SPH Notice – Regal Funds Management Pty Ltd
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
Gentrack Group Ltd
Relevant event being disclosed:
Change of Substantial Shareholding by 1% or more
Date of relevant event: 23 Feb 2024
Date this disclosure made:
27 Feb 2024
Date last disclosure made: 20 Dec 2023
Substantial product holder(s) giving disclosure
Full name(s):
Regal Funds Management Pty Ltd
Summary of substantial holding
Class of quoted voting products: Ordinary Shares, ISIN: NZGTKE0002S9
Summary for Regal Funds Management Pty Ltd
For this disclosure,—
(a) total number held in class: 7,205,678
(b) total in class: 103,135,024
(c) total percentage held in class: 6.987%
For last disclosure,—
(a) total number held in class:
5,653,350
(b) total in class: 103,135,024
(c) total percentage held in class: 5.482%
Details of transactions and events giving rise to relevant event
In the period from the last disclosure, as part of normal on-market trading activity Regal Funds
Management Pty Limited total buy = 3,035,075 shares ($ 20,680,783.12 AUD) and total sell =
1,482,747 ($ 9,598,666.54 AUD)
100080615/3821102.1
2
Details of relevant interests
Details for Regal Funds Management Pty Ltd
Nature of relevant interest(s): Relevant interest by virtue of Regal Funds Management Pty
Limited having the power to acquire or dispose of financial products in its capacity as
trustee and manager of the Regal Atlantic Absolute Return Fund, Regal Tasman Market
Neutral Fund, Regal Australian Long Short Equity Fund, Regal Australian Active Extension
Trust, Regal Australian Long Short Geared Equity Fund, Regal Australian Small Companies
Fund, Regal Australian Small Companies Trust ,Regal Partners Private Fund, Regal
Emerging Companies Opportunities Fund, Regal Tactical Opportunities Fund, Regal
Emerging Companies Fund III & investment manager for Regal Investment Fund &
investment adviser of the Zambezi Absolute Return Fund, Amazon Market Neutral Fund,
Regal Absolute Return Fund.
For that relevant interest,—
(a) number held in class:
6,070,587
(b) percentage held in class: 5.886%
(c) current registered holder(s):
Atlantic Absolute Return Fund (0.292%), (Custodian – J.P. Morgan Prime Nominees Ltd)
Atlantic Absolute Return Fund (0.033%), (Custodian – Merrill Lynch (Aus) Nominees Pty Ltd)
Regal Tasman Market Neutral Fund (0.077%), (Custodian – J.P. Morgan Prime Nominees Ltd)
Regal Australian Long Short Equity Fund (0.088%), (Custodian – J.P. Morgan Prime Nominees
Ltd)
Regal Australian Active Extension Trust (0.323%), (Custodian – J.P. Morgan Prime Nominees
Ltd)
Regal Australian Long Short Geared Equity Fund (0.072%), (Custodian – J.P. Morgan Prime
Nominees Ltd)
Regal Australian Long Short Geared Equity Fund (0.008%), (Custodian – HSBC Custody
Nominees (Australia) Limited)
Regal Australian Small Companies Fund (0.601%), (Custodian – J.P. Morgan Prime Nominees
Ltd)
Regal Australian Small Companies Fund (0.770%), (Custodian – UBS Nominees Pty Ltd)
Regal Australian Small Companies Trust (0.814%), (Custodian – UBS Nominees Pty Ltd)
Regal Investment Fund (0.121%), (Custodian – UBS Nominees Pty Ltd)
Regal Investment Fund (0.287%), (Custodian – J.P. Morgan Prime Nominees Ltd)
Regal Partners Private Fund (0.008%), (Custodian – J.P. Morgan Prime Nominees Ltd)
Regal Partners Private Fund (0.011%), (HSBC CUSTODY NOMINEES
(AUSTRALIA) LIMITED A/C 2)
Regal Emerging Companies Opportunities Fund (1.235%), (Custodian – Merrill Lynch (Aus)
Nominees Pty Ltd)
Regal Emerging Companies Opportunities Fund (0.577%), (Custodian – J.P. Morgan Prime
Nominees Ltd)
Regal Emerging Companies Fund III (0.189%), (Custodian – Merrill Lynch (Aus) Nominees Pty
Ltd)
Regal Emerging Companies Fund III (0.099%), (Custodian – J.P. MORGAN NOMINEES
AUSTRALIA LTD)
Regal Tactical Opportunities Fund (0.058%), (Custodian – UBS Nominees Pty Ltd)
Regal Tactical Opportunities Fund (0.097%), (Custodian – Merrill Lynch (Aus) Nominees Pty
Ltd)
Regal Tactical Opportunities Fund (0.048%), (HSBC CUSTODY NOMINEES
(AUSTRALIA) LIMITED)
Regal Tactical Opportunities Fund (0.078%), (Custodian – J.P. Morgan Prime Nominees Ltd)
100080615/3821102.1
3
Details of relevant interests
Details for Regal Funds Management Pty Limited
Nature of relevant interest(s): derivative relevant interest over quoted underlying.
