SPH Notice - UBS Group AG and its related bodies corporate
Disclosure of beginning to have substantial holding
Section 276, Financial Markets Conduct Act 2013
To: NZX Limited
and
To: Gentrack Group Limited
Date this disclosure made: 20 May 2025
Date on which substantial holding began: 16 May 2025
Substantial product holder(s) giving disclosure
Full name(s): UBS Group AG and its related bodies corporate
Summary of substantial holding
Class of quoted voting products: Ordinary shares
Summary for: UBS Group AG and its related bodies corporate
For this disclosure,—
(a) total number held in class: 5,438,152
(b) total in class: 107,721,896
(c) total percentage held in class: 5.05%
Details for: UBS AG Australia Branch
Nature of relevant interest(s): Prime Broker that has the right to exercise its borrowing right in respect of
shares pursuant to a Prime Broking Agreement.
For that relevant interest,—
(a) number held in class: 3,993,335
(b) percentage held in class: 3.71%
(c) current registered holder(s): Not applicable
(d) registered holder(s) once transfers are registered: UBS Nominees Pty Ltd
For a derivative relevant interest, also—
(a) type of derivative: Not applicable
(b) details of derivative: Not applicable
(c) parties to the derivative: Not applicable
(d) if the substantial product holder is not a party to the derivative, the nature of the relevant
interest in the derivative: Not applicable
Details for: UBS AG London Branch
Nature of relevant interest(s): Power to control disposal over shares pursuant to stock borrowing and lending
activities
For that relevant interest,—
(a) number held in class: 255,000
(b) percentage held in class: 0.24%
(c) current registered holder(s): Not applicable
(d) registered holder(s) once transfers are registered: Various Custodians
For a derivative relevant interest, also—
(a) type of derivative: Not applicable
(b) details of derivative: Not applicable
(c) parties to the derivative: Not applicable
(d) if the substantial product holder is not a party to the derivative, the nature of the relevant
interest in the derivative: Not applicable
Nature of relevant interest(s): Beneficial Owner
For that relevant interest,—
(a) number held in class: 27,452
(b) percentage held in class: 0.02%
(c) current registered holder(s): Not applicable
(d) registered holder(s) once transfers are registered: Various Custodians
For a derivative relevant interest, also—
(a) type of derivative: Swap on Basket
(b) details of derivative: 94,579 cash-settled swaps on indices (0.09% held in class)
(c) parties to the derivative: Please see Appendix A
(d) if the substantial product holder is not a party to the derivative, the nature of the relevant
interest in the derivative: UBS AG London Branch
Details for: UBS Asset Management (Australia) Ltd
Nature of relevant interest(s): Fund Manager with power to exercise control over voting shares
For that relevant interest,—
(a) number held in class: 686,434
(b) percentage held in class: 0.64%
(c) current registered holder(s): Not applicable
(d) registered holder(s) once transfers are registered: Various Custodians
For a derivative relevant interest, also—
(a) type of derivative: Not applicable
(b) details of derivative: Not applicable
(c) parties to the derivative: Not applicable
(d) if the substantial product holder is not a party to the derivative, the nature of the relevant
interest in the derivative: Not applicable
Details for: UBS Securities Australia Ltd
Nature of relevant interest(s): Beneficial Owner
For that relevant interest,—
(a) number held in class: 381,352
(b) percentage held in class: 0.35%
(c) current registered holder(s): Not applicable
(d) registered holder(s) once transfers are registered: Brispot Nominees Pty Ltd
For a derivative relevant interest, also—
(a) type of derivative: Not applicable
(b) details of derivative: Not applicable
(c) parties to the derivative: Not applicable
(d) if the substantial product holder is not a party to the derivative, the nature of the relevant
interest in the derivative: Not applicable
Details of transactions and events giving rise to substantial holding
Details of the transactions or other events requiring disclosure: Please see Appendix C.
Additional information
Address(es) of substantial product holder(s)
Name Addresses
UBS AG Australia Branch Level 16, Chifley Tower, 2 Chifley Square, Sydney, Australia
UBS AG London Branch 5 Broadgate, London, United Kingdom
UBS Asset Management
(Australia) Ltd
Level 16, Chifley Tower, 2 Chifley Square, Sydney, Australia
UBS Securities Australia Ltd Level 16, Chifley Tower, 2 Chifley Square, Sydney, Australia
UBS Nominees Pty Ltd Level 16, Chifley Tower, 2 Chifley Square, Sydney, Australia
Brispot Nominees Pty Ltd Level 16, Chifley Tower, 2 Chifley Square, Sydney, Australia
Contact details: Florian Naef
Tel: +852 3712 4687
Email: mailto:florian-p.naef@ubs.com
Nature of connection between substantial product holders:
UBS AG Australia Branch: Related body corporate
UBS AG London Branch: Related body corporate
UBS Asset Management (Australia) Ltd: Related body corporate
UBS Securities Australia Ltd: Related body corporate
UBS Nominees Pty Ltd: Related body corporate
Brispot Nominees Pty Ltd: Related body 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: Not
applicable
Certification
We, certify that, to the best of our knowledge and belief, the information contained in this disclosure is correct
and that we are duly authorised to make this disclosure by all persons for whom it is made.
SIGNATURE
Print Name:
Florian Naef
Capacity:
Authorised signatory
Sign Here:
Date:
20 May 2025
Print Name:
Dominic Eichrodt
Capacity:
Authorised signatory
Sign Here:
Date:
20 May 2025
Appendix A - For a derivative relevant interest
Currency
Settlement Type
Expiry date of Derivative (B)
Prices Specified in the terms of the derivative (if any)
Parties to the Derivative (C)
Swaps on Baskets
231,022
NZD
Cash
28 April 2026
10.499
Not Applicable
Swaps on Baskets
2,615
NZD
Cash
29 April 2026
12.164
Not Applicable
Swaps on Baskets
716,154
NZD
Cash
04 May 2026
11.780
Not Applicable
Swaps on Baskets
136,287
NZD
Cash
26 February 2027
11.786
Not Applicable
* Notional value refer to the position quantity
.
Currency/Price is not available
.
Details for
Type of Derivative (A)
Details of Derivative (C)
Notional value
of the Derivative
UBS AG London Branch
(Multicurrency — Cross Border)
ISDA
International Swap Dealers Association, Inc.
MASTER AGREEMENT
dated as of ............................................
............................................................... and ......................................................................
have entered and/or anticipate entering into one or more transactions (each a “Transaction”) that are or will
be governed by this Master Agreement, which includes the schedule (the “Schedule”), and the documents
and other confirming evidence (each a “Confirmation”) exchanged between the parties confirming those
Transactions.
Accordingly, the parties agree as follows: —
1.Interpretation
(a)Definitions. The terms defined in Section 14 and in the Schedule will have the meanings therein
specified for the purpose of this Master Agreement.
(b)Inconsistency. In the event of any inconsistency between the provisions of the Schedule and the
other provisions of this Master Agreement, the Schedule will prevail. In the event of any inconsistency
between the provisions of any Confirmation and this Master Agreement (including the Schedule), such
Confirmation will prevail for the purpose of the relevant Transaction.
(c)Single Agreement. All Transactions are entered into in reliance on the fact that this Master
Agreement and all Confirmations form a single agreement between the parties (collectively referred to as
this “Agreement”), and the parties would not otherwise enter into any Transactions.
2.Obligations
(a)General Conditions.
(i) Each party will make each payment or delivery specified in each Confirmation to be made by
it, subject to the other provisions of this Agreement.
(ii) Payments under this Agreement will be made on the due date for value on that date in the place
of the account specified in the relevant Confirmation or otherwise pursuant to this Agreement, in
freely transferable funds and in the manner customary for payments in the required currency. Where
settlement is by delivery (that is, other than by payment), such delivery will be made for receipt on
the due date in the manner customary for the relevant obligation unless otherwise specified in the
relevant Confirmation or elsewhere in this Agreement.
(iii)Each obligation of each party under Section 2(a)(i) is subject to (1) the condition precedent
that no Event of Default or Potential Event of Default with respect to the other party has occurred
and is continuing, (2) the condition precedent that no Early Termination Date in respect of the
relevant Transaction has occurred or been effectively designated and (3) each other applicable
condition precedent specified in this Agreement.
Copyright
1992 by International Swap Dealers Association, Inc.
UBS AG
(b)Change of Account. Either party may change its account for receiving a payment or delivery by
giving notice to the other party at least five Local Business Days prior to the scheduled date for the payment
or delivery to which such change applies unless such other party gives timely notice of a reasonable objection
to such change.
(c)Netting. If on any date amounts would otherwise be payable:—
(i) in the same currency; and
(ii)in respect of the same Transaction,
by each party to the other, then, on such date, each party’s obligation to make payment of any such amount
will be automatically satisfied and discharged and, if the aggregate amount that would otherwise have been
payable by one party exceeds the aggregate amount that would otherwise have been payable by the other
party, replaced by an obligation upon the party by whom the larger aggregate amount would have been
payable to pay to the other party the excess of the larger aggregate amount over the smaller aggregate amount.
The parties may elect in respect of two or more Transactions that a net amount will be determined in respect
of all amounts payable on the same date in the same currency in respect of such Transactions, regardless of
whether such amounts are payable in respect of the same Transaction. The election may be made in the
Schedule or a Confirmation by specifying that subparagraph (ii) above will not apply to the Transactions
identified as being subject to the election, together with the starting date (in which case subparagraph (ii)
above will not, or will cease to, apply to such Transactions from such date). This election may be made
separately for different groups of Transactions and will apply separately to each pairing of Offices through
which the parties make and receive payments or deliveries.
(d) Deduction or Withholding for Tax.
(i)Gross-Up. All payments under this Agreement will be made without any deduction or
withholding for or on account of any Tax unless such deduction or withholding is required by any
applicable law, as modified by the practice of any relevant governmental revenue authority, then in
effect. If a party is so required to deduct or withhold, then that party (“X”) will:—
(1)promptly notify the other party (“Y”) of such requirement;
(2)pay to the relevant authorities the full amount required to be deducted or withheld
(including the full amount required to be deducted or withheld from any additional amount
paid by X to Y under this Section 2(d)) promptly upon the earlier of determining that such
deduction or withholding is required or receiving notice that such amount has been assessed
against Y;
(3)promptly forward to Y an official receipt (or a certified copy), or other documentation
reasonably acceptable to Y, evidencing such payment to such authorities; and
(4)if such Tax is an Indemnifiable Tax, pay to Y, in addition to the payment to which Y is
otherwise entitled under this Agreement, such additional amount as is necessary to ensure that
the net amount actually received by Y (free and clear of Indemnifiable Taxes, whether assessed
against X or Y) will equal the full amount Y would have received had no such deduction or
withholding been required. However, X will not be required to pay any additional amount to
Y to the extent that it would not be required to be paid but for:—
(A)the failure by Y to comply with or perform any agreement contained in
Section 4(a)(i), 4(a)(iii) or 4(d); or
(B)the failure of a representation made by Y pursuant to Section 3(f) to be accurate and
true unless such failure would not have occurred but for (I) any action taken by a taxing
authority, or brought in a court of competent jurisdiction, on or after the date on which a
Transaction is entered into (regardless of whether such action is taken or brought with
respect to a party to this Agreement) or (II) a Change in Tax Law.
2 ISDA 1992
(ii)Liability. If: —
(1) X is required by any applicable law, as modified by the practice of any relevant
governmental revenue authority, to make any deduction or withholding in respect of which X
would not be required to pay an additional amount to Y under Section 2(d)(i)(4);
(2)X does not so deduct or withhold; and
(3)a liability resulting from such Tax is assessed directly against X,
then, except to the extent Y has satisfied or then satisfies the liability resulting from such Tax, Y
will promptly pay to X the amount of such liability (including any related liability for interest, but
including any related liability for penalties only if Y has failed to comply with or perform any
agreement contained in Section 4(a)(i), 4(a)(iii) or 4(d)).
(e)Default Interest; Other Amounts. Prior to the occurrence or effective designation of an Early
Termination Date in respect of the relevant Transaction, a party that defaults in the performance of any
payment obligation will, to the extent permitted by law and subject to Section 6(c), be required to pay interest
(before as well as after judgment) on the overdue amount to the other party on demand in the same currency
as such overdue amount, for the period from (and including) the original due date for payment to (but
excluding) the date of actual payment, at the Default Rate. Such interest will be calculated on the basis of
daily compounding and the actual number of days elapsed. If, prior to the occurrence or effective designation
of an Early Termination Date in respect of the relevant Transaction, a party defaults in the performance of
any obligation required to be settled by delivery, it will compensate the other party on demand if and to the
extent provided for in the relevant Confirmation or elsewhere in this Agreement.
3.Representations
Each party represents to the other party (which representations will be deemed to be repeated by each party
on each date on which a Transaction is entered into and, in the case of the representations in Section 3(f), at
all times until the termination of this Agreement) that:—
(a)Basic Representations.
(i)Status. It is duly organised and validly existing under the laws of the jurisdiction of its
organisation or incorporation and, if relevant under such laws, in good standing;
(ii)Powers. It has the power to execute this Agreement and any other documentation relating to
this Agreement to which it is a party, to deliver this Agreement and any other documentation relating
to this Agreement that it is required by this Agreement to deliver and to perform its obligations
under this Agreement and any obligations it has under any Credit Support Document to which it is
a party and has taken all necessary action to authorise such execution, delivery and performance;
(iii)No Violation or Conflict. Such execution, delivery and performance do not violate or conflict
with any law applicable to it, any provision of its constitutional documents, any order or judgment
of any court or other agency of government applicable to it or any of its assets or any contractual
restriction binding on or affecting it or any of its assets;
(iv)Consents. All governmental and other consents that are required to have been obtained by it
with respect to this Agreement or any Credit Support Document to which it is a party have been
obtained and are in full force and effect and all conditions of any such consents have been complied
with; and
(v)Obligations Binding. Its obligations under this Agreement and any Credit Support Document
to which it is a party constitute its legal, valid and binding obligations, enforceable in accordance
with their respective terms (subject to applicable bankruptcy, reorganisation, insolvency,
moratorium or similar laws affecting creditors’ rights generally and subject, as to enforceability, to
equitable principles of general application (regardless of whether enforcement is sought in a
proceeding in equity or at law)).
proceeding in equity or at law)).
3
ISDA 1992
(b)Absence of Certain Events. No Event of Default or Potential Event of Default or, to its knowledge,
Termination Event with respect to it has occurred and is continuing and no such event or circumstance would
occur as a result of its entering into or performing its obligations under this Agreement or any Credit Support
Document to which it is a party.
(c)Absence of Litigation. There is not pending or, to its knowledge, threatened against it or any of its
Affiliates any action, suit or proceeding at law or in equity or before any court, tribunal, governmental body,
agency or official or any arbitrator that is likely to affect the legality, validity or enforceability against it of
this Agreement or any Credit Support Document to which it is a party or its ability to perform its obligations
under this Agreement or such Credit Support Document.
(d)Accuracy of Specified Information. All applicable information that is furnished in writing by or on
behalf of it to the other party and is identified for the purpose of this Section 3(d) in the Schedule is, as of
the date of the information, true, accurate and complete in every material respect.
(e)Payer Tax Representation. Each representation specified in the Schedule as being made by it for
the purpose of this Section 3(e) is accurate and true.
(f)Payee Tax Representations. Each representation specified in the Schedule as being made by it for
the purpose of this Section 3(f) is accurate and true.
4.Agreements
Each party agrees with the other that, so long as either party has or may have any obligation under this
Agreement or under any Credit Support Document to which it is a party:—
(a)Furnish Specified Information. It will deliver to the other party or, in certain cases under
subparagraph (iii) below, to such government or taxing authority as the other party reasonably directs:—
(i) any forms, documents or certificates relating to taxation specified in the Schedule or any
Confirmation;
(ii) any other documents specified in the Schedule or any Confirmation; and
(iii) upon reasonable demand by such other party, any form or document that may be required or
reasonably requested in writing in order to allow such other party or its Credit Support Provider to
make a payment under this Agreement or any applicable Credit Support Document without any
deduction or withholding for or on account of any Tax or with such deduction or withholding at a
reduced rate (so long as the completion, execution or submission of such form or document would
not materially prejudice the legal or commercial position of the party in receipt of such demand),
with any such form or document to be accurate and completed in a manner reasonably satisfactory
to such other party and to be executed and to be delivered with any reasonably required certification,
in each case by the date specified in the Schedule or such Confirmation or, if none is specified, as soon as
reasonably practicable.
(b) Maintain Authorisations. It will use all reasonable efforts to maintain in full force and effect all
consents of any governmental or other authority that are required to be obtained by it with respect to this
Agreement or any Credit Support Document to which it is a party and will use all reasonable efforts to obtain
any that may become necessary in the future.
(c) Comply with Laws. It will comply in all material respects with all applicable laws and orders to
which it may be subject if failure so to comply would materially impair its ability to perform its obligations
under this Agreement or any Credit Support Document to which it is a party.
(d) Tax Agreement. It will give notice of any failure of a representation made by it under Section 3(f)
to be accurate and true promptly upon learning of such failure.
(e)Payment of Stamp Tax. Subject to Section 11, it will pay any Stamp Tax levied or imposed upon
it or in respect of its execution or performance of this Agreement by a jurisdiction in which it is incorporated,
4ISDA 1992
organised, managed and controlled, or considered to have its seat, or in which a branch or office through
which it is acting for the purpose of this Agreement is located (“Stamp Tax Jurisdiction”) and will indemnify
the other party against any Stamp Tax levied or imposed upon the other party or in respect of the other party’s
execution or performance of this Agreement by any such Stamp Tax Jurisdiction which is not also a Stamp
Tax Jurisdiction with respect to the other party.
5. Events of Default and Termination Events
(a) Events of Default. The occurrence at any time with respect to a party or, if applicable, any Credit
Support Provider of such party or any Specified Entity of such party of any of the following events constitutes
an event of default (an “Event of Default”) with respect to such party:—
(i)Failure to Pay or Deliver. Failure by the party to make, when due, any payment under this
Agreement or delivery under Section 2(a)(i) or 2(e) required to be made by it if such failure is not
remedied on or before the third Local Business Day after notice of such failure is given to the party;
(ii)Breach of Agreement. Failure by the party to comply with or perform any agreement or
obligation (other than an obligation to make any payment under this Agreement or delivery under
Section 2(a)(i) or 2(e) or to give notice of a Termination Event or any agreement or obligation
under Section 4(a)(i), 4(a)(iii) or 4(d)) to be complied with or performed by the party in accordance
with this Agreement if such failure is not remedied on or before the thirtieth day after notice of
such failure is given to the party;
(iii)Credit Support Default.
(1) Failure by the party or any Credit Support Provider of such party to comply with or
perform any agreement or obligation to be complied with or performed by it in accordance
with any Credit Support Document if such failure is continuing after any applicable grace
period has elapsed;
(2) the expiration or termination of such Credit Support Document or the failing or ceasing
of such Credit Support Document to be in full force and effect for the purpose of this Agreement
(in either case other than in accordance with its terms) prior to the satisfaction of all obligations
of such party under each Transaction to which such Credit Support Document relates without
the written consent of the other party; or
(3) the party or such Credit Support Provider disaffirms, disclaims, repudiates or rejects, in
whole or in part, or challenges the validity of, such Credit Support Document;
(iv)Misrepresentation. A representation (other than a representation under Section 3(e) or (f))
made or repeated or deemed to have been made or repeated by the party or any Credit Support
Provider of such party in this Agreement or any Credit Support Document proves to have been
incorrect or misleading in any material respect when made or repeated or deemed to have been made
or repeated;
(v)Default under Specified Transaction. The party, any Credit Support Provider of such party or
any applicable Specified Entity of such party (1) defaults under a Specified Transaction and, after
giving effect to any applicable notice requirement or grace period, there occurs a liquidation of, an
acceleration of obligations under, or an early termination of, that Specified Transaction, (2) defaults,
after giving effect to any applicable notice requirement or grace period, in making any payment or
delivery due on the last payment, delivery or exchange date of, or any payment on early termination
of, a Specified Transaction (or such default continues for at least three Local Business Days if there
is no applicable notice requirement or grace period) or (3) disaffirms, disclaims, repudiates or
rejects, in whole or in part, a Specified Transaction (or such action is taken by any person or entity
appointed or empowered to operate it or act on its behalf);
(vi) Cross Default. If “Cross Default” is specified in the Schedule as applying to the party, the
occurrence or existence of (1) a default, event of default or other similar condition or event (however
5
ISDA 1992
described) in respect of such party, any Credit Support Provider of such party or any applicable
Specified Entity of such party under one or more agreements or instruments relating to Specified
Indebtedness of any of them (individually or collectively) in an aggregate amount of not less than
the applicable Threshold Amount (as specified in the Schedule) which has resulted in such Specified
Indebtedness becoming, or becoming capable at such time of being declared, due and payable under
such agreements or instruments, before it would otherwise have been due and payable or (2) a default
by such party, such Credit Support Provider or such Specified Entity (individually or collectively)
in making one or more payments on the due date thereof in an aggregate amount of not less than the
applicable Threshold Amount under such agreements or instruments (after giving effect to any
applicable notice requirement or grace period);
(vii) Bankruptcy. The party, any Credit Support Provider of such party or any applicable Specified
Entity of such party: —
(1) is dissolved (other than pursuant to a consolidation, amalgamation or merger); (2) becomes
insolvent or is unable to pay its debts or fails or admits in writing its inability generally to pay
its debts as they become due; (3) makes a general assignment, arrangement or composition
with or for the benefit of its creditors; (4) institutes or has instituted against it a proceeding
seeking a judgment of insolvency or bankruptcy or any other relief under any bankruptcy or
insolvency law or other similar law affecting creditors’ rights, or a petition is presented for its
winding-up or liquidation, and, in the case of any such proceeding or petition instituted or
presented against it, such proceeding or petition (A) results in a judgment of insolvency or
bankruptcy or the entry of an order for relief or the making of an order for its winding-up or
liquidation or (B) is not dismissed, discharged, stayed or restrained in each case within 30 days
of the institution or presentation thereof; (5) has a resolution passed for its winding-up, official
management or liquidation (other than pursuant to a consolidation, amalgamation or merger);
(6) seeks or becomes subject to the appointment of an administrator, provisional liquidator,
conservator, receiver, trustee, custodian or other similar official for it or for all or substantially
all its assets; (7) has a secured party take possession of all or substantially all its assets or has
a distress, execution, attachment, sequestration or other legal process levied, enforced or sued
on or against all or substantially all its assets and such secured party maintains possession, or
any such process is not dismissed, discharged, stayed or restrained, in each case within 30 days
thereafter; (8) causes or is subject to any event with respect to it which, under the applicable
laws of any jurisdiction, has an analogous effect to any of the events specified in clauses (1)
to (7) (inclusive); or (9) takes any action in furtherance of, or indicating its consent to, approval
of, or acquiescence in, any of the foregoing acts; or
(viii) Merger Without Assumption. The party or any Credit Support Provider of such party
consolidates or amalgamates with, or merges with or into, or transfers all or substantially all its assets
to, another entity and, at the time of such consolidation, amalgamation, merger or transfer: —
(1) the resulting, surviving or transferee entity fails to assume all the obligations of such party
or such Credit Support Provider under this Agreement or any Credit Support Document to
which it or its predecessor was a party by operation of law or pursuant to an agreement
reasonably satisfactory to the other party to this Agreement; or
(2) the benefits of any Credit Support Document fail to extend (without the consent of the
other party) to the performance by such resulting, surviving or transferee entity of its
obligations under this Agreement.
(b)Termination Events. The occurrence at any time with respect to a party or, if applicable, any Credit
Support Provider of such party or any Specified Entity of such party of any event specified below constitutes
an Illegality if the event is specified in (i) below, a Tax Event if the event is specified in (ii) below or a Tax
Event Upon Merger if the event is specified in (iii) below, and, if specified to be applicable, a Credit Event
6 ISDA 1992
(i)Illegality. Due to the adoption of, or any change in, any applicable law after the date on which
a Transaction is entered into, or due to the promulgation of, or any change in, the interpretation by
any court, tribunal or regulatory authority with competent jurisdiction of any applicable law after
such date, it becomes unlawful (other than as a result of a breach by the party of Section 4(b)) for
such party (which will be the Affected Party): —
(1) to perform any absolute or contingent obligation to make a payment or delivery or to
receive a payment or delivery in respect of such Transaction or to comply with any other
material provision of this Agreement relating to such Transaction; or
(2) to perform, or for any Credit Support Provider of such party to perform, any contingent
or other obligation which the party (or such Credit Support Provider) has under any Credit
Support Document relating to such Transaction;
(ii)Tax Event. Due to (x) any action taken by a taxing authority, or brought in a court of competent
jurisdiction, on or after the date on which a Transaction is entered into (regardless of whether such
action is taken or brought with respect to a party to this Agreement) or (y) a Change in Tax Law,
the party (which will be the Affected Party) will, or there is a substantial likelihood that it will, on
the next succeeding Scheduled Payment Date (1) be required to pay to the other party an additional
amount in respect of an Indemnifiable Tax under Section 2(d)(i)(4) (except in respect of interest
under Section 2(e), 6(d)(ii) or 6(e)) or (2) receive a payment from which an amount is required to
be deducted or withheld for or on account of a Tax (except in respect of interest under Section 2(e),
6(d)(ii) or 6(e)) and no additional amount is required to be paid in respect of such Tax under
Section 2(d)(i)(4) (other than by reason of Section 2(d)(i)(4)(A) or (B));
(iii)Tax Event Upon Merger. The party (the “Burdened Party”) on the next succeeding Scheduled
Payment Date will either (1) be required to pay an additional amount in respect of an Indemnifiable
Tax under Section 2(d)(i)(4) (except in respect of interest under Section 2(e), 6(d)(ii) or 6(e)) or
(2) receive a payment from which an amount has been deducted or withheld for or on account of
any Indemnifiable Tax in respect of which the other party is not required to pay an additional amount
(other than by reason of Section 2(d)(i)(4)(A) or (B)), in either case as a result of a party
consolidating or amalgamating with, or merging with or into, or transferring all or substantially all
its assets to, another entity (which will be the Affected Party) where such action does not constitute
an event described in Section 5(a)(viii);
(iv)Credit Event Upon Merger. If “Credit Event Upon Merger” is specified in the Schedule as applying
to the party, such party (“X”), any Credit Support Provider of X or any applicable Specified Entity of X
consolidates or amalgamates with, or merges with or into, or transfers all or substantially all its assets
to, another entity and such action does not constitute an event described in Section 5(a)(viii) but the
creditworthiness of the resulting, surviving or transferee entity is materially weaker than that of X, such
Credit Support Provider or such Specified Entity, as the case may be, immediately prior to such action
(and, in such event, X or its successor or transferee, as appropriate, will be the Affected Party); or
(v)Additional Termination Event. If any “Additional Termination Event” is specified in the
Schedule or any Confirmation as applying, the occurrence of such event (and, in such event, the
Affected Party or Affected Parties shall be as specified for such Additional Termination Event in
the Schedule or such Confirmation).
