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APA GROUP Major Shareholding Notification 2014

Feb 18, 2014

64398_rns_2014-02-18_cc9e0da9-ecfa-41b4-8624-06e59dc9b91f.pdf

Major Shareholding Notification

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Form 603 Corporations Act 2001 Section 671B

APA

Notice of initial substantial holder

To: Company Name The Secretary APA Group Level 19 580 George Street Sydney NSW 2000 Fax:(02) 9693 0093 ACN 091 344 704 1. Details of substantial National Australia Bank Limited (ACN 004 044 937) and its associated entities listed in shareholder Annexure A Name ACN (if applicable) The holder became a substantial holder on 14/02/2014

2. Details of 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 had a relevant interest in on the date the substantial holder became a substantial holder are as follows:

Class of securities Number of
securities
Persons’ votes Voting power
Fully paid ordinary
shares
64,022,535 64,022,535 7.660%

3. Details of relevant interests

The nature of the relevant interest the substantial holder or an associate had in the following voting securities on the date the substantial holder became a substantial holder are as follows:

Holder of relevant interest Nature of relevant interest Class and number of
securities
MLC Investments Limited Power to control the voting and /or
disposal of securities pursuant to its
position as the responsible entity or
trustee of various managed
investment schemes and trusts
Fully paid ordinary shares
6,260,256
MLC Limited (SMA) Power to control the voting and /or
disposal of securities pursuant to
position held as manager under
investmentmandate.
Fully paid ordinary shares
2,549
NabInvest Managed Investments
Limited
Power to control the voting and /or
disposal of securities pursuant to its
position as the responsible entity or
trustee of certain managed
investment schemes or trusts (NAB
ICS and SPF investments).
Fully paid ordinary shares
16,870
MLC Wealth Management
Limited
Power to exercise voting rights
pursuant to position held as the
Registrable Superannuation Entity
licensee for the superannuation
productsitissues.
Fully paid ordinary shares
1,292,600
National Australia Bank Limited Power to control the voting and /or
disposal of securities pursuant to
securitieslending agreements.
Fully paid ordinary shares
50,167,424
JB Were Limited Power to control the voting and /or
disposal of securities pursuant to
position as investment manager for
various client portfolios.
Fully paid ordinary shares
28,215
OneVue Limited Power to control the voting and /or
disposal of securities pursuant to
position held as manager of model
portfolios offered on the OneVue
platform.
Fully paid ordinary shares
85,772
National Australia Bank Limited Power to control the voting and /or
disposal of securities pursuant to
securitieslending agreements.
Fully paid ordinary shares
169,867

cnwdata:leg:county:ssnbrl

Antares Capital Partners Limited Power to control the voting and /or
disposal of securities pursuant to its
position as the responsible entity or
trustee of various managed
investment schemes ortrusts.
Fully paid ordinary shares
5,955,149
Antares Capital Partners Limited Power to control the voting and /or
disposal of securities pursuant to its
position as an investment manager in
accordance with investment
mandates and as an investment
manager of Antares Capital Partners
Limited trusts.
Fully paid ordinary shares
43,833
TOTAL 64,022,535

4. Details of present registered holders

The persons registered as holders of the securities referred to in paragraph 3 above are as follows:

Holder of relevant interest Registered holder of securities Person entitled to be
registered as holder
Class and number of
securities
MLC Investments Limited National Nominees Limited
(ACN 004 278 899)
Fully paid ordinary shares
6,260,256
MLC Limited Navigator Australia Limited
(ACN 006 302 987)
Fully paid ordinary shares
2,549
NabInvest Managed
Investments Limited
National Nominees Limited
(ACN 004 278 899)
Fully paid ordinary shares
16,870
MLC Wealth Management
Limited
Navigator Australia Limited
(ACN. 006 302 987)
Fully paid ordinary shares
1,292,600
National Australia Bank
Limited
National Nominees Limited
(ACN 004 278 899)
Fully paid ordinary shares
50,167,424
JB Were Limited Invia Custodian Pty. Limited
(ACN 006 127 984)
Fully paid ordinary shares
28,215
OneVue Limited Citicorp Nominees Pty Limited
(ABN 370 008 090 30)
Fully paid ordinary shares
85,772
National Australia Bank
Limited
National Nominees Limited
(ACN 004 278 899)
Fully paid ordinary shares
169,867
Antares Capital Partners
Limited
National Nominees Limited
(ACN 004 278 899)
Fully paid ordinary shares
5,955,149
Antares Capital Partners
Limited
JP Morgan Chase Bank Sydney
(ABN 43 074 112 011)
Fully paid ordinary shares
43,833
TOTAL 64,022,535

