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Perpetual Limited Major Shareholding Notification 2013

Aug 15, 2013

10538_rns_2013-08-15_f8e1d6fa-5fb7-476b-8ef3-afc983ecd982.pdf

Major Shareholding Notification

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Corporations Law Section 671B

Form 604

Notice of change of interests of substantial holder

To Company Name/Scheme HENDERSON GROUP LIMITED

ACN/ARSN 133 992 766

1. Details of substantial holder (1)

Name PERPETUAL LIMITED and subsidiaries ACN (if applicable) 000 431 827 There was a change in the interests of the Substantial holder on _ 14 _ / 08 / 2013 __ The previous notice was given to the company on _27 _ / 05 / 2013 __ The previous notice was dated _23 _ / 05 /_ 2013 __

2. Previous and present voting power

The total number of votes attached to all the voting shares in the company or voting interests in the scheme that the substantial holder or an associate (2) had a relevant interest (3) in when last required, and when now required, to give a substantial holding notice to the company or scheme, are as follows:

Class of securities (4) Previousnotice Previousnotice Presentnotice Presentnotice
Person’s votes Voting power (5) Person’s votes Voting power (5)
Ordinary 119,871,202 10.75% 131,356,564 11.75%

3. Changes in relevant interests

Particulars of each change in, or change in the nature of, a relevant interest of the substantial holder or an associate in voting securities of the company or scheme, since the substantial holder was last required to give substantial holding notice to the company or scheme are as follows:

Date of change Person whose relevant
interest changed
Nature of
change (6)
Consideration
given in relation
to change (7)
Class and
number of
securities affected
Person’s votes
affected
Refer annexure 3

4. Present relevant interests

Particulars of each relevant interest of the substantial holder in voting securities after the change are as follows:

Holder of
relevant
interest
Registered holder of
securities
Person entitled
to be registered
asholder(8)
Nature of relevant
interest (6)
Class and
number of
securities
Person’s votes
Refer annexure 1 & 2

5. Changes in association

The persons who have become associates (2) of, ceased to be associates of, or have changed the nature of their association (9) with, the substantial holder in relation to voting interests in the company or scheme are as follows:

==> picture [384 x 51] intentionally omitted <==

----- Start of picture text -----

Name and ACN (if applicable) Nature of association
Refer to Annexure 1
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6. Addresses

==> picture [412 x 69] intentionally omitted <==

----- Start of picture text -----

The addresses of persons named in this form are as follows:
Name Address
Refer to Annexure 1
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==> picture [49 x 12] intentionally omitted <==

----- Start of picture text -----

Signature
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Print name GLENDA CHARLES

==> picture [166 x 11] intentionally omitted <==

----- Start of picture text -----

Capacity DEPUTY COMPANY SECRETARY
----- End of picture text -----

ANNEXURE 1 - Perpetual Investments Account Codes & Details

Perpetual Investments Management Limited (PIML), subsidiary of Perpetual Limited, as Responsible Entity for:

INTERNAL CODE ACCOUNT DETAILS REGISTRATION DETAILS
ALL 'PC' CODES RBC Investor Services Trust
ACF: PIML (Select Investments)
RBC Dexia Investor Services Australia Pty Limited
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust
ACF: PIML (Select Investments)
RBC Dexia Investor Services Australia Pty Limited
GPO Box 5430 Sydney NSW 2001
PCEF RBC Investor Services Trust
ACF: Perpetual's Wholesale Concentrated Equity Fund
Account Code: PICEF
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PIBIAS RBC Investor Services Trust
ACF: Perpetual Pure Value Share Fund
Account Code: PIBIAS
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PIGPVF RBC Investor Services Trust
ACF: Perpetual's Pure Value 2 Share Fund
Account Code: PIGPVF
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PIGSFP RBC Investor Services Trust
ACF: Perpetual's Australian Share Fund
Account Code: PIGSFP
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PIICAP RBC Investor Services Trust
ACF: WealthFocus Investment Advantage Perpetual Australian Share
Fund
Account Code: PIICAP
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PMISF RBC Investor Services Trust
ACF: Perpetual's Industrial Share Fund
Account Code: PMISF
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PIRAF RBC Investor Services Trust
ACF: Perpetual Resources Fund
Account code: PIRAF
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PISINP RBC Investor Services Trust
ACF: WealthFocus Investment Advantage Perpetual Industrial Share
Fund
Account Code: PISINP
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PISMA1 RBC Investor Services Trust
ACF: SMA Equity Imputation Portfolio
Account Code: PISMA1
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PISMA2 RBC Investor Services Trust
ACF: SMA Capital Accumulation Portfolio
Account Code: PISMA2
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PIWGAP UBS Nominee Pty Ltd
ACF: Perpetual Wholesale Geared Australian Share Fund
Account code: A1044169
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
UBS Nominee Pty Ltd

