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Update – Dividend/Distribution – AFI

Dividend8 February 2023AFIFinancials

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Update Summary

Entity name

AUSTRALIAN FOUNDATION INVESTMENT COMPANY LIMITED

Security on which the Distribution will be paid

AFI - ORDINARY FULLY PAID

Announcement Type

Update to previous announcement

Date of this announcement

8/2/2023

Reason for the Update

Updated sections 2B.2a and 2B.2b with the foreign currency exchange rates applicable to the interim dividend.

Updated sections 4A.6 and 4B.6 with the Dividend Reinvestment Plan and Dividend Substitution Share Plan issue price

for the interim dividend.

Refer to below for full details of the announcement

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Announcement Details

Part 1 - Entity and announcement details

1.1 Name of +Entity

AUSTRALIAN FOUNDATION INVESTMENT COMPANY LIMITED

1.2 Registered Number Type

ABN

Registration Number

56004147120

1.3 ASX issuer code

AFI

1.4 The announcement is

1.4a Reason for update to a previous announcement

Updated sections 2B.2a and 2B.2b with the foreign currency exchange rates applicable to the interim dividend.

Updated sections 4A.6 and 4B.6 with the Dividend Reinvestment Plan and Dividend Substitution Share Plan issue price

for the interim dividend.

1.4b Date of previous announcement(s) to this update

23/1/2023

1.5 Date of this announcement

8/2/2023

1.6 ASX +Security Code

AFI

ASX +Security Description

ORDINARY FULLY PAID

Part 2A - All dividends/distributions basic details

2A.1 Type of dividend/distribution

2A.2 The Dividend/distribution:

relates to a period of six months

Ordinary

Update/amendment to previous announcement

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2A.3 The dividend/distribution relates to the financial reporting or payment period ending ended/ending (date)

31/12/2022

2A.4 +Record Date

3/2/2023

2A.5 Ex Date

2/2/2023

2A.6 Payment Date

24/2/2023

2A.7 Are any of the below approvals required for the dividend/distribution before business day 0 of the timetable?

Security holder approval

Court approval

Lodgement of court order with +ASIC

ACCC approval

FIRB approval

Another approval/condition external to the entity required before business day 0 of the timetable for the

dividend/distribution.

2A.8 Currency in which the dividend/distribution is made ("primary currency")

AUD - Australian Dollar

2A.9 Total dividend/distribution payment amount per

+security (in primary currency) for all

dividends/distributions notified in this form

AUD 0.11000000

2A.10 Does the entity have arrangements relating to the

currency in which the dividend/distribution is paid to

securityholders that it wishes to disclose to the market?

2A.11 Does the entity have a securities plan for

dividends/distributions on this +security?

2A.11a If the +entity has a DRP, is the DRP applicable to

this dividend/distribution?

2A.11a(i) DRP Status in respect of this

dividend/distribution

Full DRP

2A.11b If the +entity has a BSP, is the BSP applicable to

this dividend/distribution?

2A.11b(i) BSP status in respect of this

dividend/distribution

Full BSP offered

2A.12 Does the +entity have tax component information

apart from franking?

No

Yes

Yes

We have a Bonus +Security Plan or equivalent (BSP)We have a Bonus +Security Plan or equivalent (BSP)

We have a Dividend/Distribution Reinvestment Plan (DRP)

Yes

No

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Part 2B - Currency Information

2B.1 Does the entity default to payment in certain currencies dependent upon certain attributes such as the

banking instruction or registered address of the +securityholder? (For example NZD to residents of New Zealand

and/or USD to residents of the U.S.A.).

2B.2 Please provide a description of your currency arrangements

Shareholders resident in New Zealand default to having a dividend converted to NZD.

Shareholders resident in Great Britain, Isle of Man, Guernsey or Jersey will default to receiving a dividend converted to

GBP.

All other shareholders default to receiving an AUD dividend.

Other shareholders will be paid in AUD, NZD or GBP if they have provided an AU, NZ or GB financial institution account

details.

2B.2a Other currency/currencies in which the dividend/distribution will be paid:

CurrencyPayment currency equivalent amount per security

NZD - New Zealand DollarNZD 0.11998800

GBP - Pound SterlingGBP 0.06303000

2B.2b Please provide the exchange rates used for non-primary currency payments

AUD 1:00: GBP 0.5730

AUD 1:00: NZD 1.0908

2B.2c If payment currency equivalent and exchange

rates not known, date for information to be released

9/2/2023

Estimated or Actual?

2B.3 Can the securityholder choose to receive a currency different to the currency they would receive under the

default arrangements?

2B.3a Please describe what choices are available to a securityholder to receive a currency different to the currency

they would receive under the default arrangements

Shareholder who provide the share registry with AU, NZ or GB financial institution account details will receive a dividend

in AU or converted to NZD or GBP respectively regardless of residency.