ssnbrl.doc

5. Consideration The consideration paid for each relevant interest referred to in paragraph 3 above, and acquired in the period 7 January 2013 to 14 February 2014 prior to the day that the substantial holder became a substantial holder is as follows:

Holder of relevant interest Date of acquisition Consideration Class and number
of securities
Cash Non-cash
REFER Annexure 1

6. Associates

The reasons the persons named in paragraph 3 above are associates of the substantial holder are as follows:

are asfollows:
Name and ACN/ARSN (if
applicable
Nature of association
MLC Investments Limited MLC Investments Limited is a wholly owned subsidiary of MLC
Holdings Limited whose ultimate parent is National Australia
Bank Limited.
MLC Limited MLC Limited is a wholly owned subsidiary of MLC Holdings
Limited whose ultimate parent is National Australia Bank
Limited.
NabInvest Managed
Investments Limited
NabInvest Managed Investments Limited is a wholly owned
subsidiary of National Wealth Management Holdings Limited
whose ultimate parentisNational AustraliaBank Limited
MLC Wealth Management
Limited
MLC Wealth Management Limited is a wholly owned subsidiary
of National Wealth Management Holdings Limited whose
ultimate parentisNational AustraliaBank Limited.
OneVue Limited JB Were Limited is a subsidiary of National Wealth
Management Holdings Limited whose ultimate parent is
National AustraliaBank Limited
JB Were Limited JB Were Pty Limited is a wholly owned subsidiary of National
Wealth Management Holdings Limited whose ultimate parent is
National AustraliaBank Limited.
Antares Capital Partners
Limited
Antares Capital Partners Pty Limited is a wholly owned
subsidiary of National Wealth Management Holdings Limited
whose ultimate parentisNational AustraliaBank Limited.

7. Addresses

The addresses of persons named in this form are as follows:

Name Address
National Australia Bank
Limited
Level 1
800 Bourke Street
DOCKLANDSVIC 3008
MLC Investments Limited Ground Floor
MLC Building
105-153 Miller Street
NORTHSYDNEY NSW 2060
MLC Limited Ground Floor
MLC Building
105-153 Miller Street
NORTHSYDNEY NSW 2060
NabInvest Managed
Investments Limited
Ground Floor
MLC Building
105-153 Miller Street
NORTHSYDNEY NSW 2060
National Nominees Limited Level 1
800 Bourke Street
DOCKLANDSVIC 3008
MLC Wealth Management
Limited
Ground Floor
MLC Building
105-153 Miller Street
NORTHSYDNEY NSW 2060
Navigator Australia Limited Ground Floor
MLC Building
105-153 Miller Street
NORTHSYDNEY NSW 2060
Antares Capital Partners GroundFloor

ssnbrl.doc

Limited MLC Building
105-153 Miller Street
NORTHSYDNEY NSW 2060
OneVue Limited Level 2,
1 Castlereagh Street
SYDNEY NSW 2000
JP Morgan Chase Bank
Sydney
Level 35,
259 George Street,
Sydney,NSW 2000
Invia Custodian Pty. Limited Level 16,
101 Collins St.
MelbourneVic 3000
Citicorp Nominees Pty
Limited
Level 5,
120 Collins St.
MELBOURNE VIC 3000
Signature
name
signature
Fiona Last Capacity
Company Secretary
for and on behalf of National Australia Bank
Limited
19/02/2014

