Citibank N A Hong Kong
Purchase
Ordinary shares
161,282
461,976.16
NZD
Thursday, 1 February 2018
UBS Nominees Pty Ltd
Borrow Increase, UBS AG (Agreement 3),
See Appendix B
Ordinary shares
14,518
N/A
AUD
Wednesday, 7 February 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Barclays Capital
Securities Ltd,
See Appendix B
Ordinary shares
29,200
N/A
NZD
Thursday, 8 February 2018
Share Direct Nominees Pty
Limited
Borrow Decrease, Barclays
Capital Securities Ltd, See
Appendix B
Ordinary shares
29,200
N/A
NZD
100080615/3821102.1 6
Thursday, 8 February 2018
Citibank N A Hong Kong
Borrow Decrease, Citigroup
Global Markets Limited
(Agreement 1), See Appendix B
Ordinary shares
7,542
N/A
AUD
Friday, 9 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
10,807
28,244.09
AUD
Friday, 9 February 2018
Citibank N A Hong Kong
Sale
Ordinary shares
11,551
30,459.99
AUD
Friday, 9 February 2018
Citibank N A Hong Kong
Sale
Ordinary shares
174,516
460,198.69
AUD
Monday, 12 February 2018
Citibank N A Hong Kong
Borrow Decrease, Citigroup
Global Markets Limited
(Agreement 1), See Appendix B
Ordinary shares
775
N/A
AUD
Tuesday, 13 February 2018
Citibank N A Hong Kong
Purchase
Ordinary shares
13,291
34,503.44
AUD
Tuesday, 13 February 2018
UBS Nominees Pty Ltd
Borrow Increase, UBS AG
(Agreement 3), See Appendix B
Ordinary shares
9,177
N/A
AUD
Tuesday, 13 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
7,791
20,334.51
AUD
Tuesday, 13 February 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Barclays Capital
Securities Ltd,
See Appendix B
Ordinary shares
77,257
N/A
NZD
Wednesday, 14 February 2018
Share Direct Nominees Pty
Limited
Borrow Decrease,
Barclays Capital
Securities Ltd, See
Appendix B
Ordinary shares
77,257
N/A
NZD
Wednesday, 14 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
2,293
5,984.73
AUD
Wednesday, 14 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
12,839
33,381.40
AUD
Wednesday, 14 February 2018
UBS Nominees Pty Ltd
Borrow Decrease, UBS AG
(Agreement 1), See Appendix
B
Ordinary shares
16,440
N/A
AUD
Wednesday, 14 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
33,787
87,846.20
AUD
Thursday, 15 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
224
583.23
AUD
Friday, 16 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
15,900
41,340.00
AUD
Friday, 16 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
4,505
11,713.00
AUD
Friday, 16 February 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Barclays Capital
Securities Ltd,
See Appendix B
Ordinary shares
131,538
N/A
NZD
Monday, 19 February 2018
Share Direct Nominees Pty
Limited
Borrow Decrease,
Barclays Capital
Securities Ltd, See
Appendix B
Ordinary shares
131,538
N/A
NZD
Monday, 19 February 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Barclays Capital
Securities Ltd,
See Appendix B
Ordinary shares
100,977
N/A
NZD
Monday, 19 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
894
2,324.40
AUD
Monday, 19 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
4,825
12,545.00
AUD
Tuesday, 20 February 2018
Citibank N A Hong Kong
Borrow Decrease,
Citigroup
Global Markets Limited
(Agreement 1), See Appendix B
Ordinary shares
1,532
N/A
AUD
Tuesday, 20 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
3,958
10,290.80
AUD
Tuesday, 20 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
6,757
17,568.20
AUD
Tuesday, 20 February 2018