7 ISDA 1992
Upon Merger if the event is specified pursuant to (iv) below or an Additional Termination Event if the event
is specified pursuant to (v) below:—
(c) Event of Default and Illegality. If an event or circumstance which would otherwise constitute or
give rise to an Event of Default also constitutes an Illegality, it will be treated as an Illegality and will not
constitute an Event of Default.
6.Early Termination
(a)Right to Terminate Following Event of Default. If at any time an Event of Default with respect to
a party (the “Defaulting Party”) has occurred and is then continuing, the other party (the “Non-defaulting
Party”) may, by not more than 20 days notice to the Defaulting Party specifying the relevant Event of Default,
designate a day not earlier than the day such notice is effective as an Early Termination Date in respect of
all outstanding Transactions. If, however, “Automatic Early Termination” is specified in the Schedule as
applying to a party, then an Early Termination Date in respect of all outstanding Transactions will occur
immediately upon the occurrence with respect to such party of an Event of Default specified in
Section 5(a)(vii)(1), (3), (5), (6) or, to the extent analogous thereto, (8), and as of the time immediately
preceding the institution of the relevant proceeding or the presentation of the relevant petition upon the
occurrence with respect to such party of an Event of Default specified in Section 5(a)(vii)(4) or, to the extent
analogous thereto, (8).
(b)Right to Terminate Following Termination Event.
(i)Notice. If a Termination Event occurs, an Affected Party will, promptly upon becoming aware of
it, notify the other party, specifying the nature of that Termination Event and each Affected Transaction
and will also give such other information about that Termination Event as the other party may reasonably
require.
(ii)Transfer to Avoid Termination Event. If either an Illegality under Section 5(b)(i)(1) or a Tax
Event occurs and there is only one Affected Party, or if a Tax Event Upon Merger occurs and the
Burdened Party is the Affected Party, the Affected Party will, as a condition to its right to designate
an Early Termination Date under Section 6(b)(iv), use all reasonable efforts (which will not require
such party to incur a loss, excluding immaterial, incidental expenses) to transfer within 20 days after
it gives notice under Section 6(b)(i) all its rights and obligations under this Agreement in respect of
the Affected Transactions to another of its Offices or Affiliates so that such Termination Event
ceases to exist.
If the Affected Party is not able to make such a transfer it will give notice to the other party to that
effect within such 20 day period, whereupon the other party may effect such a transfer within
30 days after the notice is given under Section 6(b)(i).
Any such transfer by a party under this Section 6(b)(ii) will be subject to and conditional upon the
prior written consent of the other party, which consent will not be withheld if such other party’s
policies in effect at such time would permit it to enter into transactions with the transferee on the
terms proposed.
(iii)Two Affected Parties. If an Illegality under Section 5(b)(i)(1) or a Tax Event occurs and there
are two Affected Parties, each party will use all reasonable efforts to reach agreement within 30 days
after notice thereof is given under Section 6(b)(i) on action to avoid that Termination Event.
(iv) Right to Terminate. If: —
(1) a transfer under Section 6(b)(ii) or an agreement under Section 6(b)(iii), as the case may
be, has not been effected with respect to all Affected Transactions within 30 days after an
Affected Party gives notice under Section 6(b)(i); or
(2) an Illegality under Section 5(b)(i)(2), a Credit Event Upon Merger or an Additional
Termination Event occurs, or a Tax Event Upon Merger occurs and the Burdened Party is not
the Affected Party,
either party in the case of an Illegality, the Burdened Party in the case of a Tax Event Upon Merger,
any Affected Party in the case of a Tax Event or an Additional Termination Event if there is more
than one Affected Party, or the party which is not the Affected Party in the case of a Credit Event
Upon Merger or an Additional Termination Event if there is only one Affected Party may, by not
more than 20 days notice to the other party and provided that the relevant Termination Event is then
8
ISDA 1992
continuing, designate a day not earlier than the day such notice is effective as an Early Termination
Date in respect of all Affected Transactions.
(c)Effect of Designation.
(i) If notice designating an Early Termination Date is given under Section 6(a) or (b), the Early
Termination Date will occur on the date so designated, whether or not the relevant Event of Default
or Termination Event is then continuing.
(ii)Upon the occurrence or effective designation of an Early Termination Date, no further
payments or deliveries under Section 2(a)(i) or 2(e) in respect of the Terminated Transactions will
be required to be made, but without prejudice to the other provisions of this Agreement. The amount,
if any, payable in respect of an Early Termination Date shall be determined pursuant to Section 6(e).
(d)Calculations.
(i) Statement. On or as soon as reasonably practicable following the occurrence of an Early
Termination Date, each party will make the calculations on its part, if any, contemplated by Section 6(e)
and will provide to the other party a statement (1) showing, in reasonable detail, such calculations
(including all relevant quotations and specifying any amount payable under Section 6(e)) and (2) giving
details of the relevant account to which any amount payable to it is to be paid. In the absence of written
confirmation from the source of a quotation obtained in determining a Market Quotation, the records of
the party obtaining such quotation will be conclusive evidence of the existence and accuracy of such
quotation.
(ii) Payment Date. An amount calculated as being due in respect of any Early Termination Date
under Section 6(e) will be payable on the day that notice of the amount payable is effective (in the
case of an Early Termination Date which is designated or occurs as a result of an Event of Default)
and on the day which is two Local Business Days after the day on which notice of the amount payable
is effective (in the case of an Early Termination Date which is designated as a result of a Termination
Event). Such amount will be paid together with (to the extent permitted under applicable law)
interest thereon (before as well as after judgment) in the Termination Currency, from (and including)
the relevant Early Termination Date to (but excluding) the date such amount is paid, at the
Applicable Rate. Such interest will be calculated on the basis of daily compounding and the actual
number of days elapsed.
(e)Payments on Early Termination. If an Early Termination Date occurs, the following provisions
shall apply based on the parties’ election in the Schedule of a payment measure, either “Market Quotation”
or “Loss”, and a payment method, either the “First Method” or the “Second Method”. If the parties fail to
designate a payment measure or payment method in the Schedule, it will be deemed that “Market Quotation”
or the “Second Method”, as the case may be, shall apply. The amount, if any, payable in respect of an Early
Termination Date and determined pursuant to this Section will be subject to any Set-off.
(i) Events of Default. If the Early Termination Date results from an Event of Default: —
(1) First Method and Market Quotation. If the First Method and Market Quotation apply, the
Defaulting Party will pay to the Non-defaulting Party the excess, if a positive number, of (A) the
sum of the Settlement Amount (determined by the Non-defaulting Party) in respect of the
Terminated Transactions and the Termination Currency Equivalent of the Unpaid Amounts owing
to the Non-defaulting Party over (B) the Termination Currency Equivalent of the Unpaid Amounts
owing to the Defaulting Party.
(2) First Method and Loss. If the First Method and Loss apply, the Defaulting Party will pay
to the Non-defaulting Party, if a positive number, the Non-defaulting Party’s Loss in respect
of this Agreement.
(3) Second Method and Market Quotation. If the Second Method and Market Quotation apply,
an amount will be payable equal to (A) the sum of the Settlement Amount (determined by the
9
ISDA 1992
Non-defaulting Party) in respect of the Terminated Transactions and the Termination Currency
Equivalent of the Unpaid Amounts owing to the Non-defaulting Party less (B) the Termination
Currency Equivalent of the Unpaid Amounts owing to the Defaulting Party. If that amount is
a positive number, the Defaulting Party will pay it to the Non-defaulting Party; if it is a negative
number, the Non-defaulting Party will pay the absolute value of that amount to the Defaulting
Party.
(4) Second Method and Loss. If the Second Method and Loss apply, an amount will be payable
equal to the Non-defaulting Party’s Loss in respect of this Agreement. If that amount is a
positive number, the Defaulting Party will pay it to the Non-defaulting Party; if it is a negative
number, the Non-defaulting Party will pay the absolute value of that amount to the Defaulting
Party.
(ii)Termination Events. If the Early Termination Date results from a Termination Event: —
(1) One Affected Party. If there is one Affected Party, the amount payable will be determined
in accordance with Section 6(e)(i)(3), if Market Quotation applies, or Section 6(e)(i)(4), if Loss
applies, except that, in either case, references to the Defaulting Party and to the Non-defaulting
Party will be deemed to be references to the Affected Party and the party which is not the
Affected Party, respectively, and, if Loss applies and fewer than all the Transactions are being
terminated, Loss shall be calculated in respect of all Terminated Transactions.
(2) Two Affected Parties. If there are two Affected Parties: —
(A) if Market Quotation applies, each party will determine a Settlement Amount in
respect of the Terminated Transactions, and an amount will be payable equal to (I) the
sum of (a) one-half of the difference between the Settlement Amount of the party with
the higher Settlement Amount (“X”) and the Settlement Amount of the party with the
lower Settlement Amount (“Y”) and (b) the Termination Currency Equivalent of the
Unpaid Amounts owing to X less (II) the Termination Currency Equivalent of the Unpaid
Amounts owing to Y; and
(B) if Loss applies, each party will determine its Loss in respect of this Agreement (or,
if fewer than all the Transactions are being terminated, in respect of all Terminated
Transactions) and an amount will be payable equal to one-half of the difference between
the Loss of the party with the higher Loss (“X”) and the Loss of the party with the lower
Loss (“Y”).
If the amount payable is a positive number, Y will pay it to X; if it is a negative number, X
will pay the absolute value of that amount to Y.
(iii) Adjustment for Bankruptcy. In circumstances where an Early Termination Date occurs
because “Automatic Early Termination” applies in respect of a party, the amount determined under
this Section 6(e) will be subject to such adjustments as are appropriate and permitted by law to
reflect any payments or deliveries made by one party to the other under this Agreement (and retained
by such other party) during the period from the relevant Early Termination Date to the date for
payment determined under Section 6(d)(ii).
(iv)Pre-Estimate. The parties agree that if Market Quotation applies an amount recoverable under
this Section 6(e) is a reasonable pre-estimate of loss and not a penalty. Such amount is payable for
the loss of bargain and the loss of protection against future risks and except as otherwise provided
in this Agreement neither party will be entitled to recover any additional damages as a consequence
of such losses.
10 ISDA 1992
7.Transfer
Subject to Section 6(b)(ii), neither this Agreement nor any interest or obligation in or under this Agreement
may be transferred (whether by way of security or otherwise) by either party without the prior written consent
of the other party, except that: —
(a)a party may make such a transfer of this Agreement pursuant to a consolidation or amalgamation
with, or merger with or into, or transfer of all or substantially all its assets to, another entity (but without
prejudice to any other right or remedy under this Agreement); and
(b)a party may make such a transfer of all or any part of its interest in any amount payable to it from
a Defaulting Party under Section 6(e).
Any purported transfer that is not in compliance with this Section will be void.
8.Contractual Currency
(a)Payment in the Contractual Currency. Each payment under this Agreement will be made in the
relevant currency specified in this Agreement for that payment (the “Contractual Currency”). To the extent
permitted by applicable law, any obligation to make payments under this Agreement in the Contractual
Currency will not be discharged or satisfied by any tender in any currency other than the Contractual
Currency, except to the extent such tender results in the actual receipt by the party to which payment is owed,
acting in a reasonable manner and in good faith in converting the currency so tendered into the Contractual
Currency, of the full amount in the Contractual Currency of all amounts payable in respect of this Agreement.
If for any reason the amount in the Contractual Currency so received falls short of the amount in the
Contractual Currency payable in respect of this Agreement, the party required to make the payment will, to
the extent permitted by applicable law, immediately pay such additional amount in the Contractual Currency
as may be necessary to compensate for the shortfall. If for any reason the amount in the Contractual Currency
so received exceeds the amount in the Contractual Currency payable in respect of this Agreement, the party
receiving the payment will refund promptly the amount of such excess.
(b)Judgments. To the extent permitted by applicable law, if any judgment or order expressed in a
currency other than the Contractual Currency is rendered (i) for the payment of any amount owing in respect
of this Agreement, (ii) for the payment of any amount relating to any early termination in respect of this
Agreement or (iii) in respect of a judgment or order of another court for the payment of any amount described
in (i) or (ii) above, the party seeking recovery, after recovery in full of the aggregate amount to which such
party is entitled pursuant to the judgment or order, will be entitled to receive immediately from the other
party the amount of any shortfall of the Contractual Currency received by such party as a consequence of
sums paid in such other currency and will refund promptly to the other party any excess of the Contractual
Currency received by such party as a consequence of sums paid in such other currency if such shortfall or
such excess arises or results from any variation between the rate of exchange at which the Contractual
Currency is converted into the currency of the judgment or order for the purposes of such judgment or order
and the rate of exchange at which such party is able, acting in a reasonable manner and in good faith in
converting the currency received into the Contractual Currency, to purchase the Contractual Currency with
the amount of the currency of the judgment or order actually received by such party. The term “rate of
exchange” includes, without limitation, any premiums and costs of exchange payable in connection with the
purchase of or conversion into the Contractual Currency.
(c)Separate Indemnities. To the extent permitted by applicable law, these indemnities constitute
separate and independent obligations from the other obligations in this Agreement, will be enforceable as
separate and independent causes of action, will apply notwithstanding any indulgence granted by the party
to which any payment is owed and will not be affected by judgment being obtained or claim or proof being
made for any other sums payable in respect of this Agreement.
(d)Evidence of Loss. For tbe purpose of this Section 8, it will be sufficient for a party to demonstrate
that it would have suffered a loss had an actual exchange or purchase been made.
11 ISDA 1992
9.Miscellaneous
(a)Entire Agreement. This Agreement constitutes the entire agreement and understanding of the parties
with respect to its subject matter and supersedes all oral communication and prior writings with respect
thereto.
(b)Amendments. No amendment, modification or waiver in respect of this Agreement will be effective
unless in writing (including a writing evidenced by a facsimile transmission) and executed by each of the
parties or confirmed by an exchange of telexes or electronic messages on an electronic messaging system.
(c)Survival of Obligations. Without prejudice to Sections 2(a)(iii) and 6(c)(ii), the obligations of the
parties under this Agreement will survive the termination of any Transaction.
(d)Remedies Cumulative. Except as provided in this Agreement, the rights, powers, remedies and
privileges provided in this Agreement are cumulative and not exclusive of any rights, powers, remedies
and privileges provided by law.
(e)Counterparts and Confirmations.
(i) This Agreement (and each amendment, modification and waiver in respect of it) may be
executed and delivered in counterparts (including by facsimile transmission), each of which will be
deemed an original.
(ii) The parties intend that they are legally bound by the terms of each Transaction from the moment
they agree to those terms (whether orally or otherwise). A Confirmation shall he entered into as
soon as practicable and may he executed and delivered in counterparts (including by facsimile
transmission) or be created by an exchange of telexes or by an exchange of electronic messages on
an electronic messaging system, which in each case will be sufficient for all purposes to evidence
a binding supplement to this Agreement. The parties will specify therein or through another effective
means that any such counterpart, telex or electronic message constitutes a Confirmation.
(f)No Waiver of Rights. A failure or delay in exercising any right, power or privilege in respect of this
Agreement will not be presumed to operate as a waiver, and a single or partial exercise of any right, power
or privilege will not be presumed to preclude any subsequent or further exercise, of that right, power or
privilege or the exercise of any other right, power or privilege.
(g)Headings. The headings used in this Agreement are for convenience of reference only and are not
to affect the construction of or to be taken into consideration in interpreting this Agreement.
10.Offices; Multibranch Parties
(a)If Section 10(a) is specified in the Schedule as applying, each party that enters into a Transaction
through an Office other than its head or home office represents to the other party that, notwithstanding the
place of booking office or jurisdiction of incorporation or organisation of such party, the obligations of such
party are the same as if it had entered into the Transaction through its head or home office. This representation
will be deemed to be repeated by such party on each date on which a Transaction is entered into.
(b)Neither party may change the Office through which it makes and receives payments or deliveries
for the purpose of a Transaction without the prior written consent of the other party.
(c)If a party is specified as a Multibranch Party in the Schedule, such Multibranch Party may make
and receive payments or deliveries under any Transaction through any Office listed in the Schedule, and the
Office through which it makes and receives payments or deliveries with respect to a Transaction will be
specified in the relevant Confirmation.
11.Expenses
A Defaulting Party will, on demand, indemnify and hold harmless the other party for and against all
reasonable out-of-pocket expenses, including legal fees and Stamp Tax, incurred by such other party by
reason of the enforcement and protection of its rights under this Agreement or any Credit Support Document
12 ISDA 1992
to which the Defaulting Party is a party or by reason of the early termination of any Transaction, including,
but not limited to, costs of collection.
12.Notices
(a)Effectiveness. Any notice or other communication in respect of this Agreement may be given in any
manner set forth below (except that a notice or other communication under Section 5 or 6 may not be given
by facsimile transmission or electronic messaging system) to the address or number or in accordance with
the electronic messaging system details provided (see the Schedule) and will be deemed effective as
indicated:—
(i)if in writing and delivered in person or by courier, on the date it is delivered;
(ii)if sent by telex, on the date the recipient’s answerback is received;
(iii) if sent by facsimile transmission, on the date that transmission is received by a responsible
employee of the recipient in legible form (it being agreed that the burden of proving receipt will be
on the sender and will not be met by a transmission report generated by the sender’s facsimile
machine);
(iv)if sent by certified or registered mail (airmail, if overseas) or the equivalent (return receipt
requested), on the date that mail is delivered or its delivery is attempted; or
(v)if sent by electronic messaging system, on the date that electronic message is received,
unless the date of that delivery (or attempted delivery) or that receipt, as applicable, is not a Local Business
Day or that communication is delivered (or attempted) or received, as applicable, after the close of business
on a Local Business Day, in which case that communication shall be deemed given and effective on the first
following day that is a Local Business Day.
(b)Change of Addresses. Either party may by notice to the other change the address, telex or facsimile
number or electronic messaging system details at which notices or other communications are to be given to
it.
13.Governing Law and Jurisdiction
(a)Governing Law. This Agreement will be governed by and construed in accordance with the law
specified in the Schedule.
(b)Jurisdiction. With respect to any suit, action or proceedings relating to this Agreement
(“Proceedings”), each party irrevocably:—
(i)submits to the jurisdiction of the English courts, if this Agreement is expressed to be governed
by English law, or to the non-exclusive jurisdiction of the courts of the State of New York and the
United States District Court located in the Borough of Manhattan in New York City, if this
Agreement is expressed to be governed by the laws of the State of New York; and
(ii) waives any objection which it may have at any time to the laying of venue of any Proceedings
brought in any such court, waives any claim that such Proceedings have been brought in an
inconvenient forum and further waives the right to object, with respect to such Proceedings, that
such court does not have any jurisdiction over such party.
Nothing in this Agreement precludes either party from bringing Proceedings in any other jurisdiction
(outside, if this Agreement is expressed to be governed by English law, the Contracting States, as defined
in Section 1(3) of the Civil Jurisdiction and Judgments Act 1982 or any modification, extension or
re-enactment thereof for the time being in force) nor will the bringing of Proceedings in any one or more
jurisdictions preclude the bringing of Proceedings in any other jurisdiction.
(c)Service of Process. Each party irrevocably appoints the Process Agent (if any) specified opposite
its name in the Schedule to receive, for it and on its behalf, service of process in any Proceedings. If for any
13 ISDA 1992
reason any party’s Process Agent is unable to act as such, such party will promptly notify the other party
and within 30 days appoint a substitute process agent acceptable to the other party. The parties irrevocably
consent to service of process given in the manner provided for notices in Section 12. Nothing in this
Agreement will affect the right of either party to serve process in any other manner permitted by law.
(d)Waiver of Immunities. Each party irrevocably waives, to the fullest extent permitted by applicable
law, with respect to itself and its revenues and assets (irrespective of their use or intended use), all immunity
on the grounds of sovereignty or other similar grounds from (i) suit, (ii) jurisdiction of any court, (iii) relief
by way of injunction, order for specific performance or for recovery of property, (iv) attachment of its assets
(whether before or after judgment) and (v) execution or enforcement of any judgment to which it or its
revenues or assets might otherwise be entitled in any Proceedings in the courts of any jurisdiction and
irrevocably agrees, to the extent permitted by applicable law, that it will not claim any such immunity in any
Proceedings.
14.Definitions
As used in this Agreement:—
“Additional Termination Event” has the meaning specified in Section 5(b).
“Affected Party” has the meaning specified in Section 5(b).
“Affected Transactions” means (a) with respect to any Termination Event consisting of an Illegality, Tax
Event or Tax Event Upon Merger, all Transactions affected by the occurrence of such Termination Event
and (b) with respect to any other Termination Event, all Transactions.
“Affiliate” means, subject to the Schedule, in relation to any person, any entity controlled, directly or
indirectly, by the person, any entity that controls, directly or indirectly, the person or any entity directly or
indirectly under common control with the person. For this purpose, “control” of any entity or person means
ownership of a majority of the voting power of the entity or person.
“Applicable Rate” means:—
(a)in respect of obligations payable or deliverable (or which would have been but for Section 2(a)(iii))
by a Defaulting Party, the Default Rate;
(b)in respect of an obligation to pay an amount under Section 6(e) of either party from and after the date
(determined in accordance with Section 6(d)(ii)) on which that amount is payable, the Default Rate;
(c)in respect of all other obligations payable or deliverable (or which would have been but for
Section 2(a)(iii)) by a Non-defaulting Party, the Non-default Rate; and
(d)in all other cases, the Termination Rate.
“Burdened Party” has the meaning specified in Section 5(b).
“Change in Tax Law” means the enactment, promulgation, execution or ratification of, or any change in or
amendment to, any law (or in the application or official interpretation of any law) that occurs on or after the
date on which the relevant Transaction is entered into.
“consent” includes a consent, approval, action, authorisation, exemption, notice, filing, registration or
exchange control consent.
“Credit Event Upon Merger” has the meaning specified in Section 5(b).
“Credit Support Document” means any agreement or instrument that is specified as such in this Agreement.
“Credit Support Provider” has the meaning specified in the Schedule.
“Default Rate” means a rate per annum equal to the cost (without proof or evidence of any actual cost) to
the relevant payee (as certified by it) if it were to fund or of funding the relevant amount plus 1% per annum.
14ISDA 1992
“Defaulting Party” has the meaning specified in Section 6(a).
“Early Termination Date” means the date determined in accordance with Section 6(a) or 6(b)(iv).
“Event of Default” has the meaning specified in Section 5(a) and, if applicable, in the Schedule.
“Illegality” has the meaning specified in Section 5(b).
“Indemnifiable Tax” means any Tax other than a Tax that would not be imposed in respect of a payment
under this Agreement but for a present or former connection between the jurisdiction of the government or
taxation authority imposing such Tax and the recipient of such payment or a person related to such recipient
(including, without limitation, a connection arising from such recipient or related person being or having
been a citizen or resident of such jurisdiction, or being or having been organised, present or engaged in a
trade or business in such jurisdiction, or having or having had a permanent establishment or fixed place of
business in such jurisdiction, but excluding a connection arising solely from such recipient or related person
having executed, delivered, performed its obligations or received a payment under, or enforced, this
Agreement or a Credit Support Document).
“law” includes any treaty, law, rule or regulation (as modified, in the case of tax matters, by the practice of
any relevant governmental revenue authority) and “lawful” and “unlawful” will be construed accordingly.
“Local Business Day” means, subject to the Schedule, a day on which commercial banks are open for
business (including dealings in foreign exchange and foreign currency deposits) (a) in relation to any
obligation under Section 2(a)(i), in the place(s) specified in the relevant Confirmation or, if not so specified,
as otherwise agreed by the parties in writing or determined pursuant to provisions contained, or incorporated
by reference, in this Agreement, (b) in relation to any other payment, in the place where the relevant account
is located and, if different, in the principal financial centre, if any, of the currency of such payment, (c) in
relation to any notice or other communication, including notice contemplated under Section 5(a)(i), in the
city specified in the address for notice provided by the recipient and, in the case of a notice contemplated
by Section 2(b), in the place where the relevant new account is to be located and (d) in relation to
Section 5(a)(v)(2), in the relevant locations for performance with respect to such Specified Transaction.
“Loss” means, with respect to this Agreement or one or more Terminated Transactions, as the case may be, and
a party, the Termination Currency Equivalent of an amount that party reasonably determines in good faith to be
its total losses and costs (or gain, in which case expressed as a negative number) in connection with this Agreement
or that Terminated Transaction or group of Terminated Transactions, as the case may be, including any loss of
bargain, cost of funding or, at the election of such party but without duplication, loss or cost incurred as a result
of its terminating, liquidating, obtaining or reestablishing any hedge or related trading position (or any gain
resulting from any of them). Loss includes losses and costs (or gains) in respect of any payment or delivery
required to have been made (assuming satisfaction of each applicable condition precedent) on or before the
relevant Early Termination Date and not made, except, so as to avoid duplication, if Section 6(e)(i)(1) or (3) or
6(e)(ii)(2)(A) applies. Loss does not include a party’s legal fees and out-of-pocket expenses referred to under
Section 11. A party will determine its Loss as of the relevant Early Termination Date, or, if that is not reasonably
practicable, as of the earliest date thereafter as is reasonably practicable. A party may (but need not) determine
its Loss by reference to quotations of relevant rates or prices from one or more leading dealers in the relevant
markets.