ssnbrl.doc

ANNEXURE 1
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
NabInvest Managed
Investments Limited
13/03/2013 $3,057.45 517
NabInvest Managed
Investments Limited
28/06/2013 $30,248.16 5,047
NabInvest Managed
Investments Limited
2/10/2013 $42,384.00 7,172
MLC Investments Limited 9/01/2013 $638,386.65 116,298
MLC Investments Limited 10/01/2013 $646,182.30 117,701
MLC Investments Limited 15/01/2013 $146,863.21 25,851
MLC Investments Limited 16/01/2013 $197,679.16 34,343
MLC Investments Limited 23/01/2013 $936,948.31 160,871
MLC Investments Limited 23/01/2013 $90,399.97 15,538
MLC Investments Limited 24/01/2013 $1,828,165.28 314,690
MLC Investments Limited 25/01/2013 $1,769,522.38 304,344
MLC Investments Limited 29/01/2013 $2,778,162.60 466,921
MLC Investments Limited 5/02/2013 $269,079.62 46,121
MLC Investments Limited 13/03/2013 $46,853.70 7,927
MLC Investments Limited 15/03/2013 $265,326.98 44,558
MLC Investments Limited 19/03/2013 $496,076.79 84,728
MLC Investments Limited 21/03/2013 $460,819.29 79,672
MLC Investments Limited 21/03/2013 $482,236.80 84,160
MLC Investments Limited 15/05/2013 $182,787.17 26,580
MLC Investments Limited 16/05/2013 $1,227,130.23 183,003
MLC Investments Limited 17/05/2013 $1,068,324.65 158,843
MLC Investments Limited 20/05/2013 $3,625,258.37 523,253
MLC Investments Limited 21/05/2013 $205,326.94 30,146
MLC Investments Limited 22/05/2013 $630,004.15 91,569
MLC Investments Limited 23/05/2013 $1,064,682.26 156,976
MLC Investments Limited 23/05/2013 $637,223.13 94,194
MLC Investments Limited 24/05/2013 $425,529.86 65,407
MLC Investments Limited 27/05/2013 $37,696.92 5,864
MLC Investments Limited 6/06/2013 $321,720.11 52,325
MLC Investments Limited 7/06/2013 $175,401.89 28,235
MLC Investments Limited 12/06/2013 $732,102.18 118,331
MLC Investments Limited 13/06/2013 $450,885.35 73,875
MLC Investments Limited 13/06/2013 $465,965.19 76,500
MLC Investments Limited 13/06/2013 $1,230,103.63 201,600
MLC Investments Limited 13/06/2013 $196,960.16 32,200
MLC Investments Limited 14/06/2013 $296,646.45 48,300
MLC Investments Limited 14/06/2013 $216,317.29 35,300
MLC Investments Limited 18/06/2013 $403,305.41 65,407
MLC Investments Limited 17/06/2013 $174,219.49 28,200
MLC Investments Limited 18/06/2013 $104,765.69 17,000
MLC Investments Limited 18/06/2013 $43,831.09 7,100
MLC Investments Limited 20/06/2013 $404,555.38 65,407
MLC Investments Limited 21/06/2013 $320,123.58 51,465
MLC Investments Limited 24/06/2013 $781,924.44 130,813
MLC Investments Limited 25/06/2013 $1,059,410.22 178,435
MLC Investments Limited 25/06/2013 $393,552.18 66,420
MLC Investments Limited 26/06/2013 $785,018.41 130,813
MLC Investments Limited 25/06/2013 $228,238.94 38,520
MLC Investments Limited 27/06/2013 $631,756.55 104,650
MLC Investments Limited 28/06/2013 $1,259,449.77 209,301
MLC Investments Limited 1/07/2013 $474,226.17 78,488
MLC Investments Limited 4/07/2013 $180,485.59 29,020
MLC Investments Limited 11/07/2013 $130,246.64 20,860
MLC Investments Limited 4/09/2013 $64,137.22 10,590
MLC Investments Limited 27/09/2013 $42,985.32 7,216
MLC Investments Limited 7/10/2013 $141,429.41 23,920