Level 16, Chifley Tower
2 Chifley Square
Sydney NSW 2000
PIWCPF UBS Nominee Pty Ltd
ACF: PI Protected Aust Share Fund A
Account code: A1019475
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
UBS Nominee Pty Ltd

Level 16, Chifley Tower
2 Chifley Square
Sydney NSW 2000
PIWJPI RBC Investor Services Trust
ACF: Perpetual JF Wholesale Prop Income Fund
Account Code: PIWJPI
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PIWARX UBS Nominee Pty Ltd
ACF: Perpetual Pure Equity Alpha Pool
Account code: A1081898/A8081898
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
UBS Nominee Pty Ltd

Level 16, Chifley Tower
2 Chifley Square
Sydney NSW 2000

This is Annexure 1 Page 1 of 4 referred to in Form 604

PIWSPP UBS Nominee Pty Ltd
ACF: Perpetual Wholesale Share Plus Fund
Account code: A111267
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
UBS Nominee Pty Ltd

Level 16, Chifley Tower
2 Chifley Square
Sydney NSW 2000
PIWSRP RBC Investor Services Trust
ACF: Perpetual Wholesael Ethical Fund
Account Code: PIWSRP
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PMWSC RBC Investor Services Trust
ACF: Perpetual Wholesale Smaller Company Fund
Account Code: PIWSCS
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PPSF RBC Investor Services Trust
ACF: Perpetual Wholesale Property Securities Fund
Account Code: PPSF
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PISTIF RBC Investor Services Trust
ACF: Perpetual Pure Credit Alpha Fund
Account Code: PISTIF
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust

GPO Box 5430 Sydney NSW 2001
Perpetual Investments Management Limited (PIML), subsidiary of Perpetual Limited, as Trustee for: Perpetual Investments Management Limited (PIML), subsidiary of Perpetual Limited, as Trustee for: Perpetual Investments Management Limited (PIML), subsidiary of Perpetual Limited, as Trustee for:
ALL 'SS' CODES RBC Investor Services Trust
ACF: PIML (Select Super)
RBC Dexia Investor Services Australia Pty Limited
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Trust
ACF: PIML (Select Super)
RBC Dexia Investor Services Australia Pty Limited
GPO Box 5430 Sydney NSW 2001

Perpetual Investments Management Limited (PIML), subsidiary of Perpetual Limited, under Investment Management Agreements with:

INTERNAL CODE ACCOUNT DETAILS REGISTRATION DETAILS
CBAISF Citicorp Nominees Pty Ltd.
ACF: Commonwealth Aust Shares Fund 4
Account Code:PICISF
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 SydneyNSW 2001
Citicorp Nominees Pty Ltd
A/C EASS04
GPO Box 764G
Melbourne VIC 3001
NSWTC Cogent Nominees Pty Ltd
ACF: NSW Treasury Corporation
Account Code: PINSWT
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
Cogent Nominees Pty Limited
A/C HGFPTE
P.O. Box R209 Royal Exchange
Sydney NSW 1225
PIACT JP Morgan Chase Nominees Ltd
ACF: Australian Capital Territory Treasury
Account Code: PIACT
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JP Morgan Chase Nominees
A/C 32512
Locked Bag 7, Royal Exchange Sydney NSW 2000
PIAVIV JP Morgan Chase Nominees limited
ACF: NAVIGATOR AUSTRALIA LIMITED
Account Code: PIAVIV
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JP Morgan Chase Nominees
A/C 58815
Locked Bag 7, Royal Exchange
Sydney NSW 2000
PIAVSU Cogent Nominees Pty Ltd
ACF: AvSuper Pty Ltd
Account code: PIAVSU
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2000
Cogent Nominees Pty Ltd
A/C PISPTE
P.O. Box R209, Royal Exchange
Sydney NSW 1225
PIEFM6 Cogent Nominees Pty Ltd
ACF: EFM Australian Share Fund 6
Account Code: PIEFM6
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
Cogent Nominees Pty Limited
A/C WTXME6
P.O. Box R209 Royal Exchange
Sydney NSW 1225
PIFIRS National Nominees Ltd
ACF: FIRST SUPER MANDATE AUSTRALIA
Account Code: PIFIRS
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Australia Custodian Services
A/C 16444-14
Level 21, 500 Bourke St
Melbourne VIC 3000
PIHEST JP Morgan Chase Nominees limited
ACF: HEST Australia Limited
Account Code: PIHEST
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JP Morgan Chase Nominees
A/C 33112
Locked Bag 7, Royal Exchange
Sydney NSW 2000

This is Annexure 1 Page 2 of 4 referred to in Form 604

PIMEDA Cogent Nominees Pty Ltd
ACF: MEDIA SUPER SMALLER COMPANIES FUND
Account code: PIMEDA
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2000
Cogent Nominees Pty Ltd
A/C PISPTE
P.O. Box R209, Royal Exchange
Sydney NSW 1225
PIRAEO State Street Australia Limited
ACF: RUSSELL AUSTRALIAN OPPORTUNITIES FUND
Account code: PIRAEO
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2000
State Street Australia Limited
A/C BT7B
Level 18, 338 Pitt Street
Sydney NSW 2000
PITWUS National Nominees Ltd
ACF: TWU SUPERANNUATION
Account Code: PITWUS
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Australia Custodian Services
A/C TUPPAE/16448-28
Level 21, 500 Bourke St
Melbourne VIC 3000
PMCBUS National Nominees Ltd
ACF: Construction & Building Union Superannuation Fund
Account Code: PICBUS
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Australia Custodian Services
A/C CBPFAE/5267-15
Level 21, 500 Bourke St
Melbourne VIC 3000
PMCGSF Citicorp Nominees Pty Ltd
ACF: Commonwealth Aust Shares Fund 11
Account Code: PICGSF
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
Citicorp Nominees Pty Ltd
A/C EASS11
GPO Box 764G Melbourne VIC 3001
PMCPSF Citicorp Nominees Pty Ltd
ACF:Commonwealth Property Fund 3
Account Code: PICPSF
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
Citicorp Nominees Pty Ltd
A/C EPSS03
GPO Box 764G Melbourne VIC 3001
PIAUST JP Morgan Chase Nominees Limited
ACF: Australian Super Ethical SRI Fund
Account Code: PIAUST
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JP Morgan Chase Nominees
A/C 36018
Locked Bag 7 Royal Exchange
Sydney NSW 2000
PMSTA JP Morgan Chase Nominees Limited
ACF: Super Trust of Australia
Account Code: PISTA
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JP Morgan Chase Nominees
A/C 40909
Locked Bag 7 Royal Exchange
Sydney NSW 2000
T2 Perpetual Trustee Company Limited
(Private Client Division)
Perpetual Trustee Company Limited
GPO Box 4172 Sydney NSW 2001
T3 Perpetual Trustees Victoria Limited
(Private Client Division)
Perpetual Trustee Company Limited
GPO Box 4172 Sydney NSW 2001
T4 Perpetual Trustees Queensland Limited
(Private Client Division)
Perpetual Trustee Company Limited
GPO Box 4172 Sydney NSW 2001
T6 Perpetual Trustees WA Limited
(Private Client Division)
Perpetual Trustee Company Limited
GPO Box 4172 Sydney NSW 2001
T7 Perpetual Trustee Company Canberra Limited
(Private Client Division)
Perpetual Trustee Company Limited
GPO Box 4172 Sydney NSW 2001
TEL National Nominees Limited
ACF: Telstra Superannuation Pty Limited
Account Code: PITEL
C/- RBC Dexia Investor Services Australia nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Australia Custodian Services
A/C 3093-15 TSPPAE
Level 21, 500 Bourke Street
Melbourne VIC 3000
PIVICS National Nominees Limited
ACF: Vic Super Pty Limited
Account Code: PIVICS
C/- RBC Dexia Investor Services Australia nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Australia Custodian Services
A/C 20243-13 VSPSAS
Level 21, 500 Bourke Street
Melbourne VIC 3000