“Market Quotation” means, with respect to one or more Terminated Transactions and a party making the
determination, an amount determined on the basis of quotations from Reference Market-makers. Each
quotation will be for an amount, if any, that would be paid to such party (expressed as a negative number)
or by such party (expressed as a positive number) in consideration of an agreement between such party (taking
into account any existing Credit Support Document with respect to the obligations of such party) and the
quoting Reference Market-maker to enter into a transaction (the “Replacement Transaction”) that would
have the effect of preserving for such party the economic equivalent of any payment or delivery (whether
the underlying obligation was absolute or contingent and assuming the satisfaction of each applicable
condition precedent) by the parties under Section 2(a)(i) in respect of such Terminated Transaction or group
of Terminated Transactions that would, but for the occurrence of the relevant Early Termination Date, have
15 ISDA 1992
been required after that date. For this purpose, Unpaid Amounts in respect of the Terminated Transaction or
group of Terminated Transactions are to be excluded but, without limitation, any payment or delivery that
would, but for the relevant Early Termination Date, have been required (assuming satisfaction of each
applicable condition precedent) after that Early Termination Date is to be included. The Replacement
Transaction would be subject to such documentation as such party and the Reference Market-maker may, in
good faith, agree. The party making the determination (or its agent) will request each Reference
Market-maker to provide its quotation to the extent reasonably practicable as of the same day and time
(without regard to different time zones) on or as soon as reasonably practicable after the relevant Early
Termination Date. The day and time as of which those quotations are to be obtained will be selected in good
faith by the party obliged to make a determination under Section 6(e), and, if each party is so obliged, after
consultation with the other. If more than three quotations are provided, the Market Quotation will be the
arithmetic mean of the quotations, without regard to the quotations having the highest and lowest values. If
exactly three such quotations are provided, the Market Quotation will be the quotation remaining after
disregarding the highest and lowest quotations. For this purpose, if more than one quotation has the same
highest value or lowest value, then one of such quotations shall be disregarded. If fewer than three quotations
are provided, it will be deemed that the Market Quotation in respect of such Terminated Transaction or group
of Terminated Transactions cannot be determined.
“Non-default Rate” means a rate per annum equal to the cost (without proof or evidence of any actual cost)
to the Non-defaulting Party (as certified by it) if it were to fund the relevant amount.
“Non-defaulting Party” has the meaning specified in Section 6(a).
“Office” means a branch or office of a party, which may be such party’s head or home office.
“Potential Event of Default” means any event which, with the giving of notice or the lapse of time or both,
would constitute an Event of Default.
“Reference Market-makers” means four leading dealers in the relevant market selected by the party
determining a Market Quotation in good faith (a) from among dealers of the highest credit standing which
satisfy all the criteria that such party applies generally at the time in deciding whether to offer or to make
an extension of credit and (b) to the extent practicable, from among such dealers having an office in the same
city.
“Relevant Jurisdiction” means, with respect to a party, the jurisdictions (a) in which the party is
incorporated, organised, managed and controlled or considered to have its seat, (b) where an Office through
which the party is acting for purposes of this Agreement is located, (c) in which the party executes this
Agreement and (d) in relation to any payment, from or through which such payment is made.
“Scheduled Payment Date” means a date on which a payment or delivery is to be made under Section 2(a)(i)
with respect to a Transaction.
“Set-off” means set-off, offset, combination of accounts, right of retention or withholding or similar right
or requirement to which the payer of an amount under Section 6 is entitled or subject (whether arising under
this Agreement, another contract, applicable law or otherwise) that is exercised by, or imposed on, such
payer.
“Settlement Amount” means, with respect to a party and any Early Termination Date, the sum of: —
(a) the Termination Currency Equivalent of the Market Quotations (whether positive or negative) for each
Terminated Transaction or group of Terminated Transactions for which a Market Quotation is determined;
and
(b)such party’s Loss (whether positive or negative and without reference to any Unpaid Amounts) for
each Terminated Transaction or group of Terminated Transactions for which a Market Quotation cannot be
determined or would not (in the reasonable belief of the party making the determination) produce a
commercially reasonable result.
“Specified Entity” has the meanings specified in the Schedule.
16 ISDA 1992
“Specified Indebtedness” means, subject to the Schedule, any obligation (whether present or future,
contingent or otherwise, as principal or surety or otherwise) in respect of borrowed money.
“Specified Transaction” means, subject to the Schedule, (a) any transaction (including an agreement with respect
thereto) now existing or hereafter entered into between one party to this Agreement (or any Credit Support
Provider of such party or any applicable Specified Entity of such party) and the other party to this Agreement (or
any Credit Support Provider of such other party or any applicable Specified Entity of such other party) which is
a rate swap transaction, basis swap, forward rate transaction, commodity swap, commodity option, equity or
equity index swap, equity or equity index option, bond option, interest rate option, foreign exchange transaction,
cap transaction, floor transaction, collar transaction, currency swap transaction, cross-currency rate swap
transaction, currency option or any other similar transaction (including any option with respect to any of these
transactions), (b) any combination of these transactions and (c) any other transaction identified as a Specified
Transaction in this Agreement or the relevant confirmation.
“Stamp Tax” means any stamp, registration, documentation or similar tax.
“Tax” means any present or future tax, levy, impost, duty, charge, assessment or fee of any nature (including
interest, penalties and additions thereto) that is imposed by any government or other taxing authority in
respect of any payment under this Agreement other than a stamp, registration, documentation or similar tax.
“Tax Event” has the meaning specified in Section 5(b).
“Tax Event Upon Merger” has the meaning specified in Section 5(b).
“Terminated Transactions” means with respect to any Early Termination Date (a) if resulting from a
Termination Event, all Affected Transactions and (b) if resulting from an Event of Default, all Transactions
(in either case) in effect immediately before the effectiveness of the notice designating that Early Termination
Date (or, if “Automatic Early Termination” applies, immediately before that Early Termination Date).
“Termination Currency” has the meaning specified in the Schedule.
“Termination Currency Equivalent” means, in respect of any amount denominated in the Termination
Currency, such Termination Currency amount and, in respect of any amount denominated in a currency other
than the Termination Currency (the “Other Currency”), the amount in the Termination Currency determined
by the party making the relevant determination as being required to purchase such amount of such Other
Currency as at the relevant Early Termination Date, or, if the relevant Market Quotation or Loss (as the case
may be), is determined as of a later date, that later date, with the Termination Currency at the rate equal to
the spot exchange rate of the foreign exchange agent (selected as provided below) for the purchase of such
Other Currency with the Termination Currency at or about 11:00 a.m. (in the city in which such foreign
exchange agent is located) on such date as would be customary for the determination of such a rate for the
purchase of such Other Currency for value on the relevant Early Termination Date or that later date. The
foreign exchange agent will, if only one party is obliged to make a determination under Section 6(e), be
selected in good faith by that party and otherwise will be agreed by the parties.
“Termination Event” means an Illegality, a Tax Event or a Tax Event Upon Merger or, if specified to be
applicable, a Credit Event Upon Merger or an Additional Termination Event.
“Termination Rate” means a rate per annum equal to the arithmetic mean of the cost (without proof or
evidence of any actual cost) to each party (as certified by such party) if it were to fund or of funding such
amounts.
“Unpaid Amounts” owing to any party means, with respect to an Early Termination Date, the aggregate of
(a) in respect of all Terminated Transactions, the amounts that became payable (or that would have become
payable but for Section 2(a)(iii)) to such party under Section 2(a)(i) on or prior to such Early Termination
Date and which remain unpaid as at such Early Termination Date and (b) in respect of each Terminated
Transaction, for each obligation under Section 2(a)(i) which was (or would have been but for
Section 2(a)(iii)) required to be settled by delivery to such party on or prior to such Early Termination Date
and which has not been so settled as at such Early Termination Date, an amount equal to the fair market
17 ISDA 1992
value of that which was (or would have been) required to be delivered as of the originally scheduled date
for delivery, in each case together with (to the extent permitted under applicable law) interest, in the currency
of such amounts, from (and including) the date such amounts or obligations were or would have been required
to have been paid or performed to (but excluding) such Early Termination Date, at the Applicable Rate. Such
amounts of interest will be calculated on the basis of daily compounding and the actual number of days
elapsed. The fair market value of any obligation referred to in clause (b) above shall be reasonably
determined by the party obliged to make the determination under Section 6(e) or, if each party is so obliged,
it shall be the average of the Termination Currency Equivalents of the fair market values reasonably
determined by both parties.
IN WITNESS WHEREOF the parties have executed this document on the respective dates specified below
with effect from the date specified on the first page of this document.
18 ISDA 1992
.............................................................................
.........................................................................
(Name of Party)
(Name of Party)
By: ......................................................................By: .................................................................
Name:Name:
Title:Title:
Date:Date:
By: .....................................................................By: .................................................................
Name:Name:
Title:Title:
Date:Date:
UBS AG
FOR REFERENCE ONLY
SUBJECT TO FURTHER APPROVAL BY UBS
19
SCHEDULE
to the
Master Agreement
dated as of ________________
between
UBS AG
("Party A")
a bank organised under the laws of
Switzerland
And [ ]
("Party B")
a corporation/partnership/national banking
association/etc. organised under the laws of [ ]
Part 1
Termination Provisions
(a)"Specified Entity" means:
(i)in relation to Party A for the purpose of:
Section 5(a)(v) of this Agreement, [ ],
Section 5(a)(vi) of this Agreement, [ ],
Section 5(a)(vii) of this Agreement, [ ],
Section 5(b)(iv) of this Agreement, [ ]; and
(ii)in relation to Party B for the purpose of:
Section 5(a)(v) of this Agreement, [ ],
Section 5(a)(vi) of this Agreement, [ ],
Section 5(a)(vii) of this Agreement, [ ],
Section 5(b)(iv) of this Agreement, [ ].
(b)Specified Transaction will not have the meaning specified in Section 14 of this Agreement and instead
means, (a) any transaction (including an agreement with respect to any such transaction) now existing or
hereafter entered into between one party to this Agreement (or any Credit Support Provider of such party or
any applicable Specified Entity of such party) and the other party to this Agreement (or any Credit Support
Provider of such other party or any applicable Specified Entity of such other party) which is not a Transaction
under this Agreement but (i) which is a rate swap transaction, swap option, basis swap, forward rate
transaction, commodity swap, commodity option, equity or equity index swap, equity or equity index option,
bond option, interest rate option, foreign exchange transaction, cap transaction, floor transaction, collar
transaction, currency swap transaction, cross-currency rate swap transaction, currency option, credit
protection transaction, credit swap, credit default swap, credit default option, total return swap, credit spread
transaction, repurchase transaction, reverse repurchase transaction, buy/sell-back transaction, securities
lending transaction, weather index transaction, precious metal transaction, letters of credit reimbursement
obligation, indebtedness for borrowed money (whether or not evidenced by a note or similar instrument) and
any amounts payable under any prime brokerage or centrally cleared derivative agreements, or forward
purchase or sale of a security, commodity or other financial instrument or interest (including any option with
respect to any of these transactions) or (ii) which is a type of transaction that is similar to any transaction
referred to in clause (i) above that is currently, or in the future becomes, recurrently entered into in the
financial markets (including terms and conditions incorporated by reference in such agreement) and which is
a forward, swap, future, option or other derivative on one or more rates, currencies, commodities, equity
securities or other equity instruments, debt securities or other debt instruments, economic indices or measures
of economic risk or value, or other benchmarks against which payments or deliveries are to be made, (b) any
combination of these transactions and (c) any other transaction identified as a Specified Transaction in this
Agreement or the relevant confirmation.
(c)The Cross Default provisions of Section 5(a)(vi) of this Agreement, as modified below, will apply to Party A
and to Party B. Section 5(a)(vi) of this Agreement is hereby amended by the addition of the following at the
end thereof:
FOR REFERENCE ONLY
SUBJECT TO FURTHER APPROVAL BY UBS
20
"provided, however, that notwithstanding the foregoing, an Event of Default shall not occur under either (1)
or (2) above if, as demonstrated to the reasonable satisfaction of the other party, (a) the event or condition
referred to in (1) or the failure to pay referred to in (2) is a failure to pay caused by an error or omission of
an administrative or operational nature; and (b) funds were available to such party to enable it to make the
relevant payment when due; and (c) such relevant payment is made within three Business Days following
receipt of written notice from an interested party of such failure to pay."
"Specified Indebtedness" means any obligation (whether present or future, contingent or otherwise as
principal or surety or otherwise) for the payment or repayment of any money.
"Threshold Amount" means:
(i) in relation to Party A: an amount equal to [ ]% of shareholder’s equity (howsoever described) of
Party A as shown on the most recent annual audited financial statements of Party A; and
(ii) in relation to Party B, or any Credit Support Provider or Specified Entity of Party B: an amount equal
to [ ]% of Net Asset Value (as defined in Part 5 below) of Party B, or the relevant Credit Support
Provider or Specified Entity of Party B.
(d) The Credit Event Upon Merger provisions of Section 5(b)(iv) of this Agreement do not apply to either party
(e) The Automatic Early Termination provision of Section 6(a) of this Agreement will apply to Party A and will
[not] apply to Party B.
(f) Payments on Early Termination for the purpose of Section 6(e) of this Agreement: (i) Loss shall apply;
and (ii) the Second Method shall apply.
(g) "Termination Currency" means one of the currencies in which payments are required to be made pursuant
to a Confirmation in respect of a Terminated Transaction selected by the Non-defaulting Party or the non-
Affected Party, as the case may be, or, in the circumstances where there are two Affected Parties, as agreed
between the parties or, failing such agreement as aforesaid, or if the currency so selected is not freely
available, the Termination Currency shall be USD Dollars.
(h) Additional Termination Event will apply. The following shall constitute Additional Termination Events. Upon
the occurrence of any one of the events or circumstances specified below, Party B shall be the Affected Party
and all Transactions shall be Affected Transactions:
[ ]
FOR REFERENCE ONLY
SUBJECT TO FURTHER APPROVAL BY UBS
21
Part 2
Tax Representations
(a) Payer Tax Representations. For the purpose of Section 3(e) of this Agreement, Party A and Party B each
makes the following representation:
It is not required by any applicable law, as modified by the practice of any relevant governmental revenue
authority, of any Relevant Jurisdiction to make any deduction or withholding for or on account of any Tax
from any payment (other than interest under Section 2(e), 6(d)(ii) or 6(e) of this Agreement) to be made by
it to the other party under this Agreement. In making this representation, it may rely on (i) the accuracy of
any representations made by the other party pursuant to Section 3(f) of this Agreement, (ii) the satisfaction
of the agreement contained in Section 4(a)(i) or 4(a)(iii) of this Agreement and the accuracy and effectiveness
of any document provided by the other party pursuant to Section 4(a)(i) or 4(a)(iii) of this Agreement and (iii)
the satisfaction of the agreement of the other party contained in Section 4(d) of this Agreement, PROVIDED
THAT it shall not be a breach of this representation where reliance is placed on sub-clause (ii) above and the
other party does not deliver a form or document under Section 4(a)(iii) by reason of material prejudice to its
legal or commercial position.
(b) Payee Tax Representations. For the purpose of Section 3(f) of this Agreement, Party A and Party B make
no representations.
FOR REFERENCE ONLY
SUBJECT TO FURTHER APPROVAL BY UBS
22
Part 3
Agreement to Deliver Documents
For the purposes of Sections 3(d), 4(a)(i) and (ii) of this Agreement, each party agrees to supply the following
documents:
(a) Tax forms, documents or certificates to be delivered are:
Each party agrees to complete, accurately and in a manner reasonably satisfactory to the other party (or any
Specified Entity of the other party), and to execute, arrange for any required certification of, and deliver to
the other party (or such Specified Entity) (or to such government or taxing authority as the other party (or
such Specified Entity) reasonably directs), any form or document that may be required or reasonably
requested in order to allow the other party (or such Specified Entity) to make a payment under this Agreement
(or a Credit Support Document of the other party or a Specified Entity thereof) without any deduction or
withholding for or on account of any Tax or with such deduction or withholding at a reduced rate, promptly
upon the earlier of (i) reasonable demand by the other party (or such Specified Entity) and (ii) learning that
the form or document is required.
(b) Other documents to be delivered are:
PARTY REQUIRED
TO DELIVER
DOCUMENT:
FORM/DOCUMENT/
CERTIFICATE:
DATE BY WHICH
TO BE DELIVERED:
COVERED BY SECTION
3(D) REPRESENTATION:
Party A and Party B Evidence of the authority
and true signatures of
each official or
representative signing this
Agreement or, as the case
may be, a Confirmation,
on its behalf.
On or before execution of
this Agreement and each
Confirmation forming a
part of this Agreement.
Yes
Party B Copy of the resolution of
Party B’s Board of
Directors (or equivalent
authorising
documentation)
authorising the execution
and delivery of this
Agreement and each
Confirmation and
performance of its
obligations hereunder.
On or before execution of
this Agreement.
Yes
Party B Copies of Memorandum
and Articles of Association
of Party B, and Certificate
of Incorporation (or
equivalent constitutive
documents).
On or before execution of
this Agreement.
Yes
Party B
Annual Audited
Financial Statements
As soon as practicable but
in any event within [ ] days
of the end of each
financial year
Yes
Party B Semi-annual unaudited
financial statements.
As soon as practicable but
in any event within [ ] days
of the end of each
financial mid-year
Yes
FOR REFERENCE ONLY
SUBJECT TO FURTHER APPROVAL BY UBS
23
Party B Letter of Process Agent of
Party B confirming
acceptance of
appointment.
On or before execution of
this Agreement.
Yes
Party B Net Asset Value and Net
Asset Value per Share to
be provided by an
independent third party
Within [ ] days of the last
Local Business Day in each
calendar month
Yes
Party B Any other information
which Party A may
reasonably request from
Party B from time to time
Upon request of Party A Yes
FOR REFERENCE ONLY
SUBJECT TO FURTHER APPROVAL BY UBS
24
Part 4
Miscellaneous
(a) Address for Notices. For the purpose of Section 12(a) of this Agreement:
Address for notices or communications to Party A shall, with respect to a particular Transaction, be sent to
the address, telex number or facsimile number specified in the Confirmation for the relevant Transaction,
and any notice for the purposes of Sections 5 or 6 of this Agreement shall be sent to the address, telex
number or facsimile specified below:
Address: UBS AG, Hong Kong Branch,
52/F, Two International Finance Centre, Central, Hong Kong
Attention: Legal Department
Telephone: +852 3712 2282
With a copy to:
Address: UBS AG, London Branch
5 Broadgate, London EC2M 2QS
Attention: Legal Department
Copy to email: ol-notices-admin@ubs.com
Telephone: +44 20 7567 8000
Address for notices or communications to Party B shall be sent to the address, telex number or facsimile
number specified below:
Address:
Attention:
Telephone:
Electronic Messaging Details:
(b) Process Agent. For the purpose of Section 13(c) of this Agreement: In respect of Party A: Not applicable.
In respect of Party B, Party B appoints as its Process Agent:
(c) Offices. The provisions of Section 10(a) of this Agreement will apply to Party A and Party B.
(d) Multibranch Party. For the purpose of Section 10(c) of this Agreement:
(i) Party A is a Multibranch Party and may act through its branches in any of the following territories or
countries:
Australia, England and Wales, Hong Kong, Singapore, and Switzerland.
(ii) Party B is not a Multibranch Party.
(e) Calculation Agent. The Calculation Agent is Party A, unless otherwise specified in a Confirmation in relation
to the relevant Transaction.
(f) Credit Support Document. Details of any Credit Support Document in relation to Party A and Party B: not
applicable.
(g) Credit Support Provider. Credit Support Provider means in relation to Party A and Party B: not applicable.
(h) Governing Law. This Agreement and any non-contractual obligations arising out of or in connection with
it or with the subject matter of this contract shall be governed by, and construed in accordance with, English
law.
FOR REFERENCE ONLY
SUBJECT TO FURTHER APPROVAL BY UBS
25
(i) Netting of Payments. Subparagraph (ii) of Section 2(c) of this Agreement will apply, except for the following
groups of Transactions which shall be treated separately: (1) FX Transactions (including FX Transactions
resulting from the exercise of Currency Option Transactions), (2) premium payable under Currency Option
Transactions (each of (1) and (2) as defined in the 1998 FX and Currency Option Definitions) and (3)
Commodity Transactions (as defined in the 2005 ISDA Commodity Definitions), in which case subparagraph
(ii) of Section 2(c) of this Agreement will not apply.
(j) Affiliate . will have the meaning specified in Section 14 of this Agreement.
FOR REFERENCE ONLY
SUBJECT TO FURTHER APPROVAL BY UBS
26
Part 5
Other Provisions
(a) Set-off. Without affecting the provisions of the Agreement requiring the calculation of certain net payment
amounts, all payments under this Agreement will be made without set-off or counterclaim; provided,
however, that upon the designation of an Early Termination Date following an Event of Default, or a
Termination Event under Section 5(b)(iv) or Section 5(b)(v), in addition to and not in limitation of any other
right or remedy (including any right to set off, counterclaim, or otherwise withhold payment or any recourse
to any Credit Support Document) under applicable law the Non-defaulting Party or non-Affected Party (in
either case, “X”) may without prior notice to any person set off any sum or obligation (whether or not arising
under this Agreement and whether matured or unmatured, whether or not contingent and irrespective of
the currency, place of payment or booking office of the sum or obligation) owed by the Defaulting Party or
Affected Party (in either case, “Y”) to X or any Affiliate of X against any sum or obligation (whether or not
arising under this Agreement, whether matured or unmatured, whether or not contingent and irrespective
of the currency, place of payment or booking office of the sum or obligation) owed by X or any Affiliate of X
to Y and, for this purpose, may convert one currency into another at a market rate determined by X. If any
sum or obligation is unascertained, X may in good faith estimate that sum or obligation and set-off in respect
of that estimate, subject to X or Y, as the case may be, accounting to the other party when such sum or
obligation is ascertained. Nothing in this Agreement shall create or be deemed to create any charge under
English law.
(b) Representations. Section 3(a) of this Agreement is hereby amended by the deletion of "and" at the end
of Section 3(a)(iv); the substitution of a comma for the period at the end of Section 3(a)(v) and the addition
of Section 3(a)(vi) as follows:
"(vi) No Agency. It is entering into this Agreement and each Transaction as principal (and not as agent
or in any other capacity, fiduciary or otherwise).”
(c) Waiver Of Jury Trial. Each party hereby irrevocably waives any and all right to trial by jury in any suit, action
or proceeding arising out of or relating to this agreement or any transaction and acknowledges that this
waiver is a material inducement to the other party's entering into this agreement.
(d) Consent to Recording. Each party (i) consents to the recording of all telephone conversations between
trading, operations and marketing personnel of the parties and their Affiliates in connection with this
Agreement or any potential Transaction; (ii) agrees to give notice to such personnel of it and its Affiliates that
their calls will be recorded; and (iii) agrees that in any Proceedings, it will not object to the introduction of
such recordings in evidence on the ground that consent was not properly given.
(e) Scope of Agreement. Upon the effectiveness of this Agreement and unless the parties to this Agreement
otherwise agree in writing, by specific reference to this Agreement, that this provision does not apply, all
Derivative Transactions (as defined below) then outstanding, or which may be entered into thereafter,
between the parties, including Transactions entered into by the parties through Offices, if any, listed in Part
4(d), are deemed to be Transactions governed by this Agreement and any confirmation or other confirming
evidence of the Transaction is deemed to be a Confirmation.
"Derivative Transaction" means any transaction (including an agreement with respect thereto) which is a
rate swap transaction, swap option, basis swap, forward rate transaction, commodity swap, commodity
option, equity or equity index swap, equity or equity index option, bond option, interest rate option, foreign
exchange transaction, cap transaction, floor transaction, collar transaction, currency swap transaction, cross-
currency rate swap transaction, currency option, credit protection transaction, credit swap, credit default
swap, credit default option, total return swap, credit spread transaction, weather index transaction,
bullion/precious metal transaction, base metal transaction, or forward purchase or sale of a security,
commodity or other financial instrument or interest, or any other similar transaction (including any option
with respect to any of these transactions) and any combination of these transactions.
(f) ISDA Definitions. (i) The provisions of the 1998 FX and Currency Option Definitions (as published by the
International Swaps and Derivatives Association, Inc., the Emerging Markets Traders Association and the
Foreign Exchange Committee) (the “1998 FX Definitions”) are hereby incorporated in their entirety and shall
apply to any FX Transaction or Currency Option Transaction as defined in Section 1.12 and Section 1.5,
FOR REFERENCE ONLY
SUBJECT TO FURTHER APPROVAL BY UBS
27
respectively, of Article 1 of the 1998 FX Definitions (each an “FX Transaction” or “Currency Option
Transaction”, respectively) entered into by the parties hereto (unless, in relation to a particular FX Transaction
or Currency Option Transaction, as otherwise specified in the relevant Confirmation); and
(ii) The provisions of the 2005 ISDA Commodity Definitions (as published by the International Swaps and
Derivatives Association, Inc.) (the “Commodity Definitions”) are hereby incorporated in their entirety and shall
apply to any Transaction as defined in Section 1.1 of Article 1 of the Commodity Definitions (each a
“Commodity Transaction”) entered into by the parties hereto (unless, in relation to a particular Commodity
Transaction, as otherwise specified in the relevant Confirmation).
(g) Relationship between the Parties.
This Agreement is hereby amended by the addition of a new Section 15 as follows:
“15. Relationship between the Parties.
Each party will be deemed to represent to the other party on the date on which it enters into a
Transaction (absent a written agreement between the parties that expressly imposes affirmative
obligations to the contrary for that Transaction):
(i) Non Reliance. It is acting for its own account, and it has made its own independent
decisions to enter into that transaction and as to whether that Transaction is appropriate or
proper for it based upon its own judgement and upon advice from such advisers as it has
deemed necessary. It is not relying on any communication (written or oral) of the other
party as investment advice or as a recommendation to enter into that Transaction; it being
understood that information and explanations related to the terms and conditions of a
Transaction shall not be considered investment advice or a recommendation to enter into
that Transaction. No communication (written or oral) received from the other party shall be
deemed to be an assurance or guarantee as to the expected results of that Transaction.
(ii) Assessment and Understanding. It is capable of assessing the merits of and
understanding (on its own behalf or through independent professional advice), and
understands and accepts, the terms, conditions and risks of that Transaction. It is also
capable of assuming, and assumes, the risks of that Transaction.