MLC Investments Limited 7/11/2013 $200,946.39 32,770
MLC Investments Limited 8/11/2013 $24,845.43 4,050
MLC Investments Limited 25/11/2013 $27,622.53 4,489
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
MLC Investments Limited 2/12/2013 $93,238.83 15,250
MLC Investments Limited 3/12/2013 $146,370.80 23,876
MLC Investments Limited 4/12/2013 $155,828.99 25,310
MLC Investments Limited 5/12/2013 $52,580.09 8,555
MLC Investments Limited 6/12/2013 $163,648.43 26,700
MLC Investments Limited 9/12/2013 $256,320.76 41,821
MLC Investments Limited 9/12/2013 $145,713.26 23,790
MLC Investments Limited 16/12/2013 $15,743.75 2,506
MLC Investments Limited 31/12/2013 $214,530.34 35,630
MLC Investments Limited 3/01/2014 $473,129.64 78,426
MLC Investments Limited 10/01/2014 $533,657.87 88,160
MLC Investments Limited 10/01/2014 $145,104.07 23,990
MLC Investments Limited 15/01/2014 $139,894.84 23,330
MLC Investments Limited 21/01/2014 $289,087.57 46,910
MLC Investments Limited 24/01/2014 $124,727.48 20,560
MLC Investments Limited 30/01/2014 $46,512.44 7,778
MLC Investments Limited 30/01/2014 $476,025.94 79,603
MLC Investments Limited 5/02/2014 $10,219.24 1,700
MLC Limited 16/01/2014 $493,624.38 80,526
MLC Limited 16/01/2014 $48,230.84 7,868
MLC Wealth Management
Limited
26/03/2013 $29,318.21 4,993
MLC Wealth Management
Limited
28/03/2013 $92,252.74 15,464
MLC Wealth Management
Limited
3/04/2013 $11,548.04 1,903
MLC Wealth Management
Limited
2/05/2013 $6,809.25 1,057
MLC Wealth Management
Limited
28/08/2013 $24,741.25 4,131
MLC Wealth Management
Limited
29/08/2013 $12,087.10 2,031
MLC Wealth Management
Limited
30/08/2013 $19,698.86 3,300
MLC Wealth Management
Limited
2/09/2013 $1,537.47 255
MLC Wealth Management
Limited
16/12/2013 $16,158.40 2,572
MLC Limited(SMA) 19/04/2013 $31.15 5
MLC Limited(SMA) 19/07/2013 $29.75 5
MLC Limited(SMA) 16/10/2013 $23.68 4
MLC Limited(SMA) 12/11/2013 $2,193.86 358
MLC Limited(SMA) 12/11/2013 $116.44 19
MLC Limited(SMA) 14/01/2014 $8,185.48 1,362
MLC Limited(SMA) 14/01/2014 $84.14 14
MLC Limited(SMA) 14/01/2014 $311.30 52
MLC Limited(SMA) 14/01/2014 $9,973.84 1,666
MLC Limited(SMA) 11/02/2014 $78.65 13
MLC Limited(SMA) 7/01/2013 $282.88 52
MLC Limited(SMA) 8/02/2013 $69.72 12
MLC Limited(SMA) 4/04/2013 $35.82 6
MLC Limited(SMA) 27/06/2013 $36.21 6
MLC Limited(SMA) 27/06/2013 $163.08 27
MLC Limited(SMA) 5/08/2013 $266.18 44
MLC Limited(SMA) 3/09/2013 $24.72 4
MLC Limited(SMA) 2/10/2013 $29.50 5
MLC Limited(SMA) 2/10/2013 $159.30 27
MLC Limited(SMA) 6/11/2013 $133.10 22
MLC Limited(SMA) 3/01/2014 $367.22 61
MLC Limited(SMA) 7/08/2013 $141.84 24
MLC Limited(SMA) 13/08/2013 $53.28 9
National Australia Bank Limited 18/01/2013 $401,399.18 69,391
National Australia Bank Limited 30/01/2013 $155,087.97 26,320
National Australia Bank Limited 12/02/2013 $240,779.94 41,687
National Australia Bank Limited 25/02/2013 $152,207.50 25,000
National Australia Bank Limited 2/04/2013 $167,802.18 28,250
National Australia Bank Limited 3/04/2013 $319,379.04 53,651
National Australia Bank Limited 17/07/2013 $74,437.20 12,000
National Australia Bank Limited 21/11/2013 $81,995.94 13,598