This is Annexure 1 Page 3 of 4 referred to in Form 604

Perpetual Investments Management Limited (PIML), subsidiary of Perpetual Limited, under existing Investment Management Agreements for closed accounts:

INTERNAL CODE ACCOUNT DETAILS REGISTRATION DETAILS
PICATH National Australia Custodian Services
ACF: CATHOLIC SUPER FUND PTY LTD
Account Code: PICATH
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Australia Custodian Services
A/C CDPRDE/17392-10
Level 21, 500 Bourke St
Melbourne VIC 3000
PIHEAL JP Morgan Chase Nominees limited
ACF: HEALTH SUPER PTY LTD
Account Code: PIHEAL
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JP Morgan Chase Nominees
A/C 74805
Locked Bag 7, Royal Exchange
Sydney NSW 2000
PILGSS JP Morgan Chase Nominees limited
ACF: HEST Australia Limited
Account Code: PILGSS
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2002
JP Morgan Chase Nominees
A/C 56466
Locked Bag 7, Royal Exchange
Sydney NSW 2000
PILUCR JP Morgan Chase Nominees Ltd
ACF: LUCRF PTY LTD MANDATE
Account code: PILUCR
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2000
JP Morgan Chase Nominees
A/C 58865
Locked Bag 7, Royal Exchange
Sydney NSW 1999
PISTCF JP Morgan Chase Nominees Ltd
ACF: SAS Trustee Corporation
Account code: PISTCF
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JP Morgan Chase Nominees
A/C 34893
Locked Bag 7, Royal Exchange
Sydney NSW 2000
PMHOST JP Morgan Chase Nominees Limited
ACF: Host - Plus Pty Ltd
Account Code: PIHOST
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JP Morgan Chase Nominees
A/C 20004
Locked Bag 7 Royal Exchange
Sydney NSW 2000
PIWQLS UBS Nominee Pty Ltd
ACF: Perpetual QI Long Short Fund
Account code: A1025745
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
UBS Nominee Pty Ltd

Level 16, Chifley Tower
2 Chifley Square
Sydney NSW 2000
QITE2 RBC Investor Services Trust
ACF: Quantitative Investments TE 2 Equity Fund
Account Code: PIQTE2
GPO Box 5430 Sydney NSW 2001

RBC Investor Services Trust

GPO Box 5430 Sydney NSW 2001

Perpetual Limited GPO BOX 4172 Sydney NSW 2001

This is Annexure 1 Page 4 of 4 referred to in Form 604

ANNEXURE 2

PRESENT RELEVANT INTERESTS

==> picture [359 x 418] intentionally omitted <==

This is annexure 2 Page 1 of 1 referred to in Form 604 Title: Notice of change of interests of substantial holder