(iii) Status of Parties. The other party is not acting as a fiduciary for or an adviser to it in
respect of that Transaction.”
References in this clause to a “party" shall, in the case of UBS AG and where the context so
allows, include reference to any Affiliate of UBS AG.
(h) Agreements. Section 4 of this Agreement is hereby amended by the addition of Section 4(f) as follows:
“(f) Physical Delivery. In respect of any physically settled Transactions, it will, at the time of delivery,
be the legal and beneficial owner, free of liens and other encumbrances, of any securities or
commodities it delivers to the other party; and, in addition, with respect to any breach of this Section
4(f), Section 5(a)(ii) of this Agreement is hereby amended by the insertion of a full stop after
“Agreement” on the fifth line and the deletion of the remainder of the Section."
(i) Further Representation of Party B. In addition to its representations under Section 3, Party B represents
to Party A (which representations will be deemed to be repeated by Party B on each date on which any
Transaction subsists) that:
(i) It has appointed the Investment Manager to act as its agent for all purposes under this Agreement
(including, without limitation, for the purpose of entering into Transactions on its behalf) (each such
Transaction an “Agency Transaction”); and
(ii) Any person (including, without limitation, the Investment Manager and any person representing or
purporting to represent the Investment Manager signing the Agreement, any Confirmation and any
such person entering into any Transaction, is duly authorised to do so on behalf of Party B;
FOR REFERENCE ONLY
SUBJECT TO FURTHER APPROVAL BY UBS
28
(iii) Each Transaction entered into in connection with this Agreement by the Investment Manager is
suitable and appropriate and in accordance with the investment objectives and guidelines for Party B
on the date such Transaction is entered into; and
(iv) The execution, delivery and performance by the Investment Manager on behalf of Party B does not
conflict with any law or regulation applicable to the Investment Manager, any provision of the
constituent documents of the Investment Manager, any order or judgment of any court or other
agency of government applicable to the Investment Manager, or any of the assets of the Investment
Manager, or any contractual restriction binding on or affecting the Investment Manager, or any assets
of the Investment Manager.
(j) Further Agreements of Party B. In addition to its agreements under Section 4, Party B agrees with Party
A that, so long as either party has or may have any obligations under this Agreement:
(i) Any amounts payable by Party A under this Agreement shall be deemed satisfied when paid by Party
A to the Investment Manager.
(ii) Party B shall be bound as principal of any Agency Transaction entered into by the Investment
Manager or any other person representing or purporting to represent the Investment Manager,
notwithstanding any lack of power or authority on the part of the Investment Manager, or such
other person.
(k) Reliance on Notices. Except as otherwise stated herein, each party may rely upon any oral or written notices
and instructions reasonably believed to be originated from the other party or its duly authorised agent (including,
for Party B, the Investment Adviser) and does not incur any liability to the other party in acting in accordance
with those notices and instructions.
(l) Termination Notice. Section 6(b)(i) of this Agreement is modified by the addition of the words “and in any
event within one Local Business Day,” after the words “promptly upon becoming aware of it,” in the first
and second lines thereof.
(m) Delivery of notices under Sections 5 and 6 by fax. Section 12(a) of this Agreement is amended by the
deletion of the words "facsimile transmission or" in the third line of the first paragraph of that section.
(n) Definitions. Section 14 is hereby amended to include the following definition in its appropriate alphabetical
position:
"Level of Gearing" means the result of dividing the aggregate absolute mark-to-market value of all trading
positions that Party B has outstanding at any time (whether long or short and regardless of whether they are
pair trades) by the Net Asset Value. For the purposes of this computation, amount denominated in a currency
other than United States Dollars shall be converted to United States Dollars at the spot rate prevailing on the
date of such calculation.
"Net Asset Value" means the result in USD of subtracting the total value of all liabilities (including but not
limited to the aggregate mark-to-market value of all trading positions constituting liabilities) from the total value
of all assets (including but not limited to cash, deposit accounts and instruments, securities, and the aggregate
mark-to-market value of all trading positions constituting assets). For purposes of this computation, amounts
denominated in a currency other than USD shall be converted to USD at the spot rate for such currency prevailing
on the date of such calculation.
“Net Asset Value per Share" means, with respect to Party B, the Net Asset Value of Party B on any particular
date divided by the number of shares of Party B in issue on such date.
(o) Indian transactions. If parties are entering into a Transaction which is or otherwise involves an offshore
derivative instrument (“ODI”) (as such term is defined for the purposes of the Securities and Exchange Board
of India (Foreign Portfolio Investors) Regulations, 2014, and notifications, circulars, rules and guidelines of the
Securities and Exchange Board of India issued from time to time) (collectively referred to as the “FPI
Regulations”), the representations and undertakings made by Party B in favour of UBS AG in a letter titled
"Notice Regarding Derivative Products Linked to Indian Securities or Indices" (which may be
FOR REFERENCE ONLY
SUBJECT TO FURTHER APPROVAL BY UBS
29
amended/replaced from time to time) (the "ODI Letter") shall apply to the Transaction and references to ODI
in the Letter shall be construed to include the Transaction. If a representation or undertaking in the ODI
Letter proves to have been incorrect or misleading in any material respect when made or repeated or deemed
to have been made or repeated; or if Party B fails to comply with or perform any agreement or obligation
undertaken by it in the ODI Letter, it shall be an Additional Termination Event with all Transactions which are
or otherwise involve an ODI (as defined in the ODI Letter) being the sole Affected Transactions, and with Party
B being the sole Affected Party.
(p) Taiwanese transactions. For any Transaction referencing Taiwanese underliers where the Exchange (as
defined in the 2002 ISDA Equity Derivatives Definitions) is in the Republic of China, Party B makes the
representations suitable to its entity type as set out in the ISDA Representations for Taiwan Market Access
Products as published by ISDA from time to time
(q) Chinese transactions. For any Transaction referencing Chinese underliers where the Exchange (as defined
in the 2002 ISDA Equity Derivatives Definitions) is in the Peoples’ Republic of China, Party B makes the
representations set out in the ISDA Representations for China Market Access Products as published by ISDA
from time to time
(r) Consent to Disclosure. Party B consents to Party A effecting such disclosure as Party A may deem
appropriate to enable Party A to transfer, disclose or otherwise process Party B’s records and information, to
process and execute Party B’s instructions, or in pursuance of Party A’s or Party B’s commercial interest, to
any of its head office, branches, Affiliates, professional advisers, agents or third party service providers
(“intended recipient”). For the avoidance of doubt, Party B’s consent to disclosure includes the right on the
part of Party A to allow access to any intended recipient of Party B information, to the records and information
of Party A by any means.
(s) Foreign Account Tax Compliance Act and HIRE Act.
(i) FATCA PROTOCOL PROVISION. “Withholding Tax imposed on payments to non-US counterparties
under the United States Foreign Account Tax Compliance Act. “Tax” as used in Part 2(a) of this
Schedule (Payer Tax Representation) and “Indemnifiable Tax” as defined in Section 14 of this
Agreement shall not include any U.S. federal withholding tax imposed or collected pursuant to
Sections 1471 through 1474 of the U.S. Internal Revenue Code of 1986, as amended (the “Code”),
any current or future regulations or official interpretations thereof, any agreement entered into
pursuant to Section 1471(b) of the Code, or any fiscal or regulatory legislation, rules or practices
adopted pursuant to any intergovernmental agreement entered into in connection with the
implementation of such Sections of the Code (a “FATCA Withholding Tax”). For the avoidance of
doubt, a FATCA Withholding Tax is a Tax the deduction or withholding of which is required by
applicable law for the purposes of Section 2(d) of this agreement. If the parties each independently
decide to adhere to any ISDA Protocol on FATCA Withholding Tax, upon effective adherence by both
parties, the provisions of such Protocol shall supersede the foregoing provision
(ii) Section 871(m). The parties agree that the amendments set out in the Attachment to the ISDA 2015
Section 871(m) Protocol published by ISDA on November 2, 2015, which is available on the ISDA
website (www.isda.org) (the “Protocol”), will apply to this Agreement. The parties further agree that
this Agreement will be deemed to be a Covered Master Agreement and that the Implementation
Date will be the effective date of this Agreement as amended by the parties for the purposes of such
amendments, regardless of the definitions of such terms in the Protocol.
(t) ISDA Resolution Stay Jurisdictional Modular Protocol – Swiss Jurisdictional Module.
The terms of the Swiss Jurisdictional Module and the ISDA Resolution Stay Jurisdictional Modular Protocol
(each published by the International Swaps and Derivatives Association, Inc. and together, the "Swiss Stay
Provisions") are incorporated into and form part of this Agreement. For purposes thereof, this Agreement
shall be deemed a Covered Agreement and the terms of the Swiss Stay Provisions shall apply to this
Agreement as if Party A is a Regulated Entity Counterparty and Party B is a Module Adhering Party with the
Implementation Date deemed to be the date of this Agreement. In the event of any inconsistencies between
this Agreement and the Swiss Stay Provisions, the Swiss Stay Provisions will prevail.
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(u) ISDA Benchmarks Supplement. Except where a Confirmation expressly states otherwise, the ISDA
Benchmarks Supplement published on September 19, 2018 will apply to all Transactions under this
Agreement. Any references in that Supplement to “any ISDA Master Agreement” shall be deemed to be a
reference to this Agreement.
UBS AG [ ]
By: ............................................... By: ...............................................
Name: Name:
Title : Title:
Date: Date:
By: ............................................... By: ...............................................
Name: Name:
Title : Title:
Date: Date:
UBS AG
UBS AG
FOR REFERENCE ONLY
SUBJECT TO FURTHER APPROVAL BY UBS
29
SCHEDULE
to the
2002 Master Agreement
dated as of __________________
between
UBS AG
("Party A")
a bank organised under the laws of
Switzerland
and [ ]
("Party B")
a corporation/partnership/national banking
association/etc. organised under the laws of [ ]
Part 1
Termination Provisions
(a) "Specified Entity" means:
(i) in relation to Party A for the purpose of:
Section 5(a)(v) of this Agreement, [ ],
Section 5(a)(vi) of this Agreement, [ ],
Section 5(a)(vii) of this Agreement, [ ]
Section 5(b)(v) of this Agreement, [ ]; and
(ii) in relation to Party B for the purpose of:
Section 5(a)(v) of this Agreement, [ ],
Section 5(a)(vi) of this Agreement, [ ],
Section 5(a)(vii) of this Agreement, [ ],
Section 5(b)(v) of this Agreement, [ ].
(b) Specified Transaction will have the meaning specified in Section 14 of this Agreement with the addition
of the following after “weather index transaction” on the eleventh line: ”precious metal transaction, letters
of credit reimbursement obligation, indebtedness for borrowed money (whether or not evidenced by a note
or similar instrument) and any amounts payable under any prime brokerage or centrally cleared derivative
agreements”.
(c) The Cross Default provisions of Section 5(a)(vi) of this Agreement, as modified below, will apply to Party A
and to Party B. Section 5(a)(vi) of this Agreement is hereby amended by the addition of the following at the
end thereof:
"provided, however, that notwithstanding the foregoing, an Event of Default shall not occur under either
(1) or (2) above if, as demonstrated to the reasonable satisfaction of the other party, (a) the event or
condition referred to in (1) or the failure to pay referred to in (2) is a failure to pay caused by an error or
omission of an administrative or operational nature; and (b) funds were available to such party to enable it
to make the relevant payment when due; and (c) such relevant payment is made within three General
Business Days following receipt of written notice from an interested party of such failure to pay."
"Specified Indebtedness" means any obligation (whether present or future, contingent or otherwise as
principal or surety or otherwise) for the payment or repayment of any money.
For the purposes of calculating the amount of Specified Indebtedness under Section 5(a)(vi), amounts in
relation to agreements or instruments that in good faith are generally considered derivative instruments
shall be calculated using their mark-to-market value (and not using any notional amount) and if governed
by a master agreement by using the amount that becomes, or would become, payable under such
agreement as a result of the liquidation or termination of such agreement.
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"Threshold Amount" means:
(i) in relation to Party A, or any Credit Support Provider or Specified Entity of Party A: an amount
equal to [ ]% of shareholders equity (howsoever described) of UBS AG as shown on the most
recent annual audited financial statements of UBS AG; and
(ii) in relation to Party B, or any Credit Support Provider or Specified Entity of Party B: an amount
equal to [ ]% of Net Asset Value (as defined in Part 5 below) of Party B, or the relevant Credit
Support Provider or Specified Entity of Party B.
(d) The Credit Event Upon Merger provisions of Section 5(b)(v) of this Agreement will not apply to both Party
A and Party B.
(e) The Automatic Early Termination provision of Section 6(a) of this Agreement will apply to Party A and
will/will not apply to Party B.
(f) "Termination Currency" means one of the currencies in which payments are required to be made
pursuant to a Confirmation in respect of a Terminated Transaction selected by the Non-defaulting Party or
the non-Affected Party, as the case may be, or, in the circumstances where there are two Affected Parties,
as agreed between the parties or, failing such agreement as aforesaid, or if the currency so selected is not
freely available, the Termination Currency shall be USD.
(g) Additional Termination Event will apply. The following shall constitute Additional Termination Events.
Upon the occurrence of any one of the events or circumstances specified below, Party B shall be the Affected
Party and all Transactions shall be Affected Transactions:
[ ]
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Part 2
Tax Representations
(a) Payer Tax Representations. For the purpose of Section 3(e) of this Agreement, Party A and Party B each
makes the following representation:
It is not required by any applicable law, as modified by the practice of any relevant governmental revenue
authority, of any Relevant Jurisdiction to make any deduction or withholding for or on account of any Tax
from any payment (other than interest under Section 9(h) of this Agreement) to be made by it to the other
party under this Agreement. In making this representation, it may rely on (i) the accuracy of any
representations made by the other party pursuant to Section 3(f) of this Agreement, (ii) the satisfaction of
the agreement contained in Section 4(a)(i) or 4(a)(iii) of this Agreement and the accuracy and effectiveness
of any document provided by the other party pursuant to Section 4(a)(i) or 4(a)(iii) of this Agreement and
(iii) the satisfaction of the agreement of the other party contained in Section 4(d) of this Agreement,
PROVIDED that it shall not be a breach of this representation where reliance is placed on sub-clause (ii)
above and the other party does not deliver a form or document under Section 4(a)(iii) by reason of material
prejudice to its legal or commercial position.
(b) Payee Tax Representations. For the purpose of Section 3(f) of this Agreement, Party A and Party B make
no representations.
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Part 3
Agreement to Deliver Documents
For the purposes of Sections 3(d), 4(a)(i) and (ii) of this Agreement, each party agrees to supply the following
documents:
(a) Tax forms, documents or certificates to be delivered are:
None
(b) Other documents to be delivered are:
PARTY REQUIRED
TO DELIVER
DOCUMENT:
FORM/DOCUMENT/
CERTIFICATE:
DATE BY WHICH
TO BE DELIVERED:
COVERED BY SECTION
3(D) REPRESENTATION:
Party A and Party B Evidence of the authority
and true signatures of
each official or
representative signing this
Agreement or, as the case
may be, a Confirmation,
on its behalf.
On or before execution of
this Agreement and each
Confirmation forming a
part of this Agreement.
Yes
Party B Copy of the resolution of
Party B’s Board of
Directors (or equivalent
authorising
documentation)
authorising the execution
and delivery of this
Agreement and each
Confirmation and
performance of its
obligations hereunder.
On or before execution of
this Agreement.
Yes
Party B Copies of Memorandum
and Articles of Association
of Party B, and Certificate
of Incorporation (or
equivalent constitutive
documents).
On or before execution of
this Agreement.
Yes
Party B
Annual audited
financial statements.
As soon as practicable but
in any event within [ ] days
of the end of each
financial year
Yes
Party B Semi-annual unaudited
financial statements.
As soon as practicable but
in any event within [ ] days
of the end of each
financial mid-year
Yes
Party B Letter of Process Agent of
Party B confirming
acceptance of
appointment.
On or before execution of
this Agreement.
Yes
Party B Net Asset Value and Net
Asset Value per Share to
be provided by an
independent third party
Within [ ] days of the last
Local Business Day in each
calendar month
Yes
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Party B Any other information
which Party A may
reasonably request from
Party B from time to time
Upon request of Party A Yes
FOR REFERENCE ONLY
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34
Part 4
Miscellaneous
(a) Notices or communications to Party A shall, with respect to a particular Transaction, be sent to the address
or facsimile number specified in the Confirmation for the relevant Transaction, and any notice for the
purposes of Sections 5 or 6 of this Agreement shall be sent to the address, specified below:
Address: UBS AG, Hong Kong Branch,
52/F, Two International Finance Centre, Central, Hong Kong
Attention: Legal Department
Telephone: +852 3712 2282
with a copy to:
Address: UBS AG, London Branch
5 Broadgate, London EC2M 2QS
Attention: Legal Department
Copy to email: ol-notices-admin@ubs.com
Telephone: +44 20 7567 8000
Address for notices or communications to Party B shall be sent to the address, telex number or facsimile
number specified below:
Address:
Attention:
Telephone:
Facsimile:
Electronic Messaging Details:
(b) Process Agent. For the purpose of Section 13(c) of this Agreement: In respect of Party A: Not applicable.
In respect of Party B, Party B appoints as its Process Agent:
(c) Offices. The provisions of Section 10(a) of this Agreement will apply to Party A and Party B.
(d) Multibranch Party. For the purpose of Section 10(b) of this Agreement:
Party A is a Multibranch Party and may act through its branches in any of the following territories or
countries:
Australia, England and Wales, Hong Kong, Singapore, and Switzerland.
Party B is not a Multibranch Party.
(e) Calculation Agent. The Calculation Agent is Party A, unless otherwise specified in a Confirmation in
relation to the relevant Transaction.
(f) Credit Support Document. Details of any Credit Support Document in relation to Party A and Party B:
not applicable.
(g) Credit Support Provider. Credit Support Provider means in relation to Party A and Party B: not
applicable.
(h) Governing Law. This Agreement and any non-contractual obligations arising out of or in connection with
it or with the subject matter of this contract shall be governed by, and construed in accordance with,
English law.
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35
(i) Netting of Payments. Multiple Transaction Payment Netting will not apply for the purpose of Section 2(c)
of this Agreement, except that Multiple Transaction Payment Netting will apply for the purpose of Section
2(c) of this Agreement for the following groups of Transactions, which shall be treated separately: (1) FX
Transactions (including FX Transactions resulting from the exercise of Currency Option Transactions); (2)
premium payable under Currency Option Transactions (each of (1) and (2) as defined in the 1998 ISDA FX
and Currency Option Definitions); and (3) Commodity Transactions (as defined in the 2005 ISDA
Commodity Definitions) starting from the date of this Agreement.
(j) Affiliate will have the meaning specified in Section 14 of this Agreement.
(k) Absence of Litigation. For the purpose of Section 3(c):
“Specified Entity” means in relation to Party A, [ ].
“Specified Entity” means in relation to Party B, [ ].
(l) No Agency. The provisions of Section 3(g) will apply to this Agreement.
(m) Additional Representation will apply. For the purpose of Section 3 of this Agreement, the following will
constitute an Additional Representation:
Relationship Between Parties. Each party will be deemed to represent to the other party on the date on
which it enters into a Transaction that (absent a written agreement between the parties that expressly
imposes affirmative obligations to the contrary for that Transaction):
(i) Non-Reliance. It is acting for its own account, and it has made its own independent decisions to
enter into that Transaction and as to whether that Transaction is appropriate or proper for it based
upon its own judgment and upon advice from such advisers as it has deemed necessary. It is not
relying on any communication (written or oral) of the other party as investment advice or as a
recommendation to enter into that Transaction, it being understood that information and
explanations related to the terms and conditions of a Transaction will not be considered investment
advice or a recommendation to enter into that Transaction. No communication (written or oral)
received from the other party will be deemed to be an assurance or guarantee as to the expected
results of that Transaction.
(ii) Assessment and Understanding. It is capable of assessing the merits of and understanding (on its
own behalf or through independent professional advice), and understands and accepts, the terms,
conditions and risks of that Transaction. It is also capable of assuming, and assumes, the risks of
that Transaction.
(iii) Status of Parties. The other party is not acting as a fiduciary for or an adviser to it in respect of that
Transaction.
References in this clause to a “party" shall, in the case of UBS AG and where the context so allows, include
reference to any Affiliate of UBS AG.
(n) Recording of Conversations. Each party (i) consents to the recording of telephone conversations
between the trading, marketing and other relevant personnel of the parties in connection with this
Agreement or any potential Transaction, (ii) agrees to obtain any necessary consent of, and give any
necessary notice of such recording to, its relevant personnel and (iii) agrees, to the extent permitted by
applicable law, that recordings may be submitted in evidence in any Proceedings.
FOR REFERENCE ONLY
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36
Part 5
Other Provisions
(a) Scope of Agreement. Upon the effectiveness of this Agreement and unless the parties to this Agreement
otherwise agree in writing, by specific reference to this Agreement, that this provision does not apply, all
Derivative Transactions (as defined below) then outstanding, or which may be entered into thereafter,
between the parties, including Transactions entered into by the parties through Offices, if any, listed in Part
4(d), are deemed to be Transactions governed by this Agreement and any confirmation or other confirming
evidence of the Transaction is deemed to be a Confirmation.
"Derivative Transaction" means any transaction (including an agreement with respect thereto) which is a
rate swap transaction, swap option, basis swap, forward rate transaction, commodity swap, commodity
option, equity or equity index swap, equity or equity index option, bond option, interest rate option, foreign
exchange transaction, cap transaction, floor transaction, collar transaction, currency swap transaction,
cross-currency rate swap transaction, currency option, credit protection transaction, credit swap, credit
default swap, credit default option, total return swap, credit spread transaction, weather index transaction,
bullion/precious metal transaction, base metal transaction, or forward purchase or sale of a security,
commodity or other financial instrument or interest, or any other similar transaction (including any option
with respect to any of these transactions) and any combination of these transactions.
(b) ISDA Definitions. (i) The provisions of the 1998 FX and Currency Option Definitions (as published by the
International Swaps and Derivatives Association, Inc., the Emerging Markets Traders Association and the
Foreign Exchange Committee) (the “1998 FX Definitions”) are hereby incorporated in their entirety and
shall apply to any FX Transaction or Currency Option Transaction as defined in Section 1.12 and Section
1.5, respectively, of Article 1 of the 1998 FX Definitions (each an “FX Transaction” or “Currency Option
Transaction”, respectively) entered into by the parties hereto (unless, in relation to a particular FX
Transaction or Currency Option Transaction, as otherwise specified in the relevant Confirmation) ; and
(ii) The provisions of the 2005 ISDA Commodity Definitions (as published by the International Swaps and
Derivatives Association, Inc.) (the “Commodity Definitions”) are hereby incorporated in their entirety and
shall apply to any Transaction as defined in Section 1.1 of Article 1 of the Commodity Definitions (each a
“Commodity Transaction”) entered into by the parties hereto (unless, in relation to a particular Commodity
Transaction, as otherwise specified in the relevant Confirmation) .
(c) Bankruptcy. Section 5(a)(vii) of this Agreement is amended by replacing “15” with “30” on lines sixteen
and twenty-three.
(d) Set-Off. Section 6(f) is amended by the addition of:
“(or any other amounts whether or not arising under this Agreement, matured , contingent and
irrespective of the currency, place of payment of booking of the obligation )” on the first line immediately
after “Amount”,
and
“or its Affiliates if it is the Non-defaulting Party or Non-affected Party” immediately after both instances of
“party” on the first line.
(e) Waiver Of Jury Trial. Each party hereby irrevocably waives any and all right to trial by jury in any suit, action
or proceeding arising out of or relating to this agreement or any transaction and acknowledges that this
waiver is a material inducement to the other party's entering into this agreement.
(f) 2002 Master Agreement Protocol. The parties agree that the definitions and provisions contained in
Annexes 1 to 18 and Section 6 of the 2002 Master Agreement Protocol published by the International
Swaps and Derivatives Association, Inc., on 15th July 2003 are incorporated into and will supplement and
form part of this Agreement. References in those definitions and provisions to any "ISDA 2002 Master
Agreement" or "2002 Master" will be deemed to be references to this Agreement.
(g) Further Representation of Party B. In addition to its representations under Section 3, Party B represents
FOR REFERENCE ONLY
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37
to Party A (which representations will be deemed to be repeated by Party B on each date on which any
Transaction subsists) that:
(i) It has appointed the Investment Manager to act as its agent for all purposes under this Agreement
(including, without limitation, for the purpose of entering into Transactions on its behalf) (each
such Transaction an “Agency Transaction”);
(ii) Any person (including, without limitation, the Investment Manager and any person representing or
purporting to represent the Investment Manager signing the Agreement, any Confirmation and any
such person entering into any Transaction, is duly authorised to do so on behalf of Party B;
(iii) Each Transaction entered into in connection with this Agreement by the Investment Manager is
suitable and appropriate and in accordance with the investment objectives and guidelines for Party
B on the date such Transaction is entered into; and
(iv) The execution, delivery and performance by the Investment Manager on behalf of Party B does not
conflict with any law or regulation applicable to the Investment Manager, any provision of the
constituent documents of the Investment Manager, any order or judgment of any court or other
agency of government applicable to the Investment Manager, or any of the assets of the Investment
Manager, or any contractual restriction binding on or affecting the Investment Manager, or any
assets of the Investment Manager.
(h) Further Agreements of Party B. In addition to its agreements under Section 4, Party B agrees with Party
A that, so long as either party has or may have any obligations under this Agreement:
(i) Any amounts payable by Party A under this Agreement shall be deemed satisfied when paid by
Party A to the Investment Manager.
(ii) Party B shall be bound as principal of any Agency Transaction entered into by the Investment
Manager or any other person representing or purporting to represent the Investment Manager
notwithstanding any lack of power or authority on the part of the Investment Manager or such
other person.
(i) Reliance on Notices. Except as otherwise stated herein, each party may rely upon any oral or written notices
and instructions reasonably believed to be originated from the other party or its duly authorised agent
(including, for Party B, the Investment Adviser) and does not incur any liability to the other party in acting in
accordance with those notices and instructions.
(j) Termination Notice. Section 6(b)(i) of this Agreement is modified by the addition of the words “and in any
event within one Local Business Day,” after the words “promptly upon becoming aware of it,” in the first
and second lines thereof.