National Australia Bank Limited 22/11/2013 $166,423.12 27,216
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
National Australia Bank Limited 25/11/2013 $263,495.88 42,579
National Australia Bank Limited 27/11/2013 $78,217.71 12,688
JB Were Limited 19 February2013 $16,005.00 2,740
OneVue Limited 16/01/2013 $3,847.91 667
OneVue Limited 31/01/2013 $46.74 8
OneVue Limited 31/01/2013 $537.54 92
OneVue Limited 31/01/2013 $586.21 101
OneVue Limited 31/01/2013 $46.43 8
OneVue Limited 4/02/2013 $937.47 161
OneVue Limited 5/02/2013 $5.84 1
OneVue Limited 5/02/2013 $41.01 7
OneVue Limited 5/02/2013 $474.59 81
OneVue Limited 5/02/2013 $181.63 31
OneVue Limited 5/02/2013 $105.47 18
OneVue Limited 5/02/2013 $70.31 12
OneVue Limited 5/02/2013 $357.41 61
OneVue Limited 5/02/2013 $193.35 33
OneVue Limited 5/02/2013 $111.32 19
OneVue Limited 5/02/2013 $82.03 14
OneVue Limited 5/02/2013 $386.71 66
OneVue Limited 5/02/2013 $333.97 57
OneVue Limited 5/02/2013 $46.87 8
OneVue Limited 5/02/2013 $82.03 14
OneVue Limited 5/02/2013 $386.71 66
OneVue Limited 5/02/2013 $6,861.08 1,171
OneVue Limited 5/02/2013 $134.76 23
OneVue Limited 5/02/2013 $70.31 12
OneVue Limited 5/02/2013 $210.93 36
OneVue Limited 5/02/2013 $281.24 48
OneVue Limited 5/02/2013 $556.62 95
OneVue Limited 5/02/2013 $152.34 26
OneVue Limited 5/02/2013 $421.86 72
OneVue Limited 5/02/2013 $158.20 27
OneVue Limited 5/02/2013 $111.32 19
OneVue Limited 5/02/2013 $82.03 14
OneVue Limited 5/02/2013 $181.63 31
OneVue Limited 5/02/2013 $269.52 46
OneVue Limited 5/02/2013 $123.04 21
OneVue Limited 5/02/2013 $93.75 16
OneVue Limited 5/02/2013 $93.75 16
OneVue Limited 5/02/2013 $29.30 5
OneVue Limited 5/02/2013 $468.73 80
OneVue Limited 5/02/2013 $357.41 61
OneVue Limited 5/02/2013 $316.40 54
OneVue Limited 5/02/2013 $111.32 19
OneVue Limited 5/02/2013 $445.30 76
OneVue Limited 5/02/2013 $105.47 18
OneVue Limited 5/02/2013 $41.01 7
OneVue Limited 5/02/2013 $46.87 8
OneVue Limited 5/02/2013 $58.59 10
OneVue Limited 5/02/2013 $99.61 17
OneVue Limited 5/02/2013 $210.93 36
OneVue Limited 5/02/2013 $29.30 5
OneVue Limited 5/02/2013 $99.61 17
OneVue Limited 5/02/2013 $41.01 7
OneVue Limited 5/02/2013 $87.89 15
OneVue Limited 5/02/2013 $603.49 103
OneVue Limited 5/02/2013 $146.48 25
OneVue Limited 5/02/2013 $111.32 19
OneVue Limited 5/02/2013 $128.90 22
OneVue Limited 5/02/2013 $111.32 19
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 5/02/2013 $58.59 10
OneVue Limited 5/02/2013 $82.03 14
OneVue Limited 5/02/2013 $58.59 10
OneVue Limited 5/02/2013 $181.63 31
OneVue Limited 5/02/2013 $87.89 15
OneVue Limited 5/02/2013 $46.87 8
OneVue Limited 5/02/2013 $52.73 9
OneVue Limited 5/02/2013 $52.73 9
OneVue Limited 5/02/2013 $210.93 36
OneVue Limited 5/02/2013 $128.90 22
OneVue Limited 5/02/2013 $82.03 14
OneVue Limited 5/02/2013 $117.18 20
OneVue Limited 5/02/2013 $187.49 32
OneVue Limited 5/02/2013 $35.16 6
OneVue Limited 5/02/2013 $52.73 9
OneVue Limited 5/02/2013 $46.87 8
OneVue Limited 12/02/2013 $382.32 66
OneVue Limited 14/02/2013 $730.51 126
OneVue Limited 14/02/2013 $753.70 130
OneVue Limited 14/02/2013 $386.51 67