ANNEXURE 3

CHANGES IN RELEVANT INTERESTS

Account Security Volume Value Price AsAtDate
PCAEPR HGG - 78,638
- 213,895
$ 2.72
09/07/2013
PCEF HGG - 159,914
- 394,076
$ 2.46
28/06/2013
PCEF HGG - 159,914
- 394,076
$ 2.46
28/06/2013
PCEF HGG - 426,306
- 1,159,552
$ 2.72
09/07/2013
PIACT HGG - 93,290
- 253,749
$ 2.72
09/07/2013
PIGSFP HGG 124,995 328,737 $ 2.63
04/06/2013
PIGSFP HGG 25,674 66,496 $ 2.59
05/06/2013
PIGSFP HGG 85,580 222,611 $ 2.60
05/06/2013
PIGSFP HGG 94,685 237,801 $ 2.51
06/06/2013
PIGSFP HGG 56,810 142,593 $ 2.51
06/06/2013
PIGSFP HGG 186,729 455,619 $ 2.44
07/06/2013
PIGSFP HGG 266,183 638,839 $ 2.40
12/06/2013
PIGSFP HGG 71,682 211,462 $ 2.95
13/08/2013
PIHEST HGG 59,966 157,711 $ 2.63
04/06/2013
PIHEST HGG 26,783 69,668 $ 2.60
05/06/2013
PIHEST HGG 8,035 20,811 $ 2.59
05/06/2013
PIHEST HGG 25,804 64,768 $ 2.51
06/06/2013
PIHEST HGG 43,006 108,010 $ 2.51
06/06/2013
PIHEST HGG 56,329 137,443 $ 2.44
07/06/2013
PIHEST HGG 116,038 278,491 $ 2.40
12/06/2013
PIHEST HGG 144,309 425,712 $ 2.95
13/08/2013
PIICAP HGG 26,850 70,616 $ 2.63
04/06/2013
PIICAP HGG 15,425 40,124 $ 2.60
05/06/2013
PIICAP HGG 4,627 11,984 $ 2.59
05/06/2013
PIICAP HGG 9,232 23,172 $ 2.51
06/06/2013
PIICAP HGG 15,386 38,642 $ 2.51
06/06/2013
PIICAP HGG 31,642 77,206 $ 2.44
07/06/2013
PIICAP HGG 41,992 100,781 $ 2.40
12/06/2013
PIICAP HGG 85,017 250,800 $ 2.95
13/08/2013
PIWGAP HGG - 315,889
- 838,275
$ 2.65
03/06/2013
PIWGAP HGG 74,061 194,780 $ 2.63
04/06/2013
PIWGAP HGG - 237,943
- 586,292
$ 2.46
11/06/2013
PIWGAP HGG 144,707 347,297 $ 2.40
12/06/2013
PIWGAP HGG 640,883 1,892,592 $ 2.95
02/08/2013
PIWGAP HGG 77,582 228,867 $ 2.95
13/08/2013
PIWGAP HGG 288,279 860,974 $ 2.99
14/08/2013
PIWSPF HGG - 100,000
- 272,000
$ 2.72
09/07/2013
PMCBUS HGG 51,411 135,211 $ 2.63
04/06/2013
PMCBUS HGG 6,763 17,516 $ 2.59
05/06/2013
PMCBUS HGG 22,541 58,634 $ 2.60
05/06/2013
PMCBUS HGG 22,074 55,406 $ 2.51
06/06/2013
PMCBUS HGG 36,789 92,396 $ 2.51
06/06/2013
PMCBUS HGG 48,165 117,523 $ 2.44
07/06/2013
PMCBUS HGG 99,057 237,737 $ 2.40
12/06/2013
PMCBUS HGG 123,683 364,865 $ 2.95
13/08/2013
PMCGSF HGG 17,361 45,659 $ 2.63
04/06/2013
PMCGSF HGG 3,427 8,876 $ 2.59
05/06/2013

This is annexure 3 Page 1 of 4 referred to in Form 604 Title: Notice of change of interests of substantial holder