(k) Definitions. Section 14 is hereby amended to include the following definition in its appropriate alphabetical
position:
"Level of Gearing" means the result of dividing the aggregate absolute mark-to-market value of all
trading positions that Party B has outstanding at any time (whether long or short and regardless of whether
they are pair trades) by the Net Asset Value. For the purposes of this computation, amount denominated in
a currency other than United States Dollars shall be converted to United States Dollars at the spot rate
prevailing on the date of such calculation.
"Net Asset Value" means the result in USD of subtracting the total value of all liabilities (including but not
limited to the aggregate mark-to-market value of all trading positions constituting liabilities) from the total
value of all assets (including but not limited to cash, deposit accounts and instruments, securities, and the
aggregate mark-to-market value of all trading positions constituting assets). For purposes of this
computation, amounts denominated in a currency other than USD shall be converted to USD at the spot rate
for such currency prevailing on the date of such calculation.
“Net Asset Value per Share" means, with respect to Party B, the Net Asset Value of Party B on any
particular date divided by the number of shares of Party B in issue on such date.
FOR REFERENCE ONLY
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38
(l) Indian transactions. If parties are entering into a Transaction which is or otherwise involves an offshore
derivative instrument (“ODI”) (as such term is defined for the purposes of the Securities and Exchange
Board of India (Foreign Portfolio Investors) Regulations, 2014, and notifications, circulars, rules and
guidelines of the Securities and Exchange Board of India issued from time to time) (collectively referred to as
the “FPI Regulations”), the representations and undertakings made by [Party B] in favour of UBS AG in a
letter titled "Notice Regarding Derivative Products Linked to Indian Securities or Indices" (which may be
amended/replaced from time to time) (the "ODI Letter") shall apply to the Transaction and references to
ODI in the Letter shall be construed to include the Transaction. If a representation or undertaking in the
ODI Letter proves to have been incorrect or misleading in any material respect when made or repeated or
deemed to have been made or repeated; or if Party B fails to comply with or perform any agreement or
obligation undertaken by it in the ODI Letter, it shall be an Additional Termination Event with all
Transactions which are or otherwise involve an ODI (as defined in the ODI Letter) being the sole Affected
Transactions, and with Party B being the sole Affected Party.
(m) Taiwanese transactions. For any Transaction referencing Taiwanese underliers where the Exchange (as
defined in the 2002 ISDA Equity Derivatives Definitions) is in the Republic of China, Party B makes the
representations suitable to its entity type as set out in the ISDA Representations for Taiwan Market Access
Products as published by ISDA from time to time
(n) Chinese transactions. For any Transaction referencing Chinese underliers where the Exchange (as defined
in the 2002 ISDA Equity Derivatives Definitions) is in the Peoples’ Republic of China, Party B makes the
representations set out in the ISDA Representations for China Market Access Products as published by ISDA
from time to time
(o) Consent to Disclosure. Party B consents to Party A effecting such disclosure as Party A may deem
appropriate to enable Party A to transfer, disclose or otherwise process Party B’s records and information, to
process and execute Party B’s instructions, or in pursuance of Party A’s or Party B’s commercial interest, to
any of its head office, branches, Affiliates, professional advisers, agents or third party service providers
(“intended recipient”). For the avoidance of doubt, Party B’s consent to disclosure includes the right on the
part of Party A to allow access to any intended recipient of Party B information, to the records and
information of Party A by any means.
(p) Foreign Account Tax Compliance Act and HIRE Act.
(i) FATCA PROTOCOL PROVISION. “Withholding Tax imposed on payments to non-US
counterparties under the United States Foreign Account Tax Compliance Act. “Tax” as used in
Part 2(a) of this Schedule (Payer Tax Representation) and “Indemnifiable Tax” as defined in Section
14 of this Agreement shall not include any U.S. federal withholding tax imposed or collected
pursuant to Sections 1471 through 1474 of the U.S. Internal Revenue Code of 1986, as amended
(the “Code”), any current or future regulations or official interpretations thereof, any agreement
entered into pursuant to Section 1471(b) of the Code, or any fiscal or regulatory legislation, rules
or practices adopted pursuant to any intergovernmental agreement entered into in connection
with the implementation of such Sections of the Code (a “FATCA Withholding Tax”). For the
avoidance of doubt, a FATCA Withholding Tax is a Tax the deduction or withholding of which is
required by applicable law for the purposes of Section 2(d) of this agreement. If the parties each
independently decide to adhere to any ISDA Protocol on FATCA Withholding Tax, upon effective
adherence by both parties, the provisions of such Protocol shall supersede the foregoing provision.
(ii) Section 871(m). The parties agree that the amendments set out in the Attachment to the ISDA
2015 Section 871(m) Protocol published by ISDA on November 2, 2015, which is available on the
ISDA website (www.isda.org) (the “Protocol”), will apply to this Agreement. The parties further
agree that this Agreement will be deemed to be a Covered Master Agreement and that the
Implementation Date will be the effective date of this Agreement as amended by the parties for the
purposes of such amendments, regardless of the definitions of such terms in the Protocol.
(q) ISDA Resolution Stay Jurisdictional Modular Protocol – Swiss Jurisdictional Module.
FOR REFERENCE ONLY
SUBJECT TO FURTHER APPROVAL BY UBS
39
The terms of the Swiss Jurisdictional Module and the ISDA Resolution Stay Jurisdictional Modular Protocol
(each published by the International Swaps and Derivatives Association, Inc. and together, the "Swiss Stay
Provisions") are incorporated into and form part of this Agreement. For purposes thereof, this Agreement
shall be deemed a Covered Agreement and the terms of the Swiss Stay Provisions shall apply to this
Agreement as if Party A is a Regulated Entity Counterparty and Party B is a Module Adhering Party with the
Implementation Date deemed to be the date of this Agreement. In the event of any inconsistencies
between this Agreement and the Swiss Stay Provisions, the Swiss Stay Provisions will prevail.
(r) ISDA Benchmarks Supplement. Except where a Confirmation expressly states otherwise, the ISDA
Benchmarks Supplement published on September 19, 2018 will apply to all Transactions under this
Agreement. Any references in that Supplement to “any ISDA Master Agreement” shall be deemed to be a
reference to this Agreement.
FOR REFERENCE ONLY
SUBJECT TO FURTHER APPROVAL BY UBS
40
IN WITNESS WHEREOF the parties have executed this Schedule on the respective dates specified below with effect
from the date specified on the first page of this document.
UBS AG
[ ]
By: ____________________________________________ By: ____________________________________________
Name: Name:
Title: Title:
Date: Date:
By: ____________________________________________ By: ____________________________________________
Name: Name:
Title: Title:
Date: Date:
GTK - Appendix C
Date of
change
Person whose relevant interest changed
Nature of Change
Consideration given in
relation to change
Number of securities
Class
16-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
2,397
Swaps
17-Jan-25
UBS AG Australia Branch
Change in right of rehypothecation
N/A
146,882
Ordinary
17-Jan-25
UBS AG London Branch
Sell
16,682
(1,392)
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Sell
4,172
(315)
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Buy
16,864
1,283
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Buy
868
66
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Buy
21,788
1,645
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Sell
24,894
(1,886)
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Sell
342
(26)
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Buy
528
40
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Buy
47,599
3,586
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Sell
180,340
(13,676)
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Buy
112,921
8,624
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Sell
7,588
(569)
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Buy
11,273
861
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Sell
69,214
(5,225)
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Buy
50,992
3,882
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Sell
130,599
(9,853)
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Sell
94,424
(7,181)
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Sell
94,192
(7,130)
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Sell
63,082
(4,790)
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Buy
160,025
12,126
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Sell
1,414
(106)
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Buy
4,179
317
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Sell
187,961
(14,178)
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Buy
36,932
2,796
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Buy
158
12
Ordinary
17-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(12)
Swaps
20-Jan-25
UBS AG London Branch
Sell
14,276
(1,163)
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Sell
23,370
(1,743)
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Sell
74,708
(5,551)
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Buy
64,090
4,785
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Sell
14,707
(1,094)
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Buy
20,231
1,510
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Buy
1,695
127
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Buy
23,345
1,739
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Sell
30,097
(2,238)
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Buy
612
46
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Sell
20,693
(1,539)
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Sell
27,067
(2,016)
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Sell
48,430
(3,613)
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Sell
16,319
(1,213)
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Buy
61,564
4,583
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Buy
4,254
318
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Sell
39,378
(2,930)
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Buy
38,166
2,848
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Buy
229
17
Ordinary
20-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(17)
Swaps
20-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(1,510)
Swaps
21-Jan-25
UBS AG London Branch
Sell
4,964
(407)
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Sell
18,231
(1,350)
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Buy
254
19
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Buy
27
2
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Sell
81
(6)
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Sell
74,137
(5,527)
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Buy
16,313
1,224
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Sell
7,440
(551)
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Buy
5,481
409
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Sell
17,547
(1,302)
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Sell
5,267
(389)
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Buy
2,724
201
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Sell
32,127
(2,388)
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Buy
31,665
2,363
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Sell
53,514
(3,959)
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Sell
63,308
(4,724)
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Sell
24,968
(1,861)
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Sell
17,623
(1,310)
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Buy
43,113
3,208
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Buy
4,278
317
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Buy
693
52
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Sell
90,038
(6,695)
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Buy
21,650
1,612
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Buy
200
15
Ordinary
21-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(15)
Swaps
21-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,302
Swaps
21-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(52)
Swaps
21-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
389
Swaps
22-Jan-25
UBS AG London Branch
Sell
1,330
(107)
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Sell
56,618
(4,205)
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Buy
4,902
362
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Buy
517
38
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Sell
94
(7)
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Buy
91,554
6,785
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Sell
110,686
(8,203)
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Buy
147,054
10,903
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Buy
13,537
1,005
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Sell
30,742
(2,282)
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Sell
393
(29)
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Sell
12,271
(909)
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Buy
92,829
6,879
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Buy
961
71
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Sell
57,715
(4,287)
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Buy
6,985
519
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Sell
75,214
(5,583)
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Sell
59,021
(4,378)
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Sell
97,247
(7,211)
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Buy
156,993
11,665
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Buy
4,288
318
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Sell
11,671
(869)
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Sell
71,059
(5,286)
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Buy
47,243
3,509
Ordinary
22-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
2,282
Swaps
22-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
869
Swaps
23-Jan-25
UBS AG London Branch
Sell
2,454
(200)
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Sell
15,955
(1,207)
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Sell
40
(3)
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Sell
58,451
(4,397)
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Buy
150,360
11,257
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Buy
19,181
1,451
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Buy
13,778
1,039
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Sell
11,242
(846)
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Buy
5,164
391
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Buy
1,346
102
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Sell
62,081
(4,671)
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Buy
5,795
438
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Sell
29,549
(2,233)
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Sell
17,183
(1,294)
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Buy
42,345
3,202
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Buy
2,527
191
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Sell
42,761
(3,210)
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Buy
52,064
3,943
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Sell
188
(14)
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Sell
409
(31)
Ordinary
23-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
14
Swaps
24-Jan-25
UBS AG London Branch
Sell
17,835
(1,489)
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Buy
19,872
1,511
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Sell
54,748
(4,166)
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Sell
19,872
(1,511)
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Buy
54,748
4,166
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Sell
23,360
(1,777)
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Sell
536
(41)
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Sell
78,255
(5,950)
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Buy
13
1
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Buy
53,169
4,043
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Sell
34,834
(2,649)
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Buy
1,001
76
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Sell
541
(41)
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Sell
19,872
(1,511)
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Buy
54,748
4,166
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Buy
3,465
264
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Sell
9,076
(691)
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Buy
11,574
881
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Sell
60,733
(4,615)
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Sell
5,442
(411)
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Buy
63,364
4,823
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Buy
2,501
190
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Sell
33,993
(2,585)
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Sell
386
(29)
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Sell
76,859
(5,842)
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Buy
24,124
1,836
Ordinary
24-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
29
Swaps
24-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
41
Swaps
28-Jan-25
UBS AG London Branch
Sell
8,970
(728)
Ordinary
28-Jan-25
UBS AG London Branch
Sell
23,580
(1,960)
Ordinary
28-Jan-25
UBS AG London Branch
Sell
159
(13)
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Sell
14,665
(1,106)
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Buy
50,732
3,800
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Buy
14,665
1,106
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Sell
50,732
(3,800)
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Buy
24,333
1,812
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Buy
7,724
578
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Buy
631
47
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Buy
488
37
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Sell
470
(35)
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Sell
7,913
(593)
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Sell
126,672
(9,501)
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Buy
42,239
3,191
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Sell
7,656
(576)
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Buy
2,041
153
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Buy
4,036
303
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Sell
2,263
(175)
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Sell
50,732
(3,800)
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Buy
14,665
1,106
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Buy
4,590
350
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Sell
36,210
(2,714)
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Sell
13,032
(990)
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Sell
77,253
(5,815)
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Sell
38,992
(2,915)
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Buy
124,050
9,326
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Sell
15,236
(1,142)
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Buy
5,084
381
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Buy
2,145
166
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Sell
101,645
(7,624)
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Buy
66,855
5,041
Ordinary
28-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(166)
Swaps
29-Jan-25
UBS AG London Branch
Sell
41,896
(3,382)
Ordinary
29-Jan-25
UBS AG London Branch
Sell
3,265
(263)
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Sell
15,258
(1,124)
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Buy
87,072
6,385
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Sell
28,185
(2,073)
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Sell
59,979
(4,416)
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Buy
30,140
2,213
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Buy
476
35
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Sell
17,185
(1,264)
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Buy
1,033
76
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Sell
35,631
(2,621)
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Buy
43,501
3,198
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Sell
1,997
(147)
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Sell
7,622
(561)
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Buy
8,704
642
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Buy
25,078
1,840
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Sell
14,549
(1,067)
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Sell
80,617
(5,917)
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Buy
105,632
7,745
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Buy
2,598
191
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Sell
31,951
(2,351)
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Buy
50,507
3,713
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Buy
163
12
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Sell
1,483
(108)
Ordinary
29-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(12)
Swaps
29-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
147
Swaps
30-Jan-25
UBS AG London Branch
Sell
35,319
(2,830)
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Buy
1,387
101
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Buy
151
11
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Sell
33,954
(2,471)
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Buy
77,669
5,682
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Buy
1,043
76
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Buy
975
71
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Sell
18,294
(1,336)
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Buy
50,106
3,665
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Sell
439
(32)
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Buy
4,169
305
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Sell
12,288
(894)
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Buy
2,362
172
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Sell
5,886
(429)
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Sell
35,012
(2,550)
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Sell
29,926
(2,183)
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Buy
52,915
3,865
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Buy
2,622
191
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Buy
340
25
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Sell
25,948
(1,892)
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Buy
21,220
1,549
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Buy
288
21
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Sell
69
(5)
Ordinary
30-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(21)
Swaps
30-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
32
Swaps
30-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(25)
Swaps
31-Jan-25
UBS AG London Branch
Sell
32,587
(2,582)
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Buy
4,592
329
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Buy
4,528
324
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Buy
306
22
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Buy
41
3
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Sell
5,037
(362)
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Sell
17,478
(1,254)
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Buy
94,056
6,739
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Sell
76,914
(5,512)
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Buy
200,234
14,374
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Sell
16,775
(1,199)
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Buy
1,060
76
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Buy
20,962
1,500
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Buy
43,576
3,133
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Sell
92,229
(6,624)
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Buy
41,140
2,954
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Sell
108,938
(7,819)
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Buy
7,342
530
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Sell
2,941
(214)
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Sell
63,150
(4,535)
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Sell
96,896
(6,964)
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Buy
175,644
12,632
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Buy
2,649
190
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Buy
23,365
1,672
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Sell
141,521
(10,163)
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Buy
114,012
8,196
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Buy
180
13
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Sell
12,559
(901)
Ordinary
31-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(13)
Swaps
31-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(1,672)
Swaps
31-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
70,290
Swaps
31-Jan-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(70,290)
Swaps
03-Feb-25
UBS AG London Branch
Sell
30,957
(2,416)
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Sell
2,100
(149)
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Buy
3,014
213
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Buy
15,798
1,117
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Buy
10,307
729
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Buy
29,713
2,108
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Buy
2,826
200
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Buy
3,050
216
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Buy
19,857
1,404
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Sell
75,502
(5,343)
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Buy
109,915
7,774
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Sell
20,203
(1,428)
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Buy
1,439
102
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Sell
20,001
(1,419)
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Buy
28,053
1,987
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Sell
65,970
(4,665)
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Buy
26,675
1,887
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Sell
55,144
(3,897)
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Sell
17,246
(1,224)
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Buy
15,736
1,113
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Sell
67,147
(4,754)
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Buy
64,147
4,552
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Buy
3,587
254
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Buy
629
45
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Sell
56,816
(4,024)
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Buy
69,815
4,946
Ordinary
03-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(45)
Swaps
04-Feb-25
UBS AG London Branch
Buy
64,021
5,011
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
966
69
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
12,179
865
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
9,032
641
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
5,806
413
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
1,005
72
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
21,430
1,520
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
70,998
5,054
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Sell
153,297
(10,909)
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
175,069
12,487
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Sell
6,340
(450)
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
5,517
395
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Sell
1,146
(81)
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Sell
87,247
(6,216)
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
107,322
7,639
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Sell
1,131
(80)
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
6,560
464
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
73,216
5,215
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Sell
1,828
(129)
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
15,601
1,121
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Sell
45,032
(3,212)
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Sell
50,525
(3,581)
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Sell
111,056
(7,906)
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
144,332
10,281
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
2,685
191
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
1,768
126
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Sell
77,358
(5,513)
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
107,138
7,653
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Sell
394
(28)
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Buy
2,093
149
Ordinary
04-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
80
Swaps
04-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(126)
Swaps
05-Feb-25
UBS AG London Branch
Sell
65,619
(5,011)
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Sell
2,299
(160)
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Sell
7,014
(489)
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Buy
11,572
805
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Buy
1,105
77
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Buy
9,517
663
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Buy
38,146
2,653
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Sell
82,836
(5,763)
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Buy
118,297
8,248
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Sell
20,099
(1,396)
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Buy
1,105
77
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Sell
47,379
(3,303)
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Buy
114,597
7,972
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Buy
14,559
1,013
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Sell
18,677
(1,300)
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Buy
29,961
2,091
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Sell
58,361
(4,068)
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Sell
65,929
(4,590)
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Sell
40,218
(2,794)
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Buy
112,387
7,829
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Buy
2,740
191
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Sell
51,778
(3,603)
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Buy
87,819
6,107
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Buy
87
6
Ordinary
05-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(6)
Swaps
06-Feb-25
UBS Securities Australia Ltd
Buy
894
62
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Buy
7,553
526
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Buy
2,844
198
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Buy
33,251
2,320
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Buy
4,713
328
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Buy
316
22
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Buy
4,515
314
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Sell
73,109
(5,090)
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Buy
73,083
5,125
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Buy
1,089
76
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Sell
53,466
(3,733)
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Sell
25,045
(1,751)
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Buy
48,809
3,403
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Buy
5,744
400
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Sell
5,979
(416)
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Sell
31,082
(2,161)
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Sell
54,469
(3,795)
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Buy
83,527
5,827
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Buy
2,722
190
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Buy
561
39
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Sell
57,019
(3,977)
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Buy
97,881
6,833
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Buy
72
5
Ordinary
06-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(5)
Swaps
06-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
3,733
Swaps
06-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(39)
Swaps
07-Feb-25
UBS Securities Australia Ltd
Sell
858
(60)
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Buy
216
15
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Sell
4,619
(324)
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Sell
76,248
(5,331)
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Buy
48,130
3,388
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Buy
20,515
1,445
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Buy
9,156
642
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Sell
18,557
(1,301)
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Buy
36,631
2,564
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Sell
19,784
(1,385)
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Buy
11,155
784
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Sell
26,003
(1,815)
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Sell
10,003
(698)
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Sell
18,343
(1,281)
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Buy
30,431
2,124
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Buy
3,388
237
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Sell
38,085
(2,659)
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Buy
43,687
3,063
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Sell
71
(5)
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Sell
1,018
(71)
Ordinary
07-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
5
Swaps
10-Feb-25
UBS AG London Branch
Buy
1,236
96
Ordinary
10-Feb-25
UBS AG London Branch
Buy
7,837
609
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Buy
3,082
220
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Sell
13,717
(1,000)
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Buy
615
44
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Sell
78,136
(5,589)
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Buy
24,301
1,768
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Buy
13,782
998
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Sell
9,441
(689)
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Buy
10,844
796
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Sell
91,117
(6,530)
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Buy
108,483
7,915
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Buy
2,760
197
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Sell
73,823
(5,292)
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Sell
11,345
(822)
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Buy
77,180
5,553
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Buy
6,735
488
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Buy
43
3
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Sell
82,671
(5,943)
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Buy
71,190
5,174
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Buy
70
5
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Buy
1,769
129
Ordinary
10-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(5)
Swaps
10-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(3)
Swaps
11-Feb-25
UBS Securities Australia Ltd
Sell
9,083
(671)
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Sell
19,488
(1,440)
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Sell
7,359
(544)
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Buy
330
24
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Buy
576
42
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Buy
598
44
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Buy
69
5
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Sell
1,962
(145)
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Sell
20,027
(1,479)
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Sell
104,598
(7,594)
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Buy
90,808
6,696
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Buy
21,733
1,599
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Sell
28,945
(2,115)
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Buy
21,074
1,553
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Buy
198,994
14,727
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Sell
58,883
(4,293)
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Sell
56,139
(4,111)
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Buy
116,454
8,499
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Buy
7,440
549
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Buy
8,808
650
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Sell
63,063
(4,603)
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Buy
47,969
3,509
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Sell
14
(1)
Ordinary
11-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1
Swaps
11-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(650)
Swaps
12-Feb-25
UBS Securities Australia Ltd
Buy
910
68
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Sell
148
(11)
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Buy
3,298
247
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Sell
3,001
(223)
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Buy
415
31
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Sell
111,393
(8,309)
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Buy
94,926
7,081
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Buy
14,686
1,099
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Buy
37,316
2,787
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Buy
13
1
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Sell
9,869
(738)
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Sell
33,372
(2,496)
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Buy
67,737
5,061
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Sell
16,979
(1,264)
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Sell
26,102
(1,952)
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Sell
10,802
(810)
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Buy
52,516
3,924
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Sell
7,173
(535)
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Sell
89,834
(6,701)
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Sell
21,973
(1,644)
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Buy
109,534
8,175
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Buy
7,834
586
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Sell
42,181
(3,149)
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Buy
64,078
4,789
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Buy
80
6
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Buy
7,193
538
Ordinary
12-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(6)
Swaps
12-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(2,787)
Swaps
12-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(1)
Swaps
13-Feb-25
UBS Securities Australia Ltd
Sell
239
(18)
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Sell
97,693
(7,374)
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Sell
13
(1)
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Sell
131,957
(9,974)
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Buy
133,357
10,049
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Buy
22,945
1,731
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Buy
99,075
7,473
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Sell
46,030
(3,476)
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Sell
73,533
(5,558)
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Buy
23,425
1,773
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Sell
13,592
(1,027)
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Buy
36,084
2,718
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Sell
31,991
(2,413)
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Sell
4,115
(311)
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Buy
46,289
3,488
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Sell
49,650
(3,749)
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Sell
43,834
(3,312)
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Sell
29,646
(2,233)
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Buy
78,177
5,903
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Buy
791
61
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Buy
4,976
376
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Sell
6,333
(478)
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Sell
27,660
(2,089)
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Buy
32,950
2,488
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Buy
279
21
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Buy
5,091
386
Ordinary
13-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(21)
Swaps
13-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(7,473)
Swaps
13-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(61)
Swaps
13-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
478
Swaps
13-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
18
Swaps
14-Feb-25
UBS Securities Australia Ltd
Sell
9,115
(681)
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Buy
322
24
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Sell
1,196
(90)
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Buy
2,051
155
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Sell
6,924
(522)
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Sell
148,845
(11,232)
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Buy