Share Direct Nominees Pty
Limited
Borrow Decrease,
Barclays Capital
Securities Ltd, See
Appendix B
Ordinary shares
100,977
N/A
NZD
Wednesday, 21 February 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Barclays Capital
Securities Ltd,
See Appendix B
Ordinary shares
151,009
N/A
NZD
Wednesday, 21 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
11,463
29,910.41
AUD
Wednesday, 21 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
1,572
4,114.08
AUD
Thursday, 22 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
18,301
47,778.42
AUD
Thursday, 22 February 2018
Share Direct Nominees Pty
Limited
Borrow Decrease,
Barclays Capital
Securities Ltd, See
Appendix B
Ordinary shares
151,009
N/A
NZD
Thursday, 22 February 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Barclays Capital
Securities Ltd,
See Appendix B
Ordinary shares
238,809
N/A
NZD
Friday, 23 February 2018
Share Direct Nominees Pty
Limited
Borrow Decrease,
Barclays Capital
Securities Ltd, See
Appendix B
Ordinary shares
238,809
N/A
NZD
Friday, 23 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
2,941
7,680.13
AUD
Monday, 26 February 2018
Citicorp Nominees Pty Limited
(Australia)
Sale
Ordinary shares
72,079
187,650.47
AUD
Monday, 26 February 2018
Citicorp Nominees Pty Limited
(New Zealand)
Sale
Ordinary shares
10,735
30,058.00
NZD
100080615/3821102.1 7
Monday, 26 February 2018
Citicorp Nominees Pty
Limited (Australia)
Sale
Ordinary shares
17,824
46,342.40
AUD
Tuesday, 27 February 2018
Citicorp Nominees Pty
Limited (Australia)
Sale
Ordinary shares
14,627
38,044.83
AUD
Tuesday, 27 February 2018
Citibank N A Hong Kong
Borrow Decrease, Citigroup Global
Markets Limited (Agreement 1), See
Appendix B
Ordinary shares
7,134
N/A
AUD
Wednesday, 28 February 2018
Citibank N A Hong Kong
Purchase
Ordinary shares
9,971
25,226.63
NZD
Friday, 2 March 2018
Citibank N A Hong Kong
Purchase
Ordinary shares
9,995
23,988.00
NZD
Friday, 2 March 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Barclays Capital
Securities Ltd,
See Appendix B
Ordinary shares
430,580
N/A
NZD
Monday, 5 March 2018
Share Direct Nominees Pty
Limited
Borrow Decrease,
Barclays
Capital
Securities Ltd, See
Appendix B
Ordinary shares
430,580
N/A
NZD
Monday, 5 March 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Barclays Capital
Securities Ltd,
See Appendix B
Ordinary shares
430,580
N/A
NZD
Tuesday, 6 March 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Barclays Capital
Securities Ltd,
See Appendix B
Ordinary shares
430,580
N/A
NZD
Tuesday, 6 March 2018
Share Direct Nominees Pty
Limited
Borrow Decrease, Barclays
Capital Securities Ltd, See
Appendix B
Ordinary shares
430,580
N/A
NZD
Wednesday, 7 March 2018
Share Direct Nominees Pty
Limited
Borrow Decrease, Barclays
Capital Securities Ltd, See
Appendix B
Ordinary shares
430,580
N/A
NZD
Wednesday, 7 March 2018
Citibank N A Hong Kong
Purchase
Ordinary shares
13,227
30,422.10
NZD
Wednesday, 14 March 2018
UBS Nominees Pty Ltd
Borrow Increase, UBS AG (Agreement
3), See Appendix B
Ordinary shares
30,456
N/A
AUD
Thursday, 15 March 2018
UBS Nominees Pty Ltd
Borrow Increase, UBS AG (Agreement
1), See Appendix B
Ordinary shares
25,033
N/A
AUD
Thursday, 15 March 2018
Citicorp Nominees Pty
Limited (Australia)
Purchase
Ordinary shares
11,303
24,111.34
NZD
Thursday, 15 March 2018
Citicorp Nominees Pty
Limited (Australia)
Purchase