PMCGSF HGG 11,423 29,714 $ 2.60
05/06/2013
PMCGSF HGG 7,118 17,866 $ 2.51
06/06/2013
PMCGSF HGG 11,863 29,794 $ 2.51
06/06/2013
PMCGSF HGG 25,097 61,237 $ 2.44
07/06/2013
PMCGSF HGG 33,121 79,490 $ 2.40
12/06/2013
PMCGSF HGG 102,535 254,594 $ 2.48
18/06/2013
PMCGSF HGG 146,304 431,597 $ 2.95
13/08/2013
PMSTA HGG 114,790 301,898 $ 2.63
04/06/2013
PMSTA HGG 17,122 44,346 $ 2.59
05/06/2013
PMSTA HGG 57,074 148,461 $ 2.60
05/06/2013
PMSTA HGG 54,823 137,606 $ 2.51
06/06/2013
PMSTA HGG 91,372 229,481 $ 2.51
06/06/2013
PMSTA HGG 119,747 292,183 $ 2.44
07/06/2013
PMSTA HGG 245,689 589,654 $ 2.40
12/06/2013
PMSTA HGG 283,782 837,157 $ 2.95
13/08/2013
PIEFM6 HGG 113,160 299,365 $ 2.65
03/06/2013
PIEFM6 HGG 43,607 114,686 $ 2.63
04/06/2013
PIEFM6 HGG 21,495 56,302 $ 2.62
04/06/2013
PIEFM6 HGG 10,427 27,319 $ 2.62
04/06/2013
PIEFM6 HGG 13,167 34,103 $ 2.59
05/06/2013
PIEFM6 HGG 43,888 114,161 $ 2.60
05/06/2013
PIEFM6 HGG 200,557 481,959 $ 2.40
25/06/2013
PIEFM6 HGG 143,939 349,772 $ 2.43
26/06/2013
PIEFM6 HGG 69,922 171,582 $ 2.45
27/06/2013
PIEFM6 HGG 1,689 4,135 $ 2.45
27/06/2013
PISINP HGG 97,490 257,910 $ 2.65
03/06/2013
PISINP HGG 46,158 121,396 $ 2.63
04/06/2013
PISINP HGG 23,799 62,337 $ 2.62
04/06/2013
PISINP HGG 11,546 30,251 $ 2.62
04/06/2013
PISINP HGG 46,694 121,460 $ 2.60
05/06/2013
PISINP HGG 14,008 36,281 $ 2.59
05/06/2013
PISINP HGG 188,451 452,867 $ 2.40
25/06/2013
PISINP HGG 150,764 366,357 $ 2.43
26/06/2013
PISINP HGG 2,096 5,131 $ 2.45
27/06/2013
PISINP HGG 86,808 213,018 $ 2.45
27/06/2013
CBAISF HGG 152,897 404,489 $ 2.65
03/06/2013
CBAISF HGG 71,038 186,830 $ 2.63
04/06/2013
CBAISF HGG 35,472 92,912 $ 2.62
04/06/2013
CBAISF HGG 17,208 45,085 $ 2.62
04/06/2013
CBAISF HGG 21,988 56,949 $ 2.59
05/06/2013
CBAISF HGG 73,293 190,650 $ 2.60
05/06/2013
CBAISF HGG 348,706 837,975 $ 2.40
25/06/2013
CBAISF HGG 229,645 558,037 $ 2.43
26/06/2013
CBAISF HGG 2,766 6,771 $ 2.45
27/06/2013
CBAISF HGG 114,517 281,013 $ 2.45
27/06/2013
PMISF HGG 539,381 1,426,932 $ 2.65
03/06/2013
PMISF HGG 253,361 666,339 $ 2.63
04/06/2013
PMISF HGG 135,675 355,374 $ 2.62
04/06/2013
PMISF HGG 65,819 172,446 $ 2.62
04/06/2013
PMISF HGG 80,068 207,376 $ 2.59
05/06/2013
PMISF HGG 266,894 694,245 $ 2.60
05/06/2013
PMISF HGG 1,107,940 2,662,491 $ 2.40
25/06/2013
PMISF HGG 875,652 2,127,834 $ 2.43
26/06/2013

This is annexure 3 Page 2 of 4 referred to in Form 604 Title: Notice of change of interests of substantial holder