5,411
407
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Sell
3,055
(229)
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Buy
4,726
358
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Buy
45,108
3,382
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Buy
45,809
3,455
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Sell
44,142
(3,318)
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Sell
5,255
(392)
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Sell
76,204
(5,719)
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Sell
10,508
(784)
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Buy
14,320
1,078
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Buy
4,747
354
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Sell
60,256
(4,533)
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Sell
4,543
(342)
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Buy
43,176
3,260
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Buy
2,552
191
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Buy
13
1
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Sell
33,129
(2,472)
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Buy
9,377
704
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Buy
237
18
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Buy
2,215
168
Ordinary
14-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(18)
Swaps
14-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(3,382)
Swaps
14-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(1)
Swaps
14-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
305
Swaps
14-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(305)
Swaps
14-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
19
Swaps
14-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(19)
Swaps
14-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
14
Swaps
14-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(14)
Swaps
14-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(5)
Swaps
14-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
5
Swaps
14-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1
Swaps
14-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(1)
Swaps
17-Feb-25
UBS Securities Australia Ltd
Sell
585,897
(43,458)
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Sell
52,997
(3,931)
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Sell
13,079
(969)
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Sell
259
(19)
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Sell
24,010
(1,786)
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Buy
48,283
3,586
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Sell
14,234
(1,052)
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Buy
2,068
153
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Sell
35,519
(2,632)
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Sell
30,144
(2,239)
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Buy
44,784
3,317
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Sell
16,253
(1,199)
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Sell
38,438
(2,839)
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Sell
10,894
(803)
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Buy
23,392
1,736
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Sell
48,802
(3,629)
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Sell
90,783
(6,698)
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Sell
6,324
(467)
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Buy
116,464
8,602
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Sell
2,106
(156)
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Buy
5,148
381
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Sell
58,468
(4,301)
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Buy
13,278
983
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Buy
500
37
Ordinary
17-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(37)
Swaps
18-Feb-25
UBS Securities Australia Ltd
Sell
79,175
(5,974)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
542,243
(40,914)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
2,487
(186)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
16,471
(1,228)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Buy
391
29
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
3,352
(249)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
6,532
(486)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
44,378
(3,311)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
35,972
(2,677)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Buy
150,996
11,280
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Buy
10,681
798
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
2,328
(172)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
11,687
(872)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Buy
81,538
6,076
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
87,135
(6,484)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
62,690
(4,682)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
26,207
(1,947)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Buy
38,360
2,861
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
11,376
(851)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
45,000
(3,347)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
24,735
(1,841)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Buy
78,948
5,893
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Buy
713
53
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
3,199
(238)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Sell
72,931
(5,427)
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Buy
40,840
3,034
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Buy
405
30
Ordinary
18-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(30)
Swaps
18-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
238
Swaps
19-Feb-25
UBS Securities Australia Ltd
Sell
240
(18)
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Sell
2,374
(178)
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Sell
9,485
(712)
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Sell
23,911
(1,793)
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Sell
13
(1)
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Sell
44,321
(3,324)
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Sell
69,170
(5,175)
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Buy
74,322
5,574
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Sell
2,227
(167)
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Buy
26,082
1,960
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Sell
17,173
(1,287)
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Sell
62,194
(4,674)
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Buy
49,200
3,683
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Sell
54,216
(4,064)
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Sell
12,669
(951)
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Sell
23,307
(1,745)
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Buy
41,227
3,094
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Sell
33,369
(2,505)
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Sell
56,796
(4,252)
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Buy
85,132
6,390
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Buy
8,190
615
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Sell
80,312
(6,016)
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Buy
38,366
2,872
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Buy
264
20
Ordinary
19-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(20)
Swaps
19-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
18
Swaps
20-Feb-25
UBS AG London Branch
Sell
4,138
(344)
Ordinary
20-Feb-25
UBS AG London Branch
Sell
1,156
(96)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Sell
2,414
(185)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Sell
1,040
(80)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Sell
2,514
(193)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Sell
170
(13)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Sell
1,533
(118)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Sell
75,559
(5,802)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Sell
154,518
(11,804)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Buy
70,337
5,400
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Buy
22,833
1,755
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Sell
13
(1)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Buy
65,502
5,014
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Sell
58,150
(4,419)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Sell
3,933
(300)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Sell
13,650
(1,044)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Buy
88,278
6,790
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Sell
20,825
(1,586)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Buy
3,663
280
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Sell
61,992
(4,717)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Sell
18,430
(1,413)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Buy
70,898
5,427
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Buy
9,935
763
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Sell
1,724
(131)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Buy
336
25
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Sell
78,680
(6,017)
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Buy
57,225
4,382
Ordinary
20-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1
Swaps
20-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(25)
Swaps
20-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
131
Swaps
21-Feb-25
UBS AG London Branch
Sell
3,211
(265)
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Sell
50,328
(3,808)
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Sell
42,846
(3,240)
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Sell
43,385
(3,288)
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Sell
9,128
(694)
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Sell
24,484
(1,862)
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Sell
140,075
(10,610)
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Buy
108,456
8,226
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Buy
18,840
1,428
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Buy
48,622
3,679
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Sell
65,440
(4,946)
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Buy
110,002
8,318
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Buy
1,634
124
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Sell
56,932
(4,303)
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Buy
22,531
1,708
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Sell
43,932
(3,329)
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Sell
54,350
(4,117)
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Sell
22,190
(1,677)
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Buy
87,284
6,622
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Buy
8,007
607
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Buy
13
1
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Sell
27,511
(2,081)
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Sell
46,976
(3,556)
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Buy
66,640
5,052
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Sell
92
(7)
Ordinary
21-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
7
Swaps
21-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(8,318)
Swaps
21-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(1)
Swaps
24-Feb-25
UBS Securities Australia Ltd
Sell
1,811
(142)
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Sell
67,189
(5,263)
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Sell
510
(40)
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Sell
47,032
(3,691)
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Sell
156,546
(12,257)
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Buy
162,386
12,684
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Buy
17,848
1,391
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Sell
67,129
(5,275)
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Sell
10,296
(812)
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Sell
80,947
(6,306)
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Buy
70,204
5,486
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Buy
43,384
3,413
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Buy
63,236
4,972
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Sell
37,413
(2,929)
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Sell
75,132
(5,862)
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Sell
15,817
(1,234)
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Buy
93,888
7,354
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Buy
846
66
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Sell
25,166
(1,976)
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Sell
4,184
(330)
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Sell
83,498
(6,497)
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Sell
10,605
(822)
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Buy
96,507
7,547
Ordinary
24-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(3,413)
Swaps
24-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
330
Swaps
25-Feb-25
UBS Securities Australia Ltd
Sell
14,032
(1,136)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Sell
48,084
(3,876)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Sell
66,581
(5,390)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Sell
12
(1)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Sell
1,951
(157)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Buy
111
9
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Sell
172,667
(13,928)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Sell
89,929
(7,254)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Buy
175,358
14,143
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Buy
46,402
3,739
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Sell
21,230
(1,712)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Buy
14,418
1,162
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Buy
159,291
12,868
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Sell
68,035
(5,463)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Buy
126,078
10,181
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Sell
6,291
(500)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Buy
106,283
8,585
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Buy
3,151
251
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Sell
57,974
(4,686)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Sell
83,205
(6,687)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Buy
134,615
10,843
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Buy
16,283
1,316
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Sell
54,196
(4,374)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Sell
228
(18)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Sell
145,342
(11,704)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Sell
3,617
(288)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Buy
111
9
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Sell
75,280
(6,068)
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Buy
280,383
22,661
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Buy
326
26
Ordinary
25-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(26)
Swaps
25-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(10,181)
Swaps
25-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(1,162)
Swaps
25-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
11,704
Swaps
25-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
18
Swaps
25-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
288
Swaps
25-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(9)
Swaps
26-Feb-25
UBS Securities Australia Ltd
Buy
12,801
1,041
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Buy
1,793
146
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Sell
75,901
(6,194)
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Buy
152,446
12,455
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Buy
24,248
1,985
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Sell
13,787
(1,112)
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Buy
133,639
10,864
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Buy
30,548
2,483
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Buy
94,475
7,718
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Sell
97,587
(7,908)
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Sell
3,914
(316)
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Buy
78,546
6,421
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Sell
43,114
(3,515)
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Buy
1,802
148
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Sell
108,304
(8,826)
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Sell
59,052
(4,804)
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Buy
162,393
13,252
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Sell
4,990
(402)
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Buy
2,351
192
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Sell
456
(37)
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Buy
1,390
113
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Sell
96,571
(7,853)
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Buy
139,676
11,411
Ordinary
26-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
316
Swaps
26-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(10,864)
Swaps
26-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(113)
Swaps
26-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
37
Swaps
27-Feb-25
UBS AG London Branch
Buy
8,916
781
Ordinary
27-Feb-25
UBS AG London Branch
Buy
1,289
113
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Sell
17,556
(1,416)
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Sell
5,247
(424)
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Sell
161,610
(13,014)
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Buy
85,927
6,947
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Sell
28,188
(2,274)
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Buy
101,975
8,207
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Buy
22,673
1,828
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Sell
64,577
(5,192)
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Buy
83,801
6,762
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Sell
17,859
(1,434)
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Sell
12,820
(1,029)
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Buy
40,528
3,275
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Sell
96,809
(7,821)
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Sell
129,076
(10,389)
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Sell
12,857
(1,040)
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Buy
120,812
9,750
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Sell
9,316
(752)
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Sell
113
(9)
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Sell
12,985
(1,050)
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Sell
141,348
(11,378)
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Buy
57,539
4,656
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Buy
212
17
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Sell
3,470
(278)
Ordinary
27-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(17)
Swaps
27-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,434
Swaps
27-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(8,207)
Swaps
27-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
9
Swaps
27-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,050
Swaps
28-Feb-25
UBS AG London Branch
Buy
1,472
129
Ordinary
28-Feb-25
UBS AG London Branch
Buy
10,111
886
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Sell
26,794
(2,184)
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Sell
81,004
(6,524)
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Buy
68,969
5,565
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Sell
21,296
(1,722)
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Sell
8,689
(698)
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Sell
13,235
(1,067)
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Sell
16,402
(1,337)
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Buy
49,562
3,990
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Sell
21,623
(1,745)
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Sell
13,429
(1,093)
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Sell
43,727
(3,525)
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Buy
7,280
587
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Sell
45,740
(3,681)
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Sell
89,066
(7,166)
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Buy
101,860
8,207
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Sell
5,156
(415)
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Sell
6,367
(519)
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Sell
59,747
(4,809)
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Buy
41,466
3,341
Ordinary
28-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,093
Swaps
28-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
519
Swaps
28-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(48,393)
Swaps
28-Feb-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
48,393
Swaps
03-Mar-25
UBS Securities Australia Ltd
Buy
4,548
373
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Buy
1,585
130
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Sell
8,443
(689)
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Sell
15,343
(1,252)
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Buy
60,108
4,921
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Buy
5,814
477
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Sell
2,365
(193)
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Buy
20,713
1,700
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Sell
32,607
(2,674)
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Sell
22,785
(1,864)
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Buy
42,343
3,474
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Sell
6,111
(501)
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Buy
1,126
92
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Sell
14,367
(1,174)
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Sell
92,516
(7,590)
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Sell
28,440
(2,324)
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Sell
7,652
(627)
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Buy
51,272
4,196
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Buy
4,244
348
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Sell
10,556
(863)
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Buy
940
77
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Sell
2,114
(174)
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Sell
60,568
(4,968)
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Buy
30,251
2,478
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Buy
330
27
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Buy
4,746
390
Ordinary
03-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(27)
Swaps
03-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
501
Swaps
03-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(77)
Swaps
03-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
174
Swaps
03-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
863
Swaps
04-Mar-25
UBS AG London Branch
Sell
1,992
(181)
Ordinary
04-Mar-25
UBS AG London Branch
Sell
13,891
(1,262)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Sell
52,402
(4,356)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Sell
486,045
(40,403)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Sell
30,236
(2,503)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Sell
43,291
(3,595)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Buy
894
74
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Sell
993
(84)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Buy
314
26
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Sell
32,433
(2,685)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Sell
319,061
(26,425)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Buy
239,681
20,160
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Buy
460
38
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Buy
5,155
433
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Buy
36,240
3,043
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Sell
145,235
(12,090)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Sell
25,921
(2,146)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Sell
3,292
(273)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Buy
29,236
2,439
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Sell
55,353
(4,626)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Buy
2,544
216
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Sell
90,255
(7,589)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Sell
86,075
(7,233)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Buy
180,111
15,113
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Sell
10,538
(871)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Sell
245,855
(20,439)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Buy
149,551
12,596
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Sell
59
(5)
Ordinary
04-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
5
Swaps
04-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
2,146
Swaps
05-Mar-25
UBS AG London Branch
Sell
670
(61)
Ordinary
05-Mar-25
UBS AG London Branch
Sell
4,449
(405)
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Sell
10,237
(854)
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Sell
277
(23)
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Sell
131,790
(10,982)
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Buy
76,261
6,368
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Buy
4,036
338
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Buy
127,912
10,642
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Buy
20,195
1,681
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Buy
33,583
2,808
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Sell
148,308
(12,354)
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Sell
8,244
(684)
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Sell
41,864
(3,483)
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Buy
26,055
2,167
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Buy
19,693
1,645
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Sell
9,856
(818)
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Sell
73,437
(6,112)
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Buy
68,552
5,721
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Sell
404
(34)
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Buy
101,314
8,435
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Sell
15,651
(1,311)
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Sell
125,614
(10,469)
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Sell
40,856
(3,401)
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Buy
76,703
6,397
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Sell
252
(21)
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Sell
4,336
(361)
Ordinary
05-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
21
Swaps
05-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
684
Swaps
05-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(10,642)
Swaps
05-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
34
Swaps
05-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,311
Swaps
05-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(8,435)
Swaps
06-Mar-25
UBS Securities Australia Ltd
Sell
9,307
(771)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Sell
18,731
(1,551)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Sell
4,120
(342)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Sell
37,861
(3,139)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Sell
229
(19)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Sell
32,551
(2,693)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Sell
153,961
(12,774)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Buy
97,179
8,065
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Buy
104,701
8,682
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Sell
60
(5)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Buy
481
41
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Sell
37,372
(3,098)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Buy
40,892
3,402
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Sell
26,361
(2,184)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Buy
9,695
802
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Sell
7,838
(646)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Buy
29,669
2,462
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Sell
2,032
(169)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Buy
9,468
787
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Sell
48,333
(4,015)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Sell
44,294
(3,671)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Buy
99,976
8,302
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Buy
57,773
4,794
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Sell
3,541
(293)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Buy
505
43
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Sell
101,168
(8,401)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Buy
144,431
11,986
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Sell
276
(23)
Ordinary
06-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
23
Swaps
06-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
2,184
Swaps
06-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(8,682)
Swaps
06-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(43)
Swaps
06-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(4,794)
Swaps
06-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
293
Swaps
07-Mar-25
UBS Securities Australia Ltd
Sell
13,771
(1,153)
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Sell
1,614
(135)
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Buy
229
19
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Sell
39,403
(3,292)
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Sell
96
(8)
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Buy
64,831
5,418
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Sell
37,427
(3,125)
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Sell
9,352
(780)
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Buy
120
10
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Sell
429
(36)
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Sell
126,007
(10,530)
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Buy
24,331
2,027
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Sell
106,352
(8,880)
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Sell
7,173
(600)
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Buy
3,828
320
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Sell
21,930
(1,830)
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Sell
57,421
(4,794)
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Buy
81,580
6,823
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Buy
275
23
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Buy
23
2
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Buy
50,028
4,178
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Sell
5,511
(462)
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Sell
8,775
(734)
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Sell
160,559
(13,405)
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Buy
40,252
3,366
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Sell
120
(10)
Ordinary
07-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
10
Swaps
07-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(2)
Swaps
07-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(4,178)
Swaps
07-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
734
Swaps
07-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
462
Swaps
07-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,153
Swaps
10-Mar-25
UBS Securities Australia Ltd
Sell
831
(69)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
35,098
(2,911)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
44,797
(3,715)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
1,644
(136)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
96
(8)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Buy
783
65
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
5,296
(439)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
26,407
(2,193)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
109,066
(9,051)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Buy
143,658
11,918
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
7,934
(657)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
867
(72)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Buy
108
9
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Buy
13,631
1,130
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Buy
824
69
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
56,403
(4,682)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Buy
88,074
7,299
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
14,312
(1,188)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Buy
2,679
222
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
68,419
(5,676)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Buy
34,766
2,880
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
27,571
(2,288)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
25,254
(2,096)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
65,226
(5,412)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Buy
117,476
9,742
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
4,880
(404)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Buy
5,637
467
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
3,610
(300)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
764
(64)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
57,223
(4,742)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
5,706
(474)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Sell
115,004
(9,543)
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Buy
128,371
10,639
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Buy
96
8
Ordinary
10-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,188
Swaps
10-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
474
Swaps
10-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
4,742
Swaps
10-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
300
Swaps
10-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
64
Swaps
10-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
72
Swaps
11-Mar-25
UBS Securities Australia Ltd
Sell
64,603
(5,647)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
103
(9)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
159,834
(13,822)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Buy
103,450
9,025
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
9,928
(862)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
39,159
(3,397)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Buy
2,192
191
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
2,790
(244)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
1,648
(144)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Buy
35,368
3,049
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
175,565
(15,296)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
16,487
(1,441)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
7,047
(616)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
63,086
(5,466)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Buy
7,321
634
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Buy
1,494
128
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
18,185
(1,576)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
101,918
(8,824)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Buy
111,300
9,701
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
7,724
(672)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
13,547
(1,181)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Buy
2,952
256
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Buy
63,690
5,536
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
5,278
(460)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
34
(3)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
116,005
(10,034)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Buy
78,961
6,868
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Buy
320
28
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Sell
81,222
(7,051)
Ordinary
11-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
616
Swaps
11-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,441
Swaps
11-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
460
Swaps
11-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
3
Swaps
11-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
144
Swaps
11-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(5,536)
Swaps
12-Mar-25
UBS Securities Australia Ltd
Sell
10,902
(953)
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Sell
753
(66)
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Sell
207
(18)
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Sell
59,992
(5,217)
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Sell
41,385
(3,607)
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Buy
1,246
108
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Sell
2,171
(188)
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Buy
251
22
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Sell
30,496
(2,654)
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Sell
108,923
(9,450)
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Buy
94,065
8,149
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Sell
16,477
(1,429)
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Buy
18,121
1,573
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Buy
1,659
146
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Sell
145,194
(12,596)
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Buy
37,477
3,249
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Sell
5,329
(465)
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Buy
40,536
3,527
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Sell
95,757
(8,299)
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Buy
82,243
7,142
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Sell
10,078
(874)
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Sell
87,226
(7,571)
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Buy
93,959
8,145
Ordinary
12-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
953
Swaps
13-Mar-25
UBS Securities Australia Ltd
Buy
17,767
1,588
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Buy
898
80
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
898
(80)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
17,767
(1,588)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
17,767
(1,588)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
898
(80)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
112
(10)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Buy
12,673
1,134
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
179
(16)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Buy
1,377
122
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
7,875
(706)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
12,809
(1,149)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
83,530
(7,485)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
99,566
(8,910)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
190,148
(16,991)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Buy
221,517
19,863
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Buy
14,301
1,281
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Buy
18,152
1,629
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Buy
210,141
18,785
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
110,127
(9,869)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
19,860
(1,773)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Buy
93,934
8,409
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Buy
62,627
5,587
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
8,243
(742)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
145,260
(12,964)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Buy
151,188
13,489
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Buy
37,536
3,355
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
146,257
(13,061)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Buy
199,726
17,849
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Sell
67
(6)
Ordinary
13-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
6
Swaps
13-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,588
Swaps
14-Mar-25
UBS Securities Australia Ltd
Buy
5,955
526
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Buy
1,594
141
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Buy
10,248
901
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Buy
6,577
582
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Buy
41,263
3,646
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Sell
215
(19)
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Buy
9,395
832
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Sell
22,776
(2,012)
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Buy
141,259
12,577
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Sell
1,358
(122)
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Buy
70,721
6,268
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Sell
54,154
(4,787)
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Sell
4,999
(442)
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Sell
29,645
(2,615)
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Sell
887
(79)
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Buy
4,677
417
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Sell
63,583
(5,670)
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Buy
64,062
5,678
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Sell
59,971
(5,294)
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Buy
75,443
6,661
Ordinary
14-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
442
Swaps
17-Mar-25
UBS AG London Branch
Buy
53,183
5,165
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Buy
610
54
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Buy
5,801
513
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Sell
283
(25)
