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SPH Notice – Harbour Asset Management & Jarden

Substantial Holder Notice23 December 2019VGLInformation Technology

041898866/4160982.2
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

To NZX Limited

and

To Vista Group International Limited (VGL)

Relevant event being disclosed:

Disclosure of movement of 1% or more in

substantial holding

Date of relevant event: 19 December 2019

Date this disclosure made: 23 December 2019

Date last disclosure made: 12 September 2019


Substantial product holder(s) giving disclosure

Full name(s):

Harbour Asset Management Limited and Jarden

Securities Limited (previously named First NZ

Capital Securities Limited)


Summary of substantial holding

Class of quoted voting products:

Ordinary shares (Shares)

Summary for: Harbour Asset Management Limited

Jarden Securities Limited (previously named First

NZ Capital Securities Limited)

For this

disclosure -

(a) total number held in

class:

19,269,453

(b) total in class: 166,397,590

(c) total percentage held

in class:

11.580%

For last

disclosure -

(a) total number held in

class:

17,557,767

(b) total in class: 166,354,505


(c) total percentage held

in class:

10.554%



041898866/4160982.2

Details of transactions and events giving rise to relevant event:

Details of the transactions or other events requiring disclosure:

The transactions/events giving rise to this disclosure obligation are:

• following a review of the substantial product holder disclosure methodologies and practices for Jarden Partners Limited and its related

bodies corporate, this disclosure now includes the relevant interest arising under the investment management agreements that Jarden

Securities Limited is a party to for the purposes of providing discretionary investment management services (DIMS) to its clients (this

relevant interest was not included in the last disclosure made on 12 September 2019); and

• on-market trades summarised in the table below:



041898866/4160982.2


Details for: Harbour Asset Management Limited

Jarden Securities Limited

(previously named First NZ Capital

Securities Limited)

Jarden Securities Limited (DIMS)

Nature of

relevant

interest(s):

As fund manager, the power to

exercise (or control the exercise of) a

right to vote attached to, and power

to acquire or dispose of (or control

the acquisition or disposal of), the

Shares, under investment powers

contained in investment management

agreements with clients (the

beneficial owners of the product) or

managed fund trust deeds.


As beneficial owner, through normal

on-market trading activity, with the

power to exercise (or control the

exercise of) a right to vote attached

to, and power to acquire or dispose

of (or control the acquisition or

disposal of), the Shares

Jarden Securities Limited has, as

provider of discretionary investment

management services (DIMS) under

various investment management

agreements with clients (the beneficial

owners of the product), the power to

exercise (or control the exercise of) a

right to vote attached to, and power to

acquire or dispose of (or control the

acquisition or disposal of), the Share.

On-market

purchases –

number of shares

854,307 825,209 334,707

On-market

purchases –

Gross

Consideration

$3,202,373 $3,100,169 $1,271,484

On-market sales

– number of

shares

331,201 867,785 19,030

On-market sales

– Gross

Consideration

$1,218,096 $3,274,128 $71,740


Details after relevant event:



041898866/4160982.2

Details for:

Harbour Asset Management Limited

Jarden Securities Limited

(previously named First NZ Capital

Securities Limited)

Jarden Securities Limited (DIMS)

Nature of relevant

interest(s):

As fund manager, the power to

exercise (or control the exercise of) a

right to vote attached to, and power

to acquire or dispose of (or control

the acquisition or disposal of), the

Shares, under investment powers

contained in investment

management agreements with clients

(the beneficial owners of the

product) or managed fund trust

deeds.


As beneficial owner, through normal

on-market trading activity, with the

power to exercise (or control the

exercise of) a right to vote attached

to, and power to acquire or dispose

of (or control the acquisition or

disposal of), the Shares

Jarden Securities Limited has, as

provider of discretionary investment

management services (DIMS) under

various investment management

agreements with clients (the beneficial

owners of the product), the power to

exercise (or control the exercise of) a

right to vote attached to, and power to

acquire or dispose of (or control the

acquisition or disposal of), the Share.

For that relevant interest,


Number held in

class after the

relevant event:

18,005,873

32,424

1,231,156

Percentage held

in class

10.821% 0.019% 0.740%

Current registered

holder of financial

products:

Various nominees or custodians for

and on behalf of Harbour Asset

Management Limited

Jarden Securities Limited &

unknown

FNZ Custodians Limited (as sub-

custodian of Jarden Custodial Services

Limited)

Registered holder

of financial

products once

transfer is

registered:

Various nominees or custodians for

and on behalf of Harbour Asset

Management Limited

Jarden Securities Limited

FNZ Custodians Limited (as sub-

custodian of Jarden Custodial Services

Limited)



041898866/4160982.2


Additional information

Address(es) of substantial

product holder(s):

Level 14, 171 Featherston Street, Wellington

Contact details:

Kate Livingston

+ 64 9 307 5747

kate.livingston@jarden.co.nz

Nature of connection

between substantial product

holders:

Jarden Securities Limited (previously named First NZ

Capital Securities Limited), Jarden Partners Limited

(previously named First NZ Capital Group Limited) and

Harbour Asset Management Limited are related bodies

corporate.


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: none.

Certification

I, Kate Livingston, 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.

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