For that relevant interest,—
(a) number held in class:
1,135,091
(b) percentage held in class: 1.101%
(c) current registered holder(s):
Zambezi Absolute Return Fund (0.259%), (Custodian – UBS Nominees Pty Ltd)
Zambezi Absolute Return Fund (0.067%), (Custodian – Merrill Lynch (Aus) Nominees Pty Ltd)
Zambezi Absolute Return Fund (0.048%), (Custodian –
Macquarie Bank Limited)
Zambezi Absolute Return Fund (0.304%), (Custodian – HSBC Custody Nominees (Australia)
Limited)
Zambezi Absolute Return Fund (0.113%), (Custodian – J.P. Morgan Prime Nominees Ltd)
Regal Absolute Return Master Fund (0.050%), (Custodian – UBS Nominees Pty Ltd)
Regal Absolute Return Master Fund (0.008%), (Custodian – Merrill Lynch (Aus) Nominees Pty
Ltd)
Regal Absolute Return Master Fund (0.066%), (Custodian – J.P. Morgan Prime Nominees Ltd)
Amazon Market Neutral Fund (0.058%), (Custodian – UBS Nominees Pty Ltd)
Amazon Market Neutral Fund (0.128%), (Custodian – J.P. Morgan Prime Nominees Ltd)
(d) registered holder(s) once transfers are registered: Unknown
Details of transactions and events giving rise to substantial holding
Details of the transactions or other events requiring disclosure: (refer attached)
Additional information
Address(es) of substantial product holder(s):
Regal Funds Management Pty Ltd
Level 47, 1 Macquarie Place, NSW, 2000, Sydney, Australia
Contact details: Regal Funds Management Pty Ltd
Ph: +61 2 8197 4333
Email:
reception@regalfm.com
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: N/A
100080615/3821102.1
4
Certification
I, Kenny Ho 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.
____________________ Date: 27/02/2024
Kenny Ho
Secretary
Regal Funds Management
100080615/3821102.1
5
Attachment
GTK – Disclosure of movement of 1% or more in substantial Shareholding by Regal
Funds Management Pty Limited dated 23/02/2024
Details of Derivative
Parties to the Derivative
UBS Nominees Pty Ltd,
Zambezi Absolute
Return Fund
UBS Nominees Pty
Ltd, Regal Absolute
Return Master Fund
UBS Nominees Pty
Ltd, Amazon Market
Neutral Fund
Notional number of
underlying financial products
266,761 51,668 59,604
Cash or physical settled Cash settled swap Cash settled swap Cash settled swap
Maturity Date 23 September 2024 31 October 2025 23 September 2024
Expiry Date n/a n/a n/a
Entry price AUD 6.01 – AUD 7.18
AUD 4.80 – AUD
7.18
AUD 4.80 – AUD
6.18
How value of derivative
determined by value of the
underlying
Mark to market
Mark to market
Mark to market
Parties to the Derivative
J.P. Morgan Prime
Nominees Ltd,
Zambezi Absolute
Return Fund
Goldman Sachs
International,
London, Zambezi
Absolute Return
Fund
J.P. Morgan Prime
Nominees Ltd, Regal
Absolute Return
Master Fund
Notional number of
underlying financial products
116,362 313,662 67,853
Cash or physical settled Cash settled swap Cash settled swap Cash settled swap
Maturity Date 3 November 2025 1 December 2028 2 January 2026
Expiry Date n/a n/a n/a
Entry price AUD 6.00 AUD 5.71 AUD 5.98
How value of derivative
determined by value of the
underlying
Mark to market
Mark to market
Mark to market
100080615/3821102.1
6
Parties to the Derivative
J.P. Morgan Prime
Nominees Ltd, Amazon
Market Neutral Fund
Merrill Lynch (Aus)
Nominees Pty Ltd,
Zambezi Absolute
Return Fund
Merrill Lynch (Aus)
Nominees Pty Ltd,
Regal Absolute
Return Master Fund
Notional number of
underlying financial products
131,652 69,564 8,754
Cash or physical settled Cash settled swap Cash settled swap Cash settled swap
Maturity Date 2 January 2026 23 February 2026 23 February 2026
Expiry Date n/a n/a n/a
Entry price AUD 5.98 AUD 4.71 - AUD
7.25
AUD 4.71 - AUD 7.25
How value of derivative
determined by value of the
underlying
Mark to market
Mark to market
Mark to market
Parties to the Derivative
Macquarie Bank
Limited, Zambezi
Absolute Return Fund
Notional number of
underlying financial products
49,211
Cash or physical settled Cash settled swap
Maturity Date 30 July 2024
Expiry Date n/a
Entry price AUD 6.015
How value of derivative
determined by value of the
underlying
Mark to market
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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