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Sell
78,456
(6,938)
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Buy
29,651
2,616
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Sell
316
(28)
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Sell
3,131
(276)
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Buy
1,636
145
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Buy
15,531
1,372
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Buy
10,475
926
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Buy
19,289
1,702
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Sell
63,854
(5,639)
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Sell
14,176
(1,253)
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Sell
57,021
(5,039)
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Buy
135
12
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Sell
49,849
(4,404)
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Sell
65,924
(5,827)
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Buy
74,130
6,557
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Sell
1,044
(92)
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Buy
8,802
779
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Sell
74,652
(6,597)
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Buy
86,650
7,664
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Buy
147
13
Ordinary
17-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(13)
Swaps
17-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,253
Swaps
18-Mar-25
UBS AG London Branch
Buy
29,502
2,838
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Buy
42,148
3,685
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Sell
1,028
(90)
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Sell
286
(25)
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Sell
48,709
(4,250)
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Buy
32,414
2,834
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Buy
1,635
143
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Sell
3,887
(340)
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Sell
103
(9)
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Buy
2,340
204
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Buy
15,649
1,370
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Sell
14,306
(1,252)
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Sell
8,908
(779)
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Sell
22,932
(2,001)
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Buy
1,839
161
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Sell
32,109
(2,809)
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Sell
32,276
(2,822)
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Buy
30,444
2,662
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Buy
4,248
371
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Sell
804
(70)
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Sell
19,819
(1,732)
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Buy
27,452
2,402
Ordinary
18-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
779
Swaps
18-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(3,685)
Swaps
18-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
9
Swaps
19-Mar-25
UBS AG London Branch
Buy
2,884
278
Ordinary
19-Mar-25
UBS AG London Branch
Sell
24,430
(2,380)
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Sell
2,143
(187)
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Sell
39,273
(3,431)
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Sell
6,100
(533)
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Buy
1,829
161
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Sell
7,227
(634)
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Sell
45,692
(3,985)
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Buy
33,539
2,941
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Sell
2,078
(181)
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Buy
4,696
411
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Sell
729
(64)
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Sell
490
(43)
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Sell
46,282
(4,038)
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Buy
14,157
1,240
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Sell
412
(36)
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Sell
31,679
(2,768)
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Sell
285
(25)
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Sell
37,428
(3,276)
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Sell
53,861
(4,712)
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Buy
61,627
5,409
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Buy
13,406
1,174
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Sell
43,003
(3,760)
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Buy
20,702
1,811
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Buy
136
12
Ordinary
19-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(12)
Swaps
19-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
36
Swaps
19-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
64
Swaps
20-Mar-25
UBS AG London Branch
Sell
308
(29)
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Sell
10,085
(874)
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Sell
23,465
(2,027)
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Buy
14,172
1,226
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Buy
20,629
1,785
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Sell
1,434
(125)
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Buy
9,133
789
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Sell
3,946
(344)
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Sell
32,312
(2,789)
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Buy
13,276
1,147
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Sell
11,098
(960)
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Buy
15,984
1,383
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Sell
49,103
(4,254)
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Sell
34,472
(2,977)
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Sell
37,825
(3,263)
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Buy
22,366
1,931
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Buy
12,688
1,099
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Sell
39,097
(3,375)
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Buy
44,152
3,811
Ordinary
20-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
960
Swaps
20-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
125
Swaps
21-Mar-25
UBS AG London Branch
Buy
36,791
3,478
Ordinary
21-Mar-25
UBS AG London Branch
Sell
34,316
(3,230)
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Sell
6,280
(539)
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Buy
51,281
4,400
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Sell
11,840
(1,013)
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Sell
163,392
(13,928)
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Buy
142,217
12,211
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Sell
22,182
(1,909)
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Buy
8,161
699
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Buy
18,137
1,558
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Sell
21,610
(1,824)
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Buy
45,564
3,910
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Sell
23
(2)
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Buy
85,970
7,327
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Buy
92,737
7,887
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Sell
336,862
(28,734)
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Sell
50,119
(4,302)
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Sell
130,479
(11,113)
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Buy
19,903
1,714
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Buy
7,607
663
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Sell
69,457
(5,902)
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Sell
205,641
(17,545)
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Buy
156,162
13,323
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Buy
92,720
7,962
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Sell
12,882
(1,075)
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Sell
166,132
(14,186)
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Buy
145,833
12,471
Ordinary
21-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
4,302
Swaps
21-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(3,910)
Swaps
21-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
2
Swaps
24-Mar-25
UBS AG London Branch
Sell
34,644
(3,298)
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Sell
116
(10)
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Sell
18,485
(1,582)
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Sell
23,963
(2,074)
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Buy
1,942
167
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Buy
34,766
2,986
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Sell
5,702
(490)
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Buy
54,047
4,659
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Buy
961
83
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Sell
13,096
(1,125)
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Sell
17,547
(1,510)
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Sell
5,401
(465)
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Buy
8,351
719
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Buy
20,498
1,763
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Sell
53,939
(4,631)
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Sell
752
(65)
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Buy
1,339
116
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Sell
15,606
(1,344)
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Sell
35,056
(3,014)
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Buy
12,040
1,034
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Sell
32,418
(2,764)
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Sell
15,326
(1,319)
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Buy
37,571
3,238
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Sell
27,450
(2,365)
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Buy
32,411
2,801
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Buy
163
14
Ordinary
24-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(14)
Swaps
24-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
65
Swaps
24-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
465
Swaps
25-Mar-25
UBS AG London Branch
Buy
37,140
3,490
Ordinary
25-Mar-25
UBS AG London Branch
Sell
2,416
(227)
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Buy
1,088
93
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Buy
19,290
1,646
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Buy
29,394
2,506
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Buy
539
46
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Sell
5,770
(493)
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Buy
11,523
983
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Sell
120,914
(10,332)
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Buy
20,600
1,756
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Sell
11,965
(1,022)
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Buy
2,522
216
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Sell
8,931
(762)
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Buy
42,712
3,651
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Sell
110,299
(9,424)
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Buy
25,062
2,140
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Buy
292
25
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Sell
22,665
(1,939)
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Sell
30,331
(2,589)
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Sell
65,419
(5,581)
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Buy
51,036
4,356
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Sell
7,051
(601)
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Buy
6,660
569
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Sell
45,247
(3,863)
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Buy
45,986
3,927
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Buy
257
22
Ordinary
25-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(22)
Swaps
25-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(25)
Swaps
25-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(3,651)
Swaps
26-Mar-25
UBS AG London Branch
Buy
21
2
Ordinary
26-Mar-25
UBS AG London Branch
Sell
26,574
(2,535)
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Sell
171,717
(14,977)
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Buy
65,751
5,760
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Buy
1,096
96
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Sell
21,692
(1,903)
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Buy
64,410
5,634
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Buy
2,113
185
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Buy
6,784
592
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Sell
218
(19)
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Sell
27,113
(2,372)
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Sell
53,381
(4,657)
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Buy
65,439
5,738
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Buy
618
54
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Sell
43,890
(3,839)
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Buy
18,898
1,658
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Buy
10,409
908
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Sell
114,647
(9,997)
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Buy
117,663
10,292
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Sell
38,018
(3,336)
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Sell
135,182
(11,807)
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Buy
125,954
11,015
Ordinary
26-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(54)
Swaps
26-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(5,634)
Swaps
27-Mar-25
UBS AG London Branch
Buy
13,391
1,318
Ordinary
27-Mar-25
UBS AG London Branch
Sell
21,478
(2,082)
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Buy
50,382
4,419
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Buy
1,182
105
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Buy
9,550
819
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Sell
2,359
(211)
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Sell
96,262
(8,445)
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Buy
143,880
12,569
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Sell
21,977
(1,929)
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Buy
87,806
7,723
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Buy
12,950
1,108
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Buy
2,875
246
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Buy
13,998
1,242
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Sell
138,106
(12,139)
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Sell
154,930
(13,576)
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Sell
36,766
(3,170)
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Buy
17,532
1,561
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Sell
138,300
(12,135)
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Sell
16,145
(1,432)
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Buy
3,342
300
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Buy
158,523
13,916
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Sell
53,517
(4,669)
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Sell
128,394
(11,204)
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Buy
125,723
11,014
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Sell
168
(15)
Ordinary
27-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
15
Swaps
27-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(7,723)
Swaps
27-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(4,419)
Swaps
28-Mar-25
UBS AG London Branch
Buy
25,852
2,323
Ordinary
28-Mar-25
UBS AG London Branch
Sell
23
(2)
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Buy
615,269
49,298
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Buy
268,445
21,509
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Buy
139,645
11,189
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Sell
10,324
(826)
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Sell
195,523
(15,548)
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Buy
19,290
1,521
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Buy
105,847
8,400
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Buy
33,507
2,725
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Sell
54,516
(4,330)
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Buy
166,400
13,346
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Sell
73,550
(5,864)
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Buy
41,049
3,264
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Buy
32,896
2,584
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Sell
2,878
(246)
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Sell
203,388
(16,165)
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Buy
85,580
6,930
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Buy
18,468
1,480
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Sell
136,697
(10,930)
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Sell
26,665
(2,202)
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Buy
2,751
219
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Sell
140,721
(11,267)
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Sell
1,668
(134)
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Buy
142,947
11,464
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Sell
38,422
(3,083)
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Sell
48,732
(3,817)
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Sell
169,600
(13,631)
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Buy
80,616
6,433
Ordinary
28-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(3,264)
Swaps
28-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
15,548
Swaps
31-Mar-25
UBS AG London Branch
Buy
35,659
3,142
Ordinary
31-Mar-25
UBS AG London Branch
Sell
5,232
(457)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
2,818,649
(228,013)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
419,856
(33,964)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
3,408
(273)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
47,080
(3,811)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
52,421
(4,238)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
154,083
(12,427)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Buy
5,333
428
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Buy
92,099
7,388
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Buy
27,243
2,186
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Buy
30,850
2,485
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
184,418
(14,844)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Buy
123,506
9,923
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
11,195
(901)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
1,663
(132)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Buy
7,401
599
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
2,362
(191)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
11,237
(915)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
64,200
(5,186)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
67,331
(5,426)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Buy
106,798
8,574
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
197
(16)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
9,038
(736)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
61,643
(4,974)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
109,058
(8,759)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
33,660
(2,697)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
151,222
(12,138)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Buy
138,814
11,186
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
2,942
(234)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Buy
17,958
1,452
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Sell
175,823
(14,150)
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Buy
95,776
7,722
Ordinary
31-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
16
Swaps
31-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
901
Swaps
31-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
915
Swaps
31-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
4,238
Swaps
31-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
12,427
Swaps
31-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(8,025)
Swaps
31-Mar-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
8,025
Swaps
01-Apr-25
UBS AG London Branch
Buy
74,429
6,849
Ordinary
01-Apr-25
UBS AG London Branch
Sell
10,566
(969)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
36,676
(3,106)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Buy
19,842
1,697
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Buy
31,016
2,571
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
538
(46)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
126,346
(10,752)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
162,913
(13,864)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Buy
104,526
8,869
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
53,828
(4,546)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Buy
5,007
416
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
7,376
(626)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
34,784
(2,962)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
20,573
(1,753)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Buy
25,573
2,179
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
43,663
(3,678)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Buy
46,522
3,935
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
1,473
(126)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
64,504
(5,485)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Buy
18,115
1,551
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
35,289
(2,997)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
194,611
(16,499)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
1,685
(143)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Buy
154,179
13,035
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Buy
8,867
739
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
74,149
(6,317)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
74,143
(6,285)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Buy
95,497
8,103
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Sell
72
(6)
Ordinary
01-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
6
Swaps
01-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
126
Swaps
01-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
4,546
Swaps
01-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,753
Swaps
01-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
10,752
Swaps
02-Apr-25
UBS AG London Branch
Buy
50,441
4,588
Ordinary
02-Apr-25
UBS AG London Branch
Sell
23,445
(2,145)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Sell
145,215
(12,099)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Sell
936
(78)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Sell
2,851
(237)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Sell
52,260
(4,348)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Buy
31,534
2,620
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Buy
85,123
7,072
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Buy
43,497
3,633
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Sell
84,956
(7,064)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Buy
72,876
6,061
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Sell
20,884
(1,740)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Sell
6,397
(533)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Buy
6,409
533
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Sell
12,938
(1,075)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Buy
51,464
4,281
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Buy
83,816
6,978
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Sell
49,331
(4,125)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Buy
961
80
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Sell
34,603
(2,880)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Sell
11,418
(951)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Sell
31,052
(2,577)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Sell
12,201
(1,014)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Buy
2,839
237
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Sell
109,356
(9,085)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Sell
19,311
(1,609)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Buy
159,224
13,235
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Sell
68,587
(5,698)
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Buy
92,213
7,653
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Buy
36
3
Ordinary
02-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(3)
Swaps
02-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(80)
Swaps
02-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(4,281)
Swaps
02-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,740
Swaps
03-Apr-25
UBS AG London Branch
Buy
34,502
3,255
Ordinary
03-Apr-25
UBS AG London Branch
Sell
30,716
(2,832)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
8,236
(676)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
206,952
(16,986)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
31,673
(2,587)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Buy
19,977
1,707
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Buy
330
28
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
5,183
(427)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
107,190
(8,826)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Buy
11,129
921
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
117,435
(9,675)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Buy
207,261
17,061
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
16,474
(1,337)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
55,545
(4,588)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
55,512
(4,534)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
17,325
(1,422)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
175,532
(14,413)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Buy
46,800
3,866
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Buy
624
51
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
71,603
(5,919)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
19,431
(1,595)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
81,397
(6,628)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Buy
22,999
1,942
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
145,544
(11,942)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
9,839
(827)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
156,022
(12,851)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
1,975
(160)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Buy
182,430
15,057
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
94,304
(7,734)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
41,796
(3,470)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
56,795
(4,643)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Buy
382,968
31,787
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Sell
501
(43)
Ordinary
03-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
43
Swaps
03-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(51)
Swaps
03-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
4,588
Swaps
03-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,422
Swaps
04-Apr-25
UBS AG London Branch
Buy
27,243
2,599
Ordinary
04-Apr-25
UBS AG London Branch
Sell
89,983
(8,498)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
18,168
(1,567)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
1,296
(112)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Buy
66,951
5,730
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
243
(21)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Buy
293
25
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
126,163
(10,858)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Buy
20,078
1,723
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
357,642
(30,710)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Buy
249,687
21,462
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
3,884
(335)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
47,768
(4,103)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Buy
9,821
845
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
16,621
(1,437)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
295,921
(25,483)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Buy
53,691
4,646
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
10,907
(943)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
84,644
(7,294)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Buy
1,505
130
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Buy
66,047
5,664
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
38,631
(3,326)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Buy
4,302
377
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Buy
1,352
112
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
26,528
(2,268)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
76,391
(6,567)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
116,208
(9,961)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Buy
192,093
16,518
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
14,913
(1,271)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
59,963
(5,163)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
129,728
(11,101)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Buy
154,384
13,278
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Sell
354
(31)
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Buy
46
4
Ordinary
04-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
31
Swaps
04-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(130)
Swaps
04-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
4,103
Swaps
04-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,437
Swaps
04-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
10,858
Swaps
07-Apr-25
UBS AG London Branch
Buy
12,917
1,304
Ordinary
07-Apr-25
UBS AG London Branch
Sell
13,422
(1,352)
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Sell
3,725
(337)
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Sell
37,352
(3,387)
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Sell
22,842
(2,062)
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Sell
128,132
(11,629)
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Buy
209,174
19,030
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Sell
34,758
(3,160)
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Sell
9,167
(829)
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Buy
17,916
1,623
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Buy
111,863
10,146
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Sell
26,996
(2,448)
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Buy
174,483
15,839
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Sell
6,630
(601)
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Buy
7,142
646
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Buy
112,045
10,150
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Sell
13,298
(1,208)
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Buy
33,573
3,052
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Sell
80,806
(7,318)
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Sell
52,051
(4,706)
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Buy
134,545
12,214
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Sell
2,535
(229)
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Buy
7,070
641
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Sell
55
(5)
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Sell
154,881
(14,053)
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Buy
164,768
14,935
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Sell
89
(8)
Ordinary
07-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
8
Swaps
07-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
601
Swaps
07-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
3,160
Swaps
07-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
829
Swaps
08-Apr-25
UBS AG London Branch
Buy
21,777
2,183
Ordinary
08-Apr-25
UBS AG London Branch
Sell
2,052
(204)
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Sell
31,000
(2,748)
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Sell
7,943
(707)
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Sell
148,045
(13,122)
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Buy
172,560
15,388
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Sell
36,480
(3,226)
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Buy
20,318
1,798
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Sell
24,170
(2,139)
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Sell
250
(22)
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Buy
60,921
5,384
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Sell
53,734
(4,762)
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Buy
135,944
12,094
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Sell
1,094
(96)
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Buy
167,966
14,925
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Sell
11,445
(1,004)
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Buy
93,691
8,344
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Buy
6,080
543
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Sell
21,276
(1,880)
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Sell
13,378
(1,179)
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Sell
91,638
(8,131)
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Buy
110,209
9,786
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Sell
40,305
(3,574)
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Sell
110,294
(9,776)
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Buy
207,717
18,417
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Sell
335
(30)
Ordinary
08-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
30
Swaps
08-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
96
Swaps
08-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
3,226
Swaps
08-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(1,798)
Swaps
08-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
22
Swaps
09-Apr-25
UBS AG London Branch
Buy
16,139
1,598
Ordinary
09-Apr-25
UBS AG London Branch
Sell
13,843
(1,403)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Sell
46,404
(4,130)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Buy
5,385
476
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Buy
8,085
719
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Sell
37,982
(3,386)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Buy
88,576
7,935
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Sell
215,053
(19,188)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Buy
295,306
26,688
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Sell
53,863
(4,782)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Buy
19,440
1,747
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Sell
30,846
(2,753)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Sell
14,695
(1,306)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Buy
45,869
4,148
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Sell
209,256
(18,672)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Buy
348
31
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Sell
14,552
(1,293)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Sell
13,238
(1,182)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Buy
73,597
6,576
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Sell
132,420
(11,796)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Sell
21,793
(1,940)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Sell
873
(80)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Sell
75,625
(6,761)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Sell
113,705
(10,181)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Buy
175,366
15,767
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Buy
20,332
1,829
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Sell
188,087
(16,832)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Buy
501,382
45,452
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Sell
188
(17)
Ordinary
09-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
17
Swaps
09-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(31)
Swaps
09-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
2,753
Swaps
09-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
4,782
Swaps
09-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,306
Swaps
10-Apr-25
UBS AG London Branch
Buy
24,994
2,345
Ordinary
10-Apr-25
UBS AG London Branch
Sell
42,763
(4,001)
Ordinary
10-Apr-25
UBS AG London Branch
Buy
9,895
923
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Buy
9,545
810
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Buy
62,484
5,298
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Sell
25,916
(2,187)
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Buy
183,426
15,520
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Sell
333,387
(28,267)
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Buy
435,862
36,710
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Buy
755
64
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Sell
5,739
(483)
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Buy
30,376
2,576
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Sell
31,449
(2,646)
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Buy
19,609
1,658
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Sell
17,299
(1,459)
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Sell
71
(6)
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Sell
60,213
(5,087)
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Buy
176,357
14,862
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Sell
700
(59)
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Sell
87,955
(7,476)
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Sell
3,808
(321)
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Buy
130,171
11,034
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Buy
2,379
200
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Sell
16,327
(1,382)
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Sell
101,526
(8,582)
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Sell
144,213
(12,164)
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Buy
227,825
19,234
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Buy
20,776
1,748
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Sell
5,262
(445)
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Sell
293,802
(24,876)
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Buy
403,235
34,046
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Buy
286
24
Ordinary
10-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(24)
Swaps
10-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
59
Swaps
10-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
2,646
Swaps
10-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(2,576)
Swaps
10-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
6
Swaps
11-Apr-25
UBS AG London Branch
Buy
17,237
1,667
Ordinary
11-Apr-25
UBS AG London Branch
Sell
10,390
(983)
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Sell
74,597
(6,375)
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Sell
20,536
(1,731)
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Sell
191,807
(16,311)
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Buy
189,503
16,307
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Sell
5,230
(452)
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Sell
6,965
(591)
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Buy
3,014
260
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Buy
23,029
1,985
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Sell
4,315
(359)
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Sell
110,676
(9,436)
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Sell
14,819
(1,241)
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Sell
24
(2)
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Buy
11,889
1,009
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Buy
145,955
12,566
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Sell
247,109
(20,990)
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Buy
5,812
487
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Buy
2,544
218
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Buy
22,580
1,933
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Sell
94,277
(7,986)
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Buy
15,822
1,362
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Sell
161,212
(13,829)
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Sell
12,787
(1,087)
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Buy
212,262
18,143
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Sell
7,523
(630)
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Buy
36,823
3,172
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Sell
250,839
(21,403)
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Buy
143,219
12,288
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Buy
220
19
Ordinary
11-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(19)
Swaps
11-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(487)
Swaps
11-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
9,436
Swaps
11-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(260)
Swaps
11-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
591
Swaps
11-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,241
Swaps
14-Apr-25
UBS AG London Branch
Buy
41,117
3,819
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Sell
51,994
(4,310)
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Sell
4,818
(400)
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Sell
18,600
(1,536)
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Buy
26,493
2,194
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Buy
5,098
422
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Buy
41,529
3,435
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Sell
99,453
(8,261)
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Buy