PMISF HGG 10,359 25,360 $ 2.45
27/06/2013
PMISF HGG 428,946 1,052,591 $ 2.45
27/06/2013
PIFIRS HGG - 73,266
- 199,284
$ 2.72
09/07/2013
NSWTC HGG 400,000 976,000 $ 2.44
17/06/2013
NSWTC HGG 85,000 206,975 $ 2.44
01/07/2013
NSWTC HGG - 132,823
- 361,279
$ 2.72
09/07/2013
PITWUS HGG - 22,949
- 62,421
$ 2.72
09/07/2013
PIAVIV HGG 6,733 17,708 $ 2.63
04/06/2013
PIAVIV HGG 887 2,297 $ 2.59
05/06/2013
PIAVIV HGG 2,957 7,692 $ 2.60
05/06/2013
PIAVIV HGG 1,840 4,618 $ 2.51
06/06/2013
PIAVIV HGG 3,066 7,700 $ 2.51
06/06/2013
PIAVIV HGG 6,532 15,938 $ 2.44
07/06/2013
PIAVIV HGG 13,997 33,593 $ 2.40
12/06/2013
PIAVIV HGG 19,415 57,274 $ 2.95
13/08/2013
PIAUST HGG 315,254 834,004 $ 2.65
03/06/2013
PIAUST HGG 127,956 336,524 $ 2.63
04/06/2013
PIAUST HGG 32,553 85,289 $ 2.62
04/06/2013
PIAUST HGG 67,103 175,763 $ 2.62
04/06/2013
PIAUST HGG 23,447 60,728 $ 2.59
05/06/2013
PIAUST HGG 78,159 203,307 $ 2.60
05/06/2013
PIAUST HGG 700,309 1,682,913 $ 2.40
25/06/2013
PIAUST HGG 425,874 1,034,874 $ 2.43
26/06/2013
PIAUST HGG 12,027 29,443 $ 2.45
27/06/2013
PIAUST HGG 498,034 1,222,126 $ 2.45
27/06/2013
PIAUST HGG 11,000 26,950 $ 2.45
28/06/2013
PIAUST HGG - 110,766
- 322,883
$ 2.92
16/07/2013
PIRAEO HGG - 31,135
- 84,687
$ 2.72
09/07/2013
TEL HGG 23,833 62,681 $ 2.63
04/06/2013
TEL HGG 2,696 6,983 $ 2.59
05/06/2013
TEL HGG 8,986 23,374 $ 2.60
05/06/2013
TEL HGG 9,799 24,595 $ 2.51
06/06/2013
TEL HGG 16,333 41,020 $ 2.51
06/06/2013
TEL HGG 25,759 62,852 $ 2.44
07/06/2013
TEL HGG 39,216 94,118 $ 2.40
12/06/2013
TEL HGG 48,226 142,267 $ 2.95
13/08/2013
PMWSRF HGG - 1,000,000
- 2,635,000
$ 2.64
24/05/2013
PMWSRF HGG - 419,529
- 1,111,752
$ 2.65
28/05/2013
PMWSRF HGG - 300,000
- 795,000
$ 2.65
28/05/2013
PMWSRF HGG - 175,000
- 481,250
$ 2.75
29/05/2013
PMWSRF HGG - 250,000
- 675,000
$ 2.70
29/05/2013
PMWSRF HGG - 1,091,663
- 2,871,074
$ 2.63
04/06/2013
PMWSCS HGG 69,231 179,308 $ 2.59
05/06/2013
PMWSCS HGG 230,769 600,276 $ 2.60
05/06/2013
PMWSCS HGG 170,000 443,700 $ 2.61
05/06/2013
PMWSCS HGG - 370,210
- 912,716
$ 2.47
11/06/2013
PMWSCS HGG 164,822 393,100 $ 2.39
14/06/2013
PMWSCS HGG - 826,578
- 2,049,913
$ 2.48
18/06/2013
PMWSCS HGG - 279,380
- 792,042
$ 2.84
10/07/2013
PMWSCS HGG 627,709 1,732,477 $ 2.76
17/07/2013
PMWSCS HGG 130,808 363,869 $ 2.78
19/07/2013
PMWSCS HGG - 201,170
- 581,381
$ 2.89
01/08/2013
PMWSCS HGG - 40,234
- 116,795
$ 2.90
01/08/2013

This is annexure 3 Page 3 of 4 referred to in Form 604 Title: Notice of change of interests of substantial holder

