Vista Group International Limited logo

SPH Notice – Investment Services Group Limited

Substantial Holder Notice20 June 2018VGLInformation Technology

100080615/3821102.1
1

Disclosure of movement of 1% or more in substantial holding or change

in nature of relevant interest, or both

Sections 277 and 278, 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 Vista Group International Limited

Relevant event being disclosed:

Date of relevant event: 19/06/2018

Date this disclosure made: 20/06/2018

Date last disclosure made: 03/04/2017

Substantial product holder(s) giving disclosure

Full name(s): Investment Services Group Limited

Summary of substantial holding

Class of quoted voting products: Ordinary Shares

Summary for Investment Services Group Limited

For this disclosure,—

(a) total number held in class: 19,898,519

(b) total in class: 165,535,886

(c) total percentage held in class: 12.02%

For last disclosure,—

(a) total number held in class: 10,679,495


(b) total in class: 81,940,293


(c) total percentage held in class: 13.03%

Details of relevant interests

Devon Funds Management Limited is a subsidiary of Investment Services Group Limited

Details for Devon Funds Management Limited

Nature of relevant interest(s): Related party of Investment Services Group Limited



100080615/3821102.1

2

For this disclosure,—

(a) total number held in class: 19,552,519


(b) total in class: 165,535,886


(c) total percentage held in class: 11.81%

Units Custodian

2,808,056 Citi, on behalf of private client

417,360 JPM, on behalf of private client

735,536 BNP, on behalf of private client

1,250,743 BNP, on behalf of Devon Trans Tasman Fund

1,982,001 BNP, on behalf of private client

1,119,945 IIS, on behalf of private client

945,831 JPM, on behalf of private client

440,656 JPM, on behalf of private client

785,208 MMC, on behalf of private client

1,141,935 BNP, on behalf of private client

137,555 BNP, on behalf of private client

146,176 BNP, on behalf of private client

817,220 BNP, on behalf of private client

1,645,475 BNP, on behalf of private client

2,196,859 Northern Trust, on behalf of private client

468,911 Citi, on behalf of private client

235,030 BNP, on behalf of Devon Australian Fund

2,278022 BNP, on behalf of Devon Alpha Fund



Details for Clarity Funds Management Limited

Nature of relevant interest(s): Investment manager of various funds

For this disclosure,—

(a) total number held in class: 346,000


(b) total in class: 165,353,886


(c) total percentage held in class: 0.21%


Units Custodian

346,000 BNP, on behalf of Clarity Trans-Tasman Fund



100080615/3821102.1

3


For a derivative relevant interest, also—

(a) type of derivative: N/A

(b) details of derivative: N/A

(c) parties to the derivative: N/A

(d) if the substantial product holder is not a party to the derivative, the nature of the

relevant interest in the derivative: N/A

Details of transactions and events giving rise to substantial holding

Details of the transactions or other events requiring disclosure: Transactions between

01/02/2018 – 20/06/2018

Date Transaction Volume Amount

23/02/2018 Purchase


689,964


1,759,408.20

09/03/2018 Sale


100,000


274,175.00

19/03/2018 Sale


1,134,831


3,256,964.97

10/04/2018 Sale


50,000


144,565.00

19/04/2018 Sale


150,000


433,695.00

1/05/2018 Sale


171,624


514,872.00

4/05/2018 Purchase


427,510 1,383,046.38

8/05/2018 Sale


550,000


1,840,657.49

15/06/2018 Sale


150,000


583,314.79

18/06/2018 Sale


500,000


1,944,150.00

19/06/2018 Sale


30,000


116,649.00


Additional information

Address(es) of substantial product holder(s): Investment Services Group

Management, Level 10, 2 Commerce Street, Auckland 1010

Contact details: Chris Knight | P: +64 9 925 3978 | E: cknight@devonfunds.co.nz

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: Investment Services Group Limited



100080615/3821102.1

4

Certification

I, Chris Knight, 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.

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.