78,761
6,513
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Sell
3,273
(271)
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Buy
10,835
900
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Sell
5,306
(439)
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Sell
67,932
(5,631)
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Sell
12,316
(1,019)
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Sell
11,215
(931)
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Buy
91,418
7,598
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Buy
25,912
2,145
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Sell
45,072
(3,744)
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Buy
114,165
9,498
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Sell
19,123
(1,588)
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Sell
112,016
(9,291)
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Buy
116,990
9,696
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Buy
13,586
1,124
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Sell
195,819
(16,239)
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Buy
46,088
3,820
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Buy
168
14
Ordinary
14-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(14)
Swaps
14-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
5,631
Swaps
14-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
439
Swaps
14-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(900)
Swaps
14-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,019
Swaps
15-Apr-25
UBS AG London Branch
Buy
66,841
6,233
Ordinary
15-Apr-25
UBS AG London Branch
Sell
9,306
(870)
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Buy
412,878
35,000
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Sell
4,774
(400)
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Sell
396
(33)
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Sell
32,607
(2,740)
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Sell
21,404
(1,800)
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Sell
76,480
(6,387)
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Buy
24,405
2,046
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Sell
1,612
(135)
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Sell
10,052
(848)
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Sell
46,264
(3,879)
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Sell
13,105
(1,105)
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Buy
49,791
4,165
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Buy
3,523
298
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Sell
27,024
(2,244)
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Sell
15,852
(1,329)
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Buy
2,492
208
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Sell
13,201
(1,101)
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Sell
41,861
(3,478)
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Buy
41,824
3,500
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Sell
67,724
(5,654)
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Buy
19,880
1,665
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Buy
337
28
Ordinary
15-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(28)
Swaps
15-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(298)
Swaps
15-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
3,879
Swaps
15-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
848
Swaps
16-Apr-25
UBS AG London Branch
Buy
3,550
340
Ordinary
16-Apr-25
UBS AG London Branch
Sell
14,303
(1,369)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Buy
2,747
231
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Sell
5,890
(500)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Sell
29,811
(2,511)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Sell
13,430
(1,140)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Sell
1,700
(145)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Sell
18,432
(1,559)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Sell
19,275
(1,634)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Sell
345
(29)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Buy
54,742
4,628
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Sell
16,580
(1,400)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Sell
7,729
(655)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Buy
21,029
1,784
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Sell
676
(57)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Sell
6,043
(514)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Buy
3,113
262
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Sell
16,988
(1,433)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Sell
8,515
(717)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Sell
28,268
(2,394)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Sell
11,323
(958)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Buy
40,228
3,407
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Sell
21,263
(1,798)
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Buy
16,863
1,426
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Buy
93
8
Ordinary
16-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(8)
Swaps
16-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
57
Swaps
16-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,400
Swaps
17-Apr-25
UBS AG London Branch
Buy
76,258
7,190
Ordinary
17-Apr-25
UBS AG London Branch
Sell
26,520
(2,504)
Ordinary
17-Apr-25
UBS AG London Branch
Buy
74,407
7,028
Ordinary
17-Apr-25
UBS AG London Branch
Sell
22,176
(2,096)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Sell
7,634
(641)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Sell
4,765
(400)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Sell
2,605
(218)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Sell
97,511
(8,181)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Sell
17,909
(1,501)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Sell
15,147
(1,268)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Sell
68,305
(5,730)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Buy
93,186
7,816
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Sell
35,984
(3,019)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Sell
41,431
(3,475)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Sell
18,891
(1,584)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Buy
88,052
7,381
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Sell
16,677
(1,401)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Buy
26,799
2,245
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Sell
15,249
(1,280)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Sell
26,927
(2,261)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Sell
39,311
(3,306)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Sell
48,233
(4,041)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Buy
81,032
6,801
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Buy
10,449
875
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Sell
142,328
(11,938)
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Buy
48,390
4,058
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Buy
191
16
Ordinary
17-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(16)
Swaps
17-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
3,475
Swaps
17-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
3,019
Swaps
22-Apr-25
UBS AG London Branch
Buy
8,257
797
Ordinary
22-Apr-25
UBS AG London Branch
Sell
18,164
(1,762)
Ordinary
22-Apr-25
UBS AG London Branch
Sell
11,268
(1,088)
Ordinary
22-Apr-25
UBS AG London Branch
Buy
8,215
793
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Sell
5,851
(500)
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Buy
6,578
562
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Buy
3,218
274
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Sell
226,694
(19,387)
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Buy
213,560
18,214
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Buy
209
18
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Buy
18,290
1,562
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Sell
4,704
(400)
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Buy
1,541
131
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Sell
24,142
(2,060)
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Buy
85,528
7,298
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Sell
67,513
(5,788)
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Buy
62,155
5,297
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Sell
3,272
(278)
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Sell
27,547
(2,358)
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Sell
67,968
(5,798)
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Buy
97,081
8,303
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Buy
24,932
2,126
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Sell
75,025
(6,413)
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Buy
102,760
8,759
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Buy
82
7
Ordinary
22-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(7)
Swaps
23-Apr-25
UBS AG London Branch
Sell
26,435
(2,449)
Ordinary
23-Apr-25
UBS AG London Branch
Sell
3,300
(300)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
1,613
(131)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
4,889
(400)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
1,326
(109)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Buy
24
2
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
19,224
(1,566)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
2,509
(203)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
8,538
(689)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
28,395
(2,299)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
48,842
(3,962)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
85,121
(6,893)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Buy
65,613
5,429
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
65,767
(5,355)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
10,272
(825)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Buy
155,112
12,645
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Buy
345
28
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
10,642
(864)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
24,324
(1,966)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Buy
20,172
1,631
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
39,623
(3,252)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Buy
21,145
1,746
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Buy
14,813
1,210
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
88,495
(7,255)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
37,954
(3,049)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Buy
115,258
9,394
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Sell
26,135
(2,126)
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Buy
36,616
2,987
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Buy
48
4
Ordinary
23-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(4)
Swaps
23-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(28)
Swaps
23-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
5,355
Swaps
24-Apr-25
UBS AG London Branch
Buy
36,267
3,304
Ordinary
24-Apr-25
UBS AG London Branch
Sell
1,820
(165)
Ordinary
24-Apr-25
UBS AG London Branch
Buy
66,003
6,031
Ordinary
24-Apr-25
UBS AG London Branch
Sell
25,867
(2,344)
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Buy
5,331
427
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Buy
19,996
1,600
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Sell
6,236
(500)
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Sell
39,946
(3,199)
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Sell
53,153
(4,247)
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Buy
127,220
10,204
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Buy
586
47
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Sell
3,525
(282)
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Sell
4,608
(368)
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Sell
6,191
(492)
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Sell
9,035
(728)
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Buy
147,805
11,849
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Sell
52,287
(4,187)
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Buy
463
37
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Buy
14,421
1,156
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Sell
16,937
(1,350)
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Buy
67,599
5,420
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Buy
2,429
195
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Sell
64,399
(5,139)
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Sell
49,999
(4,007)
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Buy
143,632
11,505
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Sell
9,384
(749)
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Buy
4,600
372
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Sell
84,836
(6,813)
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Buy
45,484
3,650
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Buy
3,278
263
Ordinary
24-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(263)
Swaps
24-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(37)
Swaps
24-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
368
Swaps
28-Apr-25
UBS AG London Branch
Buy
55,398
4,988
Ordinary
28-Apr-25
UBS AG London Branch
Sell
44,677
(3,938)
Ordinary
28-Apr-25
UBS AG London Branch
Buy
29,715
2,671
Ordinary
28-Apr-25
UBS AG London Branch
Sell
58,475
(5,281)
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Sell
5,054
(400)
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Buy
2,567
205
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Buy
18,849
1,484
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Buy
23,985
1,883
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Buy
2,571
202
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Sell
165,531
(13,092)
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Buy
145,401
11,503
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Buy
216
17
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Sell
4,600
(359)
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Buy
742
60
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Sell
5,131
(402)
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Sell
138,100
(10,895)
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Sell
4,454
(349)
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Buy
134,585
10,632
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Sell
27,796
(2,185)
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Buy
4,937
390
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Sell
217
(17)
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Sell
87,113
(6,897)
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Sell
56,867
(4,484)
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Buy
37,912
2,999
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Buy
2,200
178
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Sell
6,224
(492)
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Sell
143,467
(11,371)
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Sell
75,364
(5,998)
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Buy
203,617
16,152
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Sell
12,726
(997)
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Sell
82,133
(6,487)
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Buy
72,237
5,718
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Buy
2,400
191
Ordinary
28-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(191)
Swaps
28-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
17
Swaps
28-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
10,895
Swaps
28-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(60)
Swaps
29-Apr-25
UBS AG London Branch
Buy
14,856
1,292
Ordinary
29-Apr-25
UBS AG London Branch
Sell
30,485
(2,627)
Ordinary
29-Apr-25
UBS AG London Branch
Buy
30,906
2,676
Ordinary
29-Apr-25
UBS AG London Branch
Sell
5,787
(506)
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Buy
8,081
624
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Buy
62,617
4,796
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Buy
23,630
1,818
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Buy
1,371
105
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Sell
4,049
(313)
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Buy
78
6
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Sell
450
(35)
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Sell
11,698
(900)
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Sell
174,484
(13,384)
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Buy
196,379
15,094
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Sell
82,939
(6,363)
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Buy
26,462
2,014
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Sell
66,803
(5,109)
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Buy
123,571
9,486
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Buy
524
40
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Sell
19,354
(1,482)
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Sell
37,728
(2,895)
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Buy
515
40
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Sell
112,584
(8,647)
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Buy
8,073
619
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Sell
8,179
(639)
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Sell
71,987
(5,543)
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Sell
128,540
(9,885)
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Buy
189,344
14,600
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Buy
30,063
2,288
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Sell
121,730
(9,346)
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Buy
95,465
7,348
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Buy
1,744
135
Ordinary
29-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(135)
Swaps
29-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(40)
Swaps
29-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
6,363
Swaps
30-Apr-25
UBS AG London Branch
Buy
5,267
452
Ordinary
30-Apr-25
UBS AG London Branch
Sell
31,347
(2,685)
Ordinary
30-Apr-25
UBS AG London Branch
Sell
50,307
(4,327)
Ordinary
30-Apr-25
UBS AG London Branch
Buy
9,835
837
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Buy
9,966
756
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Buy
25,295
1,933
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Buy
10,230
775
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Sell
1,710
(131)
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Sell
15,164
(1,159)
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Buy
24,696
1,890
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Sell
161,041
(12,280)
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Buy
165,013
12,618
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Sell
9,399
(716)
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Sell
1,293
(99)
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Buy
56,679
4,332
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Sell
53,142
(4,053)
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Sell
1,006
(77)
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Sell
16,992
(1,300)
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Sell
11,786
(902)
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Sell
3,577
(273)
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Buy
13,408
1,022
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Sell
37,995
(2,895)
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Sell
67,867
(5,184)
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Buy
117,951
9,014
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Sell
55,911
(4,276)
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Buy
41,241
3,151
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Buy
1,047
80
Ordinary
30-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(80)
Swaps
30-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
77
Swaps
30-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
99
Swaps
30-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(56,268)
Swaps
30-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
56,268
Swaps
30-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(40,092)
Swaps
30-Apr-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
40,092
Swaps
01-May-25
UBS AG London Branch
Buy
20,599
1,760
Ordinary
01-May-25
UBS AG London Branch
Sell
27,998
(2,388)
Ordinary
01-May-25
UBS AG London Branch
Buy
5,835
499
Ordinary
01-May-25
UBS AG London Branch
Sell
46,581
(3,967)
Ordinary
01-May-25
UBS Securities Australia Ltd
Buy
2,002
152
Ordinary
01-May-25
UBS Securities Australia Ltd
Sell
2,653
(201)
Ordinary
01-May-25
UBS Securities Australia Ltd
Buy
28,943
2,190
Ordinary
01-May-25
UBS Securities Australia Ltd
Buy
13,032
990
Ordinary
01-May-25
UBS Securities Australia Ltd
Buy
19,166
1,447
Ordinary
01-May-25
UBS Securities Australia Ltd
Buy
25,432
1,900
Ordinary
01-May-25
UBS Securities Australia Ltd
Sell
104,716
(7,903)
Ordinary
01-May-25
UBS Securities Australia Ltd
Buy
4,100
310
Ordinary
01-May-25
UBS Securities Australia Ltd
Sell
255
(19)
Ordinary
01-May-25
UBS Securities Australia Ltd
Sell
16,201
(1,221)
Ordinary
01-May-25
UBS Securities Australia Ltd
Sell
139,973
(10,541)
Ordinary
01-May-25
UBS Securities Australia Ltd
Buy
26,940
2,036
Ordinary
01-May-25
UBS Securities Australia Ltd
Buy
455
34
Ordinary
01-May-25
UBS Securities Australia Ltd
Sell
21,910
(1,639)
Ordinary
01-May-25
UBS Securities Australia Ltd
Buy
5,780
441
Ordinary
01-May-25
UBS Securities Australia Ltd
Buy
23,398
1,775
Ordinary
01-May-25
UBS Securities Australia Ltd
Sell
66,212
(5,017)
Ordinary
01-May-25
UBS Securities Australia Ltd
Sell
71,683
(5,390)
Ordinary
01-May-25
UBS Securities Australia Ltd
Buy
138,178
10,417
Ordinary
01-May-25
UBS Securities Australia Ltd
Sell
59,476
(4,480)
Ordinary
01-May-25
UBS Securities Australia Ltd
Buy
37,171
2,804
Ordinary
01-May-25
UBS Securities Australia Ltd
Sell
249
(19)
Ordinary
01-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
19
Swaps
01-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(34)
Swaps
01-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
1,221
Swaps
02-May-25
UBS AG London Branch
Buy
12,968
1,072
Ordinary
02-May-25
UBS AG London Branch
Sell
574
(47)
Ordinary
02-May-25
UBS AG London Branch
Buy
57,617
4,785
Ordinary
02-May-25
UBS AG London Branch
Sell
14,415
(1,184)
Ordinary
02-May-25
UBS Securities Australia Ltd
Sell
3,889
(287)
Ordinary
02-May-25
UBS Securities Australia Ltd
Buy
1,420
105
Ordinary
02-May-25
UBS Securities Australia Ltd
Buy
92,972
6,820
Ordinary
02-May-25
UBS Securities Australia Ltd
Buy
108
8
Ordinary
02-May-25
UBS Securities Australia Ltd
Buy
43,904
3,232
Ordinary
02-May-25
UBS Securities Australia Ltd
Buy
24,513
1,808
Ordinary
02-May-25
UBS Securities Australia Ltd
Sell
102,038
(7,484)
Ordinary
02-May-25
UBS Securities Australia Ltd
Buy
45,595
3,350
Ordinary
02-May-25
UBS Securities Australia Ltd
Sell
6,709
(488)
Ordinary
02-May-25
UBS Securities Australia Ltd
Sell
9,715
(710)
Ordinary
02-May-25
UBS Securities Australia Ltd
Sell
64,728
(4,748)
Ordinary
02-May-25
UBS Securities Australia Ltd
Buy
60,135
4,416
Ordinary
02-May-25
UBS Securities Australia Ltd
Sell
522
(38)
Ordinary
02-May-25
UBS Securities Australia Ltd
Sell
339
(25)
Ordinary
02-May-25
UBS Securities Australia Ltd
Sell
73,757
(5,422)
Ordinary
02-May-25
UBS Securities Australia Ltd
Sell
7,184
(527)
Ordinary
02-May-25
UBS Securities Australia Ltd
Sell
102,535
(7,548)
Ordinary
02-May-25
UBS Securities Australia Ltd
Sell
78,113
(5,712)
Ordinary
02-May-25
UBS Securities Australia Ltd
Buy
170,490
12,488
Ordinary
02-May-25
UBS Securities Australia Ltd
Sell
15,123
(1,108)
Ordinary
02-May-25
UBS Securities Australia Ltd
Sell
58,191
(4,268)
Ordinary
02-May-25
UBS Securities Australia Ltd
Buy
48,433
3,552
Ordinary
02-May-25
UBS Securities Australia Ltd
Sell
701
(51)
Ordinary
02-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
51
Swaps
02-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
25
Swaps
02-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
488
Swaps
05-May-25
UBS AG London Branch
Buy
9,834
811
Ordinary
05-May-25
UBS AG London Branch
Sell
15,008
(1,242)
Ordinary
05-May-25
UBS AG London Branch
Sell
982
(81)
Ordinary
05-May-25
UBS Securities Australia Ltd
Sell
14
(1)
Ordinary
05-May-25
UBS Securities Australia Ltd
Buy
9,222
684
Ordinary
05-May-25
UBS Securities Australia Ltd
Buy
2,922
217
Ordinary
05-May-25
UBS Securities Australia Ltd
Sell
37,912
(2,808)
Ordinary
05-May-25
UBS Securities Australia Ltd
Buy
30,959
2,303
Ordinary
05-May-25
UBS Securities Australia Ltd
Buy
15,052
1,112
Ordinary
05-May-25
UBS Securities Australia Ltd
Buy
11,403
850
Ordinary
05-May-25
UBS Securities Australia Ltd
Buy
1,984
148
Ordinary
05-May-25
UBS Securities Australia Ltd
Buy
590
44
Ordinary
05-May-25
UBS Securities Australia Ltd
Sell
430
(32)
Ordinary
05-May-25
UBS Securities Australia Ltd
Buy
6,823
507
Ordinary
05-May-25
UBS Securities Australia Ltd
Buy
24,558
1,832
Ordinary
05-May-25
UBS Securities Australia Ltd
Buy
3,399
253
Ordinary
05-May-25
UBS Securities Australia Ltd
Sell
8,286
(613)
Ordinary
05-May-25
UBS Securities Australia Ltd
Sell
23,403
(1,734)
Ordinary
05-May-25
UBS Securities Australia Ltd
Buy
52,442
3,894
Ordinary
05-May-25
UBS Securities Australia Ltd
Buy
2,498
187
Ordinary
05-May-25
UBS Securities Australia Ltd
Sell
40,064
(2,965)
Ordinary
05-May-25
UBS Securities Australia Ltd
Buy
28,589
2,122
Ordinary
05-May-25
UBS Securities Australia Ltd
Sell
960
(71)
Ordinary
05-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
71
Swaps
05-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(148)
Swaps
06-May-25
UBS AG London Branch
Buy
51,861
4,295
Ordinary
06-May-25
UBS AG London Branch
Sell
14,925
(1,244)
Ordinary
06-May-25
UBS AG London Branch
Buy
51,375
4,292
Ordinary
06-May-25
UBS Securities Australia Ltd
Buy
13,165
970
Ordinary
06-May-25
UBS Securities Australia Ltd
Buy
656
49
Ordinary
06-May-25
UBS Securities Australia Ltd
Sell
21,702
(1,606)
Ordinary
06-May-25
UBS Securities Australia Ltd
Buy
53,712
3,986
Ordinary
06-May-25
UBS Securities Australia Ltd
Sell
7,124
(521)
Ordinary
06-May-25
UBS Securities Australia Ltd
Buy
67,545
5,005
Ordinary
06-May-25
UBS Securities Australia Ltd
Sell
4,622
(340)
Ordinary
06-May-25
UBS Securities Australia Ltd
Sell
8,202
(614)
Ordinary
06-May-25
UBS Securities Australia Ltd
Buy
338
25
Ordinary
06-May-25
UBS Securities Australia Ltd
Sell
10,284
(758)
Ordinary
06-May-25
UBS Securities Australia Ltd
Buy
15,129
1,121
Ordinary
06-May-25
UBS Securities Australia Ltd
Sell
48,775
(3,607)
Ordinary
06-May-25
UBS Securities Australia Ltd
Sell
57,236
(4,254)
Ordinary
06-May-25
UBS Securities Australia Ltd
Buy
80,554
5,965
Ordinary
06-May-25
UBS Securities Australia Ltd
Sell
45,544
(3,376)
Ordinary
06-May-25
UBS Securities Australia Ltd
Buy
28,213
2,088
Ordinary
06-May-25
UBS Securities Australia Ltd
Sell
868
(65)
Ordinary
06-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
65
Swaps
06-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(25)
Swaps
06-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
521
Swaps
07-May-25
UBS AG London Branch
Buy
31,435
2,588
Ordinary
07-May-25
UBS AG London Branch
Sell
4,068
(340)
Ordinary
07-May-25
UBS AG London Branch
Sell
9,642
(797)
Ordinary
07-May-25
UBS AG London Branch
Buy
7,322
611
Ordinary
07-May-25
UBS Securities Australia Ltd
Sell
3,995
(293)
Ordinary
07-May-25
UBS Securities Australia Ltd
Sell
1,851
(136)
Ordinary
07-May-25
UBS Securities Australia Ltd
Buy
4,172
309
Ordinary
07-May-25
UBS Securities Australia Ltd
Sell
80,000
(5,941)
Ordinary
07-May-25
UBS Securities Australia Ltd
Buy
102,707
7,622
Ordinary
07-May-25
UBS Securities Australia Ltd
Buy
13,529
993
Ordinary
07-May-25
UBS Securities Australia Ltd
Buy
14,306
1,070
Ordinary
07-May-25
UBS Securities Australia Ltd
Buy
26,683
1,960
Ordinary
07-May-25
UBS Securities Australia Ltd
Sell
15,324
(1,131)
Ordinary
07-May-25
UBS Securities Australia Ltd
Buy
97,951
7,282
Ordinary
07-May-25
UBS Securities Australia Ltd
Buy
51,164
3,785
Ordinary
07-May-25
UBS Securities Australia Ltd
Buy
35,470
2,642
Ordinary
07-May-25
UBS Securities Australia Ltd
Buy
4,261
317
Ordinary
07-May-25
UBS Securities Australia Ltd
Sell
35,974
(2,653)
Ordinary
07-May-25
UBS Securities Australia Ltd
Sell
53,228
(3,950)
Ordinary
07-May-25
UBS Securities Australia Ltd
Buy
101,513
7,557
Ordinary
07-May-25
UBS Securities Australia Ltd
Sell
43,022
(3,191)
Ordinary
07-May-25
UBS Securities Australia Ltd
Buy
54,216
4,035
Ordinary
07-May-25
UBS Securities Australia Ltd
Sell
818
(61)
Ordinary
07-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
61
Swaps
07-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(1,070)
Swaps
08-May-25
UBS AG London Branch
Buy
11,663
933
Ordinary
08-May-25
UBS AG London Branch
Sell
12,446
(1,002)
Ordinary
08-May-25
UBS AG London Branch
Buy
23,338
1,867
Ordinary
08-May-25
UBS AG London Branch
Sell
25,477
(2,044)
Ordinary
08-May-25
UBS Securities Australia Ltd
Sell
17,430
(1,243)
Ordinary
08-May-25
UBS Securities Australia Ltd
Buy
25,235
1,800
Ordinary
08-May-25
UBS Securities Australia Ltd
Sell
92,941
(6,632)
Ordinary
08-May-25
UBS Securities Australia Ltd
Buy
74,559
5,319
Ordinary
08-May-25
UBS Securities Australia Ltd
Sell
2,644
(189)
Ordinary
08-May-25
UBS Securities Australia Ltd
Sell
4,721
(336)
Ordinary
08-May-25
UBS Securities Australia Ltd
Buy
488
35
Ordinary
08-May-25
UBS Securities Australia Ltd
Sell
26,124
(1,863)
Ordinary
08-May-25
UBS Securities Australia Ltd
Buy
1,145
82
Ordinary
08-May-25
UBS Securities Australia Ltd
Sell
22,105
(1,589)
Ordinary
08-May-25
UBS Securities Australia Ltd
Buy
42,004
3,001
Ordinary
08-May-25
UBS Securities Australia Ltd
Buy
1,628
116
Ordinary
08-May-25
UBS Securities Australia Ltd
Sell
294
(21)
Ordinary
08-May-25
UBS Securities Australia Ltd
Sell
1,615
(116)
Ordinary
08-May-25
UBS Securities Australia Ltd
Sell
393
(28)
Ordinary
08-May-25
UBS Securities Australia Ltd
Buy
26,163
1,865
Ordinary
08-May-25
UBS Securities Australia Ltd
Sell
16,148
(1,156)
Ordinary
08-May-25
UBS Securities Australia Ltd
Sell
41,898
(2,998)
Ordinary
08-May-25
UBS Securities Australia Ltd
Buy
69,350
4,968
Ordinary
08-May-25
UBS Securities Australia Ltd
Sell
6,238
(444)
Ordinary
08-May-25
UBS Securities Australia Ltd
Sell
17,952
(1,283)
Ordinary
08-May-25
UBS Securities Australia Ltd
Buy
59,476
4,242
Ordinary
08-May-25
UBS Securities Australia Ltd
Sell
699
(50)
Ordinary
08-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
50
Swaps
08-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
21
Swaps
08-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
189
Swaps
09-May-25
UBS AG London Branch
Sell
7,501
(601)
Ordinary
09-May-25
UBS AG London Branch
Sell
6,165
(498)
Ordinary
09-May-25
UBS Securities Australia Ltd
Sell
1,406
(103)
Ordinary
09-May-25
UBS Securities Australia Ltd
Buy
5,285
386
Ordinary
09-May-25
UBS Securities Australia Ltd
Buy
69,701
5,080
Ordinary
09-May-25
UBS Securities Australia Ltd
Sell
58,179
(4,217)
Ordinary
09-May-25
UBS Securities Australia Ltd
Buy
77,492
5,654
Ordinary
09-May-25
UBS Securities Australia Ltd
Buy
10,988
798
Ordinary
09-May-25
UBS Securities Australia Ltd
Buy
19,680
1,416
Ordinary
09-May-25
UBS Securities Australia Ltd
Buy
32,685
2,383
Ordinary
09-May-25
UBS Securities Australia Ltd
Buy
13,563
993
Ordinary
09-May-25
UBS Securities Australia Ltd
Buy
119,066
8,653
Ordinary
09-May-25
UBS Securities Australia Ltd
Buy
17,295
1,257
Ordinary
09-May-25
UBS Securities Australia Ltd
Sell
12,377
(888)
Ordinary
09-May-25
UBS Securities Australia Ltd
Buy
35,756
2,609
Ordinary
09-May-25
UBS Securities Australia Ltd
Buy
4,398
322
Ordinary
09-May-25
UBS Securities Australia Ltd
Sell
30,529
(2,226)
Ordinary
09-May-25
UBS Securities Australia Ltd
Sell
27,581
(1,980)
Ordinary
09-May-25
UBS Securities Australia Ltd
Buy
34,077
2,471
Ordinary
09-May-25
UBS Securities Australia Ltd
Buy
22,645
1,649
Ordinary
09-May-25
UBS Securities Australia Ltd
Sell
46,648
(3,376)
Ordinary
09-May-25
UBS Securities Australia Ltd
Buy
37,420
2,730
Ordinary
09-May-25
UBS Securities Australia Ltd
Sell
711
(51)
Ordinary
09-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
51
Swaps
09-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(1,416)
Swaps
09-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
103
Swaps
12-May-25
UBS AG London Branch
Sell
2,565
(206)
Ordinary
12-May-25
UBS AG London Branch
Sell
3,943
(318)
Ordinary
12-May-25
UBS Securities Australia Ltd
Buy
9,429
689
Ordinary
12-May-25
UBS Securities Australia Ltd
Buy
27,805
2,033
Ordinary
12-May-25
UBS Securities Australia Ltd
Buy
11,264
821
Ordinary
12-May-25
UBS Securities Australia Ltd
Buy
55,879
4,073
Ordinary
12-May-25
UBS Securities Australia Ltd
Sell
59,030
(4,297)
Ordinary
12-May-25
UBS Securities Australia Ltd
Buy
145,773
10,604
Ordinary
12-May-25
UBS Securities Australia Ltd
Buy
10,226
748
Ordinary
12-May-25
UBS Securities Australia Ltd
Buy
57,199
4,180
Ordinary
12-May-25
UBS Securities Australia Ltd
Buy
11,143
815
Ordinary
12-May-25
UBS Securities Australia Ltd
Buy
16,994
1,243
Ordinary
12-May-25
UBS Securities Australia Ltd
Sell
9,442
(681)
Ordinary
12-May-25
UBS Securities Australia Ltd
Buy
250,990
18,304
Ordinary
12-May-25
UBS Securities Australia Ltd
Buy
233
17
Ordinary
12-May-25
UBS Securities Australia Ltd
Buy
102,113
7,444
Ordinary
12-May-25
UBS Securities Australia Ltd
Buy
1,954
143
Ordinary
12-May-25
UBS Securities Australia Ltd
Sell
5,037
(369)
Ordinary
12-May-25
UBS Securities Australia Ltd
Sell
96,655
(7,040)
Ordinary
12-May-25
UBS Securities Australia Ltd
Buy
130,597
9,519
Ordinary
12-May-25
UBS Securities Australia Ltd
Buy
74,346
5,432
Ordinary
12-May-25
UBS Securities Australia Ltd
Sell
79,026
(5,762)
Ordinary
12-May-25
UBS Securities Australia Ltd
Buy
197,739
14,407
Ordinary
12-May-25
UBS Securities Australia Ltd
Sell
657
(48)
Ordinary
12-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
48
Swaps
12-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(17)
Swaps
13-May-25
UBS AG London Branch
Sell
2,618
(212)
Ordinary
13-May-25
UBS AG London Branch
Buy
7,398
600
Ordinary
13-May-25
UBS AG London Branch
Sell
12,293
(997)
Ordinary
13-May-25
UBS Securities Australia Ltd
Buy
8,251
603
Ordinary
13-May-25
UBS Securities Australia Ltd
Buy
716
52
Ordinary
13-May-25
UBS Securities Australia Ltd
Buy
73,106
5,332
Ordinary
13-May-25
UBS Securities Australia Ltd
Buy
29,062
2,129
Ordinary
13-May-25
UBS Securities Australia Ltd
Buy
9,489
694
Ordinary
13-May-25
UBS Securities Australia Ltd
Buy
25,483
1,868
Ordinary
13-May-25
UBS Securities Australia Ltd
Sell
70,862
(5,133)
Ordinary
13-May-25
UBS Securities Australia Ltd
Buy
123,850
9,014
Ordinary
13-May-25
UBS Securities Australia Ltd
Buy
77,603
5,625
Ordinary
13-May-25
UBS Securities Australia Ltd
Buy
62,804
4,571
Ordinary
13-May-25
UBS Securities Australia Ltd
Sell
2,909
(210)
Ordinary
13-May-25
UBS Securities Australia Ltd
Buy
132,736
9,686
Ordinary
13-May-25
UBS Securities Australia Ltd
Sell
1,147
(84)
Ordinary
13-May-25
UBS Securities Australia Ltd
Buy
11,621
850
Ordinary
13-May-25
UBS Securities Australia Ltd
Buy
78,427
5,733
Ordinary
13-May-25
UBS Securities Australia Ltd
Buy
19,130
1,395
Ordinary
13-May-25
UBS Securities Australia Ltd
Sell
142,122
(10,357)
Ordinary
13-May-25
UBS Securities Australia Ltd
Buy
99,853
7,272
Ordinary
13-May-25
UBS Securities Australia Ltd
Buy
44,933
3,274
Ordinary
13-May-25
UBS Securities Australia Ltd
Sell
54,102
(3,946)
Ordinary
13-May-25
UBS Securities Australia Ltd
Buy
182,144
13,271
Ordinary
13-May-25
UBS Securities Australia Ltd
Sell
897
(65)
Ordinary
13-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
65
Swaps
13-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
84
Swaps
13-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(5,625)
Swaps
14-May-25
UBS AG London Branch
Sell
8,873
(716)
Ordinary
14-May-25
UBS AG London Branch
Sell
20,558
(1,668)
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
5,310
391
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
7,486
552
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
598
44
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
594
44
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
57,799
4,250
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
33,104
2,442
Ordinary
14-May-25
UBS Securities Australia Ltd
Sell
123,238
(9,056)
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
77,951
5,725
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
4,791
350
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
61,701
4,529
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
19,831
1,459
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
26,173
1,926
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
40,705
2,983
Ordinary
14-May-25
UBS Securities Australia Ltd
Sell
19,791
(1,458)
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
2,079
154
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
36,078
2,650
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
102,410
7,509
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
25,928
1,901
Ordinary
14-May-25
UBS Securities Australia Ltd
Sell
83,506
(6,132)
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
88,611
6,501
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
38,725
2,841
Ordinary
14-May-25
UBS Securities Australia Ltd
Sell
48,151
(3,535)
Ordinary
14-May-25
UBS Securities Australia Ltd
Buy
82,341
6,043
Ordinary
14-May-25
UBS Securities Australia Ltd
Sell
808
(59)
Ordinary
14-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
59
Swaps
14-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(154)
Swaps
14-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(1,459)
Swaps
14-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(350)
Swaps
15-May-25
UBS AG London Branch
Sell
26,892
(2,235)
Ordinary
15-May-25
UBS AG London Branch
Buy
12,799
1,063
Ordinary
15-May-25
UBS AG London Branch
Sell
8,411
(698)
Ordinary
15-May-25
UBS Securities Australia Ltd
Buy
534
40
Ordinary
15-May-25
UBS Securities Australia Ltd
Buy
3,079
227
Ordinary
15-May-25
UBS Securities Australia Ltd
Buy
64,399
4,797
Ordinary
15-May-25
UBS Securities Australia Ltd
Sell
84,049
(6,261)
Ordinary
15-May-25
UBS Securities Australia Ltd
Buy
89,001
6,707
Ordinary
15-May-25
UBS Securities Australia Ltd
Sell
669
(49)
Ordinary
15-May-25
UBS Securities Australia Ltd
Buy
20,611
1,554
Ordinary
15-May-25
UBS Securities Australia Ltd
Buy
28,155
2,125
Ordinary
15-May-25
UBS Securities Australia Ltd
Buy
14
1
Ordinary
15-May-25
UBS Securities Australia Ltd
Buy
90,676
6,766
Ordinary
15-May-25
UBS Securities Australia Ltd
Sell
14,949
(1,109)
Ordinary
15-May-25
UBS Securities Australia Ltd
Buy
86,793
6,511
Ordinary
15-May-25
UBS Securities Australia Ltd
Buy
3,411
254
Ordinary
15-May-25
UBS Securities Australia Ltd
Buy
59,124
4,417
Ordinary
15-May-25
UBS Securities Australia Ltd
Buy
10,825
818
Ordinary
15-May-25
UBS Securities Australia Ltd
Sell
134,025
(10,062)
Ordinary
15-May-25
UBS Securities Australia Ltd
Sell
17,309
(1,283)
Ordinary
15-May-25
UBS Securities Australia Ltd
Buy
195,672
14,654
Ordinary
15-May-25
UBS Securities Australia Ltd
Buy
31,373
2,381
Ordinary
15-May-25
UBS Securities Australia Ltd
Sell
75,338
(5,644)
Ordinary
15-May-25
UBS Securities Australia Ltd
Buy
85,768
6,446
Ordinary
15-May-25
UBS Securities Australia Ltd
Sell
471
(36)
Ordinary
15-May-25
UBS Securities Australia Ltd
Buy
15,104
1,137
Ordinary
15-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
36
Swaps
15-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(1,554)
Swaps
15-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(1)
Swaps
16-May-25
UBS AG London Branch
Sell
7,180
(590)
Ordinary
16-May-25
UBS AG London Branch
Buy
8,777
721
Ordinary
16-May-25
UBS AG London Branch
Sell
27,149
(2,228)
Ordinary
16-May-25
UBS Securities Australia Ltd
Buy
6,239
462
Ordinary
16-May-25
UBS Securities Australia Ltd
Buy
1,323
98
Ordinary
16-May-25
UBS Securities Australia Ltd
Buy
78,259
5,799
Ordinary
16-May-25
UBS Securities Australia Ltd
Buy
11,826
876
Ordinary
16-May-25
UBS Securities Australia Ltd
Buy
959
71
Ordinary
16-May-25
UBS Securities Australia Ltd
Buy
55,231
4,091
Ordinary
16-May-25
UBS Securities Australia Ltd
Sell
62,888
(4,659)
Ordinary
16-May-25
UBS Securities Australia Ltd
Buy
182,424
13,519
Ordinary
16-May-25
UBS Securities Australia Ltd
Sell
797
(59)
Ordinary
16-May-25
UBS Securities Australia Ltd
Buy
35,253
2,612
Ordinary
16-May-25
UBS Securities Australia Ltd
Buy
82,057
6,076
Ordinary
16-May-25
UBS Securities Australia Ltd
Sell
3,793
(281)
Ordinary
16-May-25
UBS Securities Australia Ltd
Buy
115,762
8,573
Ordinary
16-May-25
UBS Securities Australia Ltd
Sell
1,364
(101)
Ordinary
16-May-25
UBS Securities Australia Ltd
Buy
114,095
8,453
Ordinary
16-May-25
UBS Securities Australia Ltd
Buy
22,182
1,642
Ordinary
16-May-25
UBS Securities Australia Ltd
Sell
33,658
(2,491)
Ordinary
16-May-25
UBS Securities Australia Ltd
Buy
38,101
2,818
Ordinary
16-May-25
UBS Securities Australia Ltd
Buy
58,972
4,369
Ordinary
16-May-25
UBS Securities Australia Ltd
Sell
28,646
(2,120)
Ordinary
16-May-25
UBS Securities Australia Ltd
Buy
96,130
7,120
Ordinary
16-May-25
UBS Securities Australia Ltd
Sell
1,121
(83)
Ordinary
16-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
83
Swaps
16-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
101
Swaps
16-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
59
Swaps
16-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(462)
Swaps
16-May-25
UBS Securities Australia Ltd
Enter Into Derivative Contract
N/A
(98)
Swaps
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.
- ATM — The a2 Milk Company Limited: SPH Notice - UBS Group AG and its related bodies corporate2025-04-09
“Disclosure of beginning to have substantial holding Section 276, Financial Markets Conduct Act 2013 To: NZX Limited and To: The a2 Milk Company Limited Date this disclosure made: 09 April 2025 Date on which substantial holding began: 07 April 2025 Subs tantial product ho…”
- ERD — EROAD: SPH Notice - UBS Group AG and its related bodies corporate2025-03-19
“Disclosure of beginning to have substantial holding Section 276, Financial Markets Conduct Act 2013 To: NZX Limited and To: EROAD Limited Date this disclosure made: 19 March 2024 Date on which substantial holding began: 17 March 2024 Substantial product holder(s) giving d…”
- EBO — EBOS Group Limited: SPH Notice - UBS Group AG and its related bodies corporate2025-06-02
“Disclosure of beginning to have substantial holding Section 276, Financial Markets Conduct Act 2013 To: NZX Limited and To: EBOS Group Limited Date this disclosure made: 30 May 2025 Date on which substantial holding began: 28 May 2025 Substantial product holder(s) gi…”