OneVue Limited 14/02/2013 $369.21 64
OneVue Limited 25/02/2013 $207.69 34
OneVue Limited 25/02/2013 $140.49 23
OneVue Limited 25/02/2013 $708.58 116
OneVue Limited 25/02/2013 $387.35 63
OneVue Limited 25/02/2013 $264.38 43
OneVue Limited 25/02/2013 $1,297.32 211
OneVue Limited 26/02/2013 $115.20 19
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $583.28 97
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $66.15 11
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $42.09 7
OneVue Limited 28/02/2013 $54.09 9
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $78.13 13
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $6.01 1
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 28/02/2013 $6.01 1
OneVue Limited 28/02/2013 $685.11 114
OneVue Limited 8/03/2013 $1,933.97 316
OneVue Limited 8/03/2013 $1,358.67 222
OneVue Limited 20/03/2013 $46.82 8
OneVue Limited 20/03/2013 $334.94 57
OneVue Limited 22/03/2013 $18,723.66 3,212
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $11.95 2
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $11.95 2
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $11.95 2
OneVue Limited 28/03/2013 $17.92 3
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $11.95 2
OneVue Limited 28/03/2013 $11.95 2
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $11.95 2
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $11.95 2
OneVue Limited 28/03/2013 $161.27 27
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $5.97 1
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $47.90 8
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $41.91 7
OneVue Limited 28/03/2013 $17.96 3
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $35.93 6
OneVue Limited 28/03/2013 $35.93 6
OneVue Limited 28/03/2013 $5.99 1
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $41.91 7
OneVue Limited 28/03/2013 $712.54 119
OneVue Limited 28/03/2013 $17.96 3
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $17.96 3
OneVue Limited 28/03/2013 $23.95 4
OneVue Limited 28/03/2013 $59.88 10
OneVue Limited 28/03/2013 $11.98 2
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $29.94 5
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $83.83 14
OneVue Limited 28/03/2013 $47.90 8
OneVue Limited 28/03/2013 $35.93 6
OneVue Limited 28/03/2013 $29.94 5
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $47.90 8
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $5.99 1
OneVue Limited 28/03/2013 $5.99 1
OneVue Limited 28/03/2013 $5.99 1
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $17.96 3
OneVue Limited 28/03/2013 $5.99 1
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $5.99 1
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $65.86 11
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $5.99 1
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $5.99 1
OneVue Limited 28/03/2013 $5.99 1
OneVue Limited 28/03/2013 $5.99 1
OneVue Limited 28/03/2013 $17.96 3
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $11.98 2
OneVue Limited 28/03/2013 $5.99 1
OneVue Limited 28/03/2013 $5.99 1
OneVue Limited 4/04/2013 $11.95 2
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $11.95 2