Ordinary shares
37,089
78,938.97
NZD
Friday, 16 March 2018
UBS Nominees Pty Ltd
Borrow Decrease, UBS AG
(Agreement 2), See Appendix B
Ordinary shares
60,642
N/A
AUD
Friday, 16 March 2018
Citicorp Nominees Pty
Limited (New Zealand)
Sale
Ordinary shares
2,298
5,262.42
NZD
Friday, 16 March 2018
Citibank N A Hong Kong
Purchase
Ordinary shares
23,288
53,329.52
NZD
Monday, 19 March 2018
Citicorp Nominees Pty
Limited (Australia)
Sale
Ordinary shares
48,392
111,575.61
NZD
Tuesday, 20 March 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Goldman
Sachs International, See
Appendix B
Ordinary shares
193,057
N/A
NZD
Wednesday, 21 March 2018
Share Direct Nominees Pty
Limited
Borrow Decrease, Goldman
Sachs International, See
Appendix B
Ordinary shares
193,057
N/A
NZD
Wednesday, 21 March 2018
HSBC Bank Australia
Limited
Sale
Ordinary shares
39,547
88,332.18
AUD
Thursday, 22 March 2018
HSBC Bank Australia
Limited
Sale
Ordinary shares
19,106
42,415.32
AUD
Thursday, 22 March 2018
HSBC Bank Australia
Limited
Sale
Ordinary shares
18,386
40,816.92
AUD
Thursday, 22 March 2018
National Bank Nominees
Pty Limited
Sale
Ordinary shares
16,408
36,425.76
AUD
Thursday, 22 March 2018
Citibank N A Hong Kong
Sale
Ordinary shares
232,148
515,600.71
AUD
Thursday, 22 March 2018
Citibank N A Hong Kong
Sale
Ordinary shares
5,815
12,909.30
AUD
Monday, 26 March 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Citigroup Global
Markets
Limited (Agreement 13),
See Appendix B
Ordinary shares
261,438
N/A
NZD
Tuesday, 27 March 2018
Share Direct Nominees Pty
Limited
Borrow Decrease, Citigroup Global
Markets Limited (Agreement 13),
See Appendix B
Ordinary shares
261,438
N/A
NZD
Tuesday, 27 March 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Goldman
Sachs International, See
Appendix B
Ordinary shares
146,354
N/A
NZD
Tuesday, 27 March 2018
Citicorp Nominees Pty
Limited (New Zealand)
Sale
Ordinary shares
24,234
58,646.28
NZD
Tuesday, 27 March 2018
HSBC Bank Australia
Limited
Purchase
Ordinary shares
18,891
43,037.48
AUD
Wednesday, 28 March 2018
HSBC Bank Australia
Limited
Sale
Ordinary shares
4,229
8,945.60
AUD
Wednesday, 28 March 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Barclays Capital
Securities Ltd,
See Appendix B
Ordinary shares
213,748
N/A
NZD
Wednesday, 28 March 2018
Share Direct Nominees Pty
Limited
Borrow Increase, Goldman
Sachs International, See
Appendix B
Ordinary shares
263,712
N/A
NZD
100080615/3821102.1 8
Wednesday, 28 March 2018
Share Direct Nominees Pty
Limited
Borrow Decrease,
Goldman Sachs
International, See
Appendix B
Ordinary shares
146,354
N/A
NZD
100080615/3821102.1 9
Appendix B
Type of agreement: Global Master Securities Lending Agreement
Parties to agreement:
(1) Commonwealth Bank of Australia and (2)
Barclays Capital Securities Ltd
Can the parties exercise voting rights attaching to the securities? No
If yes, in what circumstances? N/A
Date on which the securities were (or are) expected to be delivered to the
borrower or its nominee (ie borrow date):
The dates indicated in Annexure B on which
securities were borrowed.
Scheduled date (if any) when the securities are expected to be returned to the
borrower or its nominee (ie return date):
Any particular day.
Does the borrower have the right to return the securities early? [Yes/No] Yes
If yes, in which circumstances? At any time subject to giving notice.