PMWSCS HGG 1,662,968 4,905,756 $ 2.95
13/08/2013
PMWSCS HGG 225,455 665,092 $ 2.95
13/08/2013
PMWSCS HGG 159,706 471,133 $ 2.95
13/08/2013
PIMEDA HGG - 170,000
- 443,700
$ 2.61
05/06/2013
PIMEDA HGG - 29,790
- 73,444
$ 2.47
11/06/2013
PIMEDA HGG 35,178 83,900 $ 2.39
14/06/2013
PIMEDA HGG - 173,422
- 430,087
$ 2.48
18/06/2013
PIMEDA HGG - 20,620
- 58,458
$ 2.84
10/07/2013
PIMEDA HGG 122,291 337,523 $ 2.76
17/07/2013
PIMEDA HGG 13,085 36,399 $ 2.78
19/07/2013
PIMEDA HGG - 9,766
- 28,350
$ 2.90
01/08/2013
PIMEDA HGG - 48,830
- 141,119
$ 2.89
01/08/2013
PIMEDA HGG 32,368 95,486 $ 2.95
13/08/2013
PIMEDA HGG 337,032 994,244 $ 2.95
13/08/2013
PIMEDA HGG 45,693 134,794 $ 2.95
13/08/2013
PIVICS HGG 71,715 189,722 $ 2.65
03/06/2013
PIVICS HGG 49,543 130,298 $ 2.63
04/06/2013
PIVICS HGG 12,447 32,611 $ 2.62
04/06/2013
PIVICS HGG 25,658 67,206 $ 2.62
04/06/2013
PIVICS HGG 8,860 22,947 $ 2.59
05/06/2013
PIVICS HGG 29,534 76,824 $ 2.60
05/06/2013
PIVICS HGG 112,500 282,375 $ 2.51
06/06/2013
PIVICS HGG 187,500 470,906 $ 2.51
06/06/2013
PIVICS HGG 90,685 217,925 $ 2.40
25/06/2013
PIVICS HGG 174,126 423,126 $ 2.43
26/06/2013
PIVICS HGG 4,882 11,952 $ 2.45
27/06/2013
PIVICS HGG 202,160 496,080 $ 2.45
27/06/2013
PIVICS HGG - 89,234
- 260,117
$ 2.92
16/07/2013
PIAVSU HGG - 41,593
- 113,133
$ 2.72
09/07/2013
PMWSRF HGG 1,000,000 2,439,900 $ 2.44
07/06/2013
PCAEPR HGG - 25,947
- 66,943
$ 2.58
05/07/2013
PCAEPR HGG - 37,379
- 94,943
$ 2.54
04/07/2013
PCAEPR HGG - 29,903
- 73,860
$ 2.47
03/07/2013
PCAEPR HGG - 36,208
- 90,882
$ 2.51
02/07/2013
PCAEPR HGG - 16,103
- 39,613
$ 2.46
01/07/2013
PCAEPR HGG - 51,910
- 127,699
$ 2.46
28/06/2013
PCAEPR HGG - 75,709
- 190,030
$ 2.51
19/06/2013
PCAEPR HGG - 37,750
- 93,620
$ 2.48
18/06/2013
PCAEPR HGG - 30,277
- 74,784
$ 2.47
18/06/2013
PCAEPR HGG - 22,648
- 55,941
$ 2.47
18/06/2013
PCAEPR HGG - 37,715
- 91,647
$ 2.43
17/06/2013
PCAEPR HGG - 75,343
- 180,823
$ 2.40
17/06/2013
PCAEPR HGG - 30,150
- 72,059
$ 2.39
14/06/2013
PCAEPR HGG - 52,786
- 126,686
$ 2.40
14/06/2013
PCAEPR HGG - 60,352
- 144,845
$ 2.40
14/06/2013
PCAEPR HGG - 52,778
- 123,501
$ 2.34
13/06/2013
PCAEPR HGG - 37,730
- 90,552
$ 2.40
12/06/2013
PCAEPR HGG - 37,718
- 90,523
$ 2.40
12/06/2013
PCAEPR HGG - 52,808
- 126,739
$ 2.40
12/06/2013

This is annexure 3 Page 4 of 4 referred to in Form 604 Title: Notice of change of interests of substantial holder