HLG Distribution Notice for the year ending 1 August 2019
Distribution Notice
Section 1: Issuer information
Name of issuer Hallenstein Glasson Holdings Limited
Financial product name/description Ordinary Shares
NZX ticker code HLG
ISIN (If unknown, check on NZX
website)
NZHLGE 0001S4
Type of distribution
(Please mark with an X in the
relevant box/es)
Full Year X Quarterly
Half Year Special
DRP applies
Record date 10/12/2019
Ex-Date (one business day before the
Record Date)
09/12/2019
Payment date (and allotment date for
DRP)
17/12/2019
Total monies associated with the
distribution
1
$14,315,775 based on the number of units on issue at
the date of the form
Source of distribution (for example,
retained earnings)
Retained Earnings
Currency NZD
Section 2: Distribution amounts per financial product
Gross distribution
2
$0.33333333
Total cash distribution
3
$0.24000000
Excluded amount (applicable to listed
PIEs)
$nil
Supplementary distribution amount $0.04235299
Section 3: Imputation credits and Resident Withholding Tax
4
Is the distribution imputed Fully imputed
If fully or partially imputed, please
state imputation rate as % applied
28%
1
Continuous issuers should indicate that this is based on the number of units on issue at the date of the form
2
“Gross distribution” is the total cash distribution plus the amount of imputation credits, per financial product, before the deduction of
Resident Withholding Tax (RWT).
3
“Total cash distribution” is the cash distribution excluding imputation credits, per financial product, before the deduction of RWT.
This should include any excluded amounts, where applicable to listed PIEs.
4
The imputation credits plus the RWT amount is 33% of the gross distribution for the purposes of this form. If the distribution is fully
imputed the imputation credits will be 28% of the gross distribution with remaining 5% being RWT. This does not constitute advice
as to whether or not RWT needs to be withheld.
Imputation tax credits per financial
product
$0.09333333
Resident Withholding Tax per
financial product
$0.01666667
Section 4: Distribution re-investment plan (if applicable)
DRP % discount (if any)
N/A
Start date and end date for
determining market price for DRP
Date strike price to be announced (if
not available at this time)
Specify source of financial products to
be issued under DRP programme
(new issue or to be bought on market)
DRP strike price per financial product
Last date to submit a participation
notice for this distribution in
accordance with DRP participation
terms
Section 5: Authority for this announcement
Name of person
authorised to make
this announcement
Stuart Duncan
Contact person for this
announcement
Stuart Duncan
Contact phone number +64 21 528 184
Contact email address stuartd@glassons.com
Date of release through MAP
27/09/2019
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.
- HGH — Heartland Group Holdings Limited: Heartland announces full year profit of $73.6 million2019-08-14
“Distribution Notice Updated as at 8 May 2019 Section 1: Issuer information Name of issuer Heartland Group Holdings Limited Financial product name/description Ordinary Shares NZX ticker code HGH ISIN (If unknown, check on NZX website) NZHGHE0007S9 Type of distr…”
- MOV — MOVE Logistics Group Limited: TLL FY19 Results Announcement2019-08-22
“Distribution Notice Section 1: Issuer information Name of issuer TIL Logistics Group Limited Financial product name/description Ordinary Shares NZX ticker code TLL ISIN (If unknown, check on NZX website) NZMOWE0001S5 Type of distribution (Please mark with a…”
- PGW — PGG Wrightson Limited: FY2019 a transformation year for PGG Wrightson2019-08-12
“Template Distribution Notice Updated as at 8 May 2019 Please note: all cash amounts in this form should be provided to 8 decimal places Section 1: Issuer information Name of issuer PGG Wrightson Limited Financial product name/description Ordinary shares NZX ticker c…”