Does the lender have the right to recall the securities early (ie before the
scheduled return date)? [Yes/No]
Yes
If yes, in which circumstances? At any time subject to giving notice.
Are there circumstances in which the borrower will not be required to return the
securities on settlement? [Yes/No]
No
If yes, in which circumstances? N/A
Type of agreement: Australian Master Securities Lending Agreement
Parties to agreement:
(1) Citigroup Global Markets Limited; and (2)
Colonial First State Investments Limited
Can the parties exercise voting rights attaching to the securities? No
If yes, in what circumstances? N/A
Date on which the securities were (or are) expected to be delivered to the
borrower or its nominee (ie borrow date):
The dates indicated in Annexure B on which
securities were borrowed.
Scheduled date (if any) when the securities are expected to be returned to the
borrower or its nominee (ie return date):
Any particular day.
Does the borrower have the right to return the securities early? [Yes/No] Yes
If yes, in which circumstances? At any time subject to giving notice.
Does the lender have the right to recall the securities early (ie before the
scheduled return date)? [Yes/No]
Yes
If yes, in which circumstances? At any time subject to giving notice.
Are there circumstances in which the borrower will not be required to return the
securities on settlement? [Yes/No]
No
If yes, in which circumstances? N/A
Type of agreement: Global Master Securities Lending Agreement
Parties to agreement:
(1) Commonwealth Bank of Australia and (2)
Citigroup Global Markets Limited
Can the parties exercise voting rights attaching to the securities? No
If yes, in what circumstances? N/A
Date on which the securities were (or are) expected to be delivered to the
borrower or its nominee (ie borrow date):
The dates indicated in Annexure B on which
securities were borrowed.
Scheduled date (if any) when the securities are expected to be returned to the
borrower or its nominee (ie return date):
Any particular day.
Does the borrower have the right to return the securities early? [Yes/No] Yes
If yes, in which circumstances? At any time subject to giving notice.
Does the lender have the right to recall the securities early (ie before the
scheduled return date)? [Yes/No]
Yes
If yes, in which circumstances? At any time subject to giving notice.
Are there circumstances in which the borrower will not be required to return the
securities on settlement? [Yes/No]
No
If yes, in which circumstances? N/A
Type of agreement: Global Master Securities Lending Agreement
Parties to agreement:
(1) Commonwealth Bank of Australia and (2)
Goldman Sachs International
Can the parties exercise voting rights attaching to the securities? No
If yes, in what circumstances? N/A
Date on which the securities were (or are) expected to be delivered to the
borrower or its nominee (ie borrow date):
The dates indicated in Annexure B on which
securities were borrowed.
Scheduled date (if any) when the securities are expected to be returned to the
borrower or its nominee (ie return date):
Any particular day.
Does the borrower have the right to return the securities early? [Yes/No] Yes
If yes, in which circumstances? At any time subject to giving notice.
Goldman Sachs International
Citigroup Global Markets Limited (Agreement 13)
Citigroup Global Markets Limited (Agreement 1)
Barclays Capital Securities Ltd
100080615/3821102.1 10
Does the lender have the right to recall the securities early (ie before the
scheduled return date)? [Yes/No]
Yes
If yes, in which circumstances? At any time subject to giving notice.
Are there circumstances in which the borrower will not be required to return the
securities on settlement? [Yes/No]
No
If yes, in which circumstances? N/A
Type of agreement: Australian Master Securities Lending Agreement
Parties to agreement:
(1) UBS AG; and (2) Colonial First State
Investments Limited
Can the parties exercise voting rights attaching to the securities? No
If yes, in what circumstances? N/A
Date on which the securities were (or are) expected to be delivered to the
borrower or its nominee (ie borrow date):
The dates indicated in Annexure B on which
securities were borrowed.
Scheduled date (if any) when the securities are expected to be returned to the
borrower or its nominee (ie return date):
Any particular day.