2B.3b Date and time by which any document or communication relating to the above arrangements must be

received in order to be effective for this dividend/distribution

Monday February 6, 2023 17:00:00

2B.3c Please provide, or indicate where relevant forms can be obtained and how and where they must be lodged

From the Company's share registry, Computershare Investor Services:

Tel (Aus): 1300 662 270 or +61 3 9415 4373

Tel (NZ): 0800 333 501

Internet: au/contactwww.investorcentre.com/

Yes

Actual

Yes

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Part 3A - Ordinary dividend/distribution

3A.1 Is the ordinary dividend/distribution estimated at

this time?

3A.1a Ordinary dividend/distribution estimated amount

per +security

AUD

3A.1b Ordinary Dividend/distribution amount per

security

AUD 0.11000000

3A.2 Is the ordinary dividend/distribution franked?3A.2a Is the ordinary dividend/distribution fully franked?

3A.3 Percentage of ordinary dividend/distribution that is

franked

100.0000 %

3A.3a Applicable corporate tax rate for franking credit

(%)

30.0000 %

3A.4 Ordinary dividend/distribution franked amount per

+security

AUD 0.11000000

3A.5 Percentage amount of dividend which is unfranked

0.0000 %

3A.6 Ordinary dividend/distribution unfranked amount

per +security excluding conduit foreign income amount

AUD 0.00000000

3A.7 Ordinary dividend/distribution conduit foreign

income amount per security

AUD 0.00000000

Part 4A - +Dividend reinvestment plan (DRP)

4A.1 What is the default option if +security holders do not indicate whether they want to participate in the DRP?

4A.2 Last date and time for lodgement of election

notices to share registry under DRP

Monday February 6, 2023 17:00:00

4A.3 DRP discount rate

2.5000 %

4A.4 Period of calculation of reinvestment price

Start Date

2/2/2023

End Date

8/2/2023

4A.5 DRP price calculation methodology

The price will be set at a 2.5 per cent discount to the Volume Weighted Average Price of AFI shares traded on the ASX

and Cboe automated trading systems over the five trading days after the shares trade ex-dividend.

4A.6 DRP Price (including any discount):

AUD 7.29000

4A.7 DRP +securities +issue date

24/2/2023

4A.8 Will DRP +securities be a new issue?4A.8a Do DRP +securities rank pari passu from +issue

Do not participate in DRP (i.e. cash payment)

YesYes

No

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4A.8 Will DRP +securities be a new issue?4A.8a Do DRP +securities rank pari passu from +issue

date?

4A.9 Is there a minimum dollar amount or number of +securities required for DRP participation?

4A.10 Is there a maximum dollar amount or number of +securities required for DRP participation?

4A.11 Are there any other conditions applying to DRP participation?

4A.11a Conditions for DRP participation

Eligibility requirements as set out in Rule 1 of the DRP Rules (link below).

4A.12 Link to a copy of the DRP plan rules

https://www.afi.com.au/shareholders

4A.13 Further information about the DRP

Part 4B - Bonus +security plan or equivalent (BSP)

4B.1 What is the default option if +security holders do not indicate whether they want to participate in the BSP?

4B.2 Last date and time for lodgement of election

notices to share registry under BSP

Monday February 6, 2023 17:00:00

4B.3 BSP discount rate

2.5000 %

4B.4 Period of calculation of BSP price

Start Date

2/2/2023

End Date

8/2/2023

4B.5 BSP price calculation methodology

The price will be set at a 2.5 per cent discount the Volume Weighted Average Price of AFI shares traded on the ASX and

Cboe automated trading systems over the five trading days after the shares trade ex-dividend.

4B.6 BSP Price (including any discount)

AUD 7.2900

4B.7 BSP +securities +issue date

24/2/2023

4B.8 Will BSP +securities be a new issue?4B.8a Do BSP +securities rank pari passu from +issue

date?

4B.9 Is there a minimum dollar amount or number of +securities required for BSP participation?

4B.10 Is there a maximum dollar amount or number of +securities required for BSP participation?

No

Yes

Yes

Do not participate in BSP (i.e. cash payment)

Yes

No

No

Yes

Yes

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4B.11 Are there any other conditions applying to BSP participation?

4B.11a Conditions for BSP participation

Eligibility as set out in Rule 1 of the DSSP Rules (link below)

4B.12 Link to a copy of the BSP plan rules

https://www.afi.com.au/shareholders

4B.13 Further information about the BSP

Part 5 - Further information

5.1 Please provide any further information applicable to this dividend/distribution

5.2 Additional information for inclusion in the Announcement Summary

Yes

No

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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