Does the borrower have the right to return the securities early? [Yes/No] Yes
If yes, in which circumstances? At any time subject to giving notice.
Does the lender have the right to recall the securities early (ie before the
scheduled return date)? [Yes/No]
Yes
If yes, in which circumstances? At any time subject to giving notice.
Are there circumstances in which the borrower will not be required to return the
securities on settlement? [Yes/No]
No
If yes, in which circumstances? N/A
Type of agreement: Australian Master Securities Lending Agreement
Parties to agreement:
(1) UBS AG; and (2) Colonial First State
Investments Limited
Can the parties exercise voting rights attaching to the securities? No
If yes, in what circumstances? N/A
Date on which the securities were (or are) expected to be delivered to the
borrower or its nominee (ie borrow date):
The dates indicated in Annexure B on which
securities were borrowed.
Scheduled date (if any) when the securities are expected to be returned to the
borrower or its nominee (ie return date):
Any particular day.
Does the borrower have the right to return the securities early? [Yes/No] Yes
If yes, in which circumstances? At any time subject to giving notice.
Does the lender have the right to recall the securities early (ie before the
scheduled return date)? [Yes/No]
Yes
If yes, in which circumstances? At any time subject to giving notice.
Are there circumstances in which the borrower will not be required to return the
securities on settlement? [Yes/No]
No
If yes, in which circumstances? N/A
Type of agreement: Australian Master Securities Lending Agreement
Parties to agreement:
(1) UBS AG; and (2) Colonial First State
Investments Limited
Can the parties exercise voting rights attaching to the securities? No
If yes, in what circumstances? N/A
Date on which the securities were (or are) expected to be delivered to the
borrower or its nominee (ie borrow date):
The dates indicated in Annexure B on which
securities were borrowed.
Scheduled date (if any) when the securities are expected to be returned to the
borrower or its nominee (ie return date):
Any particular day.
Does the borrower have the right to return the securities early? [Yes/No] Yes
If yes, in which circumstances? At any time subject to giving notice.
Does the lender have the right to recall the securities early (ie before the
scheduled return date)? [Yes/No]
Yes
If yes, in which circumstances? At any time subject to giving notice.
Are there circumstances in which the borrower will not be required to return the
securities on settlement? [Yes/No]
No
If yes, in which circumstances? N/A
UBS AG (Agreement 3)
UBS AG (Agreement 2)
UBS AG (Agreement 1)
100080615/3821102.1 11
Data sourced from publicly available filings. Our datasets may not be complete. Automated analysis can produce errors. If you believe any data on this page is incorrect, please contact us at hello@nzxplorer.co.nz. For informational purposes only. Not investment advice.
Other issuers discussed similar conditions around this time
Matched by meaning across NZX announcement text, not keywords — based on our semantic index of announcement bodies.
- SKC — SkyCity Entertainment Group Limited: SPH Notice – Sumitomo Mitsui Trust Holdings2018-05-11
“100080615/3821102.1 1 Disclosure of beginning to have substantial holding Section 276, Financial Markets Conduct Act 2013 Note: This form must be completed in accordance with the instructions at the end of the form. To NZX And To SKY City Entertainment Date this dis…”
- KMD — KMD Brands Limited: SPH Notice – Commonwealth Bank of Australia2018-05-01
“Disclosure of beginning to have substantial holding Section 276, Financial Markets Conduct Act 2013 To NZX LIMITED and To KATHMANDU HOLDINGS LIMITED Date this disclosure made: 30-Apr-2018 Date on which substantial holding began: 26-Apr-2018 Substantial product…”
- KMD — KMD Brands Limited: SPH Notice – Commonwealth Bank of Australia2018-04-24
“100080615/3821102.1 1 Disclosure of beginning to have substantial holding Section 276, Financial Markets Conduct Act 2013 To NZX LIMITED and To KATHMANDU HOLDINGS LIMITED Date this disclosure made: 23-Apr-2018 Date on which substantial holding began: 20-Apr-201…”