OneVue Limited 4/04/2013 $17.92 3
OneVue Limited 4/04/2013 $23.89 4
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $23.89 4
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $11.95 2
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $11.95 2
OneVue Limited 4/04/2013 $17.92 3
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $11.95 2
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $17.92 3
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $17.92 3
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $11.95 2
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $17.92 3
OneVue Limited 4/04/2013 $11.95 2
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $17.92 3
OneVue Limited 4/04/2013 $268.79 45
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $5.97 1
OneVue Limited 4/04/2013 $17.97 3
OneVue Limited 4/04/2013 $113.80 19
OneVue Limited 4/04/2013 $41.93 7
OneVue Limited 4/04/2013 $23.96 4
OneVue Limited 4/04/2013 $17.97 3
OneVue Limited 4/04/2013 $83.86 14
OneVue Limited 4/04/2013 $47.92 8
OneVue Limited 4/04/2013 $23.96 4
OneVue Limited 4/04/2013 $17.97 3
OneVue Limited 4/04/2013 $89.85 15
OneVue Limited 4/04/2013 $83.86 14
OneVue Limited 4/04/2013 $11.98 2
OneVue Limited 4/04/2013 $11.98 2
OneVue Limited 4/04/2013 $89.85 15
OneVue Limited 4/04/2013 $1,707.07 285
OneVue Limited 4/04/2013 $41.93 7
OneVue Limited 4/04/2013 $17.97 3
OneVue Limited 4/04/2013 $53.91 9
OneVue Limited 4/04/2013 $95.84 16
OneVue Limited 4/04/2013 $35.94 6
OneVue Limited 4/04/2013 $35.94 6
OneVue Limited 4/04/2013 $23.96 4
OneVue Limited 4/04/2013 $17.97 3
OneVue Limited 4/04/2013 $47.92 8
OneVue Limited 4/04/2013 $59.90 10
OneVue Limited 4/04/2013 $29.95 5
OneVue Limited 4/04/2013 $23.96 4
OneVue Limited 4/04/2013 $23.96 4
OneVue Limited 4/04/2013 $113.80 19
OneVue Limited 4/04/2013 $89.85 15
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 4/04/2013 $11.98 2
OneVue Limited 4/04/2013 $77.87 13
OneVue Limited 4/04/2013 $23.96 4
OneVue Limited 4/04/2013 $65.89 11
OneVue Limited 4/04/2013 $107.81 18
OneVue Limited 4/04/2013 $155.73 26
OneVue Limited 4/04/2013 $17.97 3
OneVue Limited 4/04/2013 $17.97 3
OneVue Limited 4/04/2013 $11.98 2
OneVue Limited 4/04/2013 $17.97 3
OneVue Limited 4/04/2013 $17.97 3
OneVue Limited 4/04/2013 $53.91 9
OneVue Limited 4/04/2013 $5.99 1
OneVue Limited 4/04/2013 $23.96 4
OneVue Limited 4/04/2013 $11.98 2
OneVue Limited 4/04/2013 $17.97 3
OneVue Limited 4/04/2013 $149.74 25
OneVue Limited 4/04/2013 $35.94 6
OneVue Limited 4/04/2013 $23.96 4
OneVue Limited 4/04/2013 $29.95 5
OneVue Limited 4/04/2013 $23.96 4
OneVue Limited 4/04/2013 $17.97 3
OneVue Limited 4/04/2013 $23.96 4
OneVue Limited 4/04/2013 $11.98 2
OneVue Limited 4/04/2013 $41.93 7
OneVue Limited 4/04/2013 $17.97 3
OneVue Limited 4/04/2013 $11.98 2
OneVue Limited 4/04/2013 $11.98 2
OneVue Limited 4/04/2013 $11.98 2
OneVue Limited 4/04/2013 $53.91 9
OneVue Limited 4/04/2013 $29.95 5
OneVue Limited 4/04/2013 $17.97 3
OneVue Limited 4/04/2013 $23.96 4
OneVue Limited 4/04/2013 $77.87 13
OneVue Limited 4/04/2013 $11.98 2
OneVue Limited 4/04/2013 $11.98 2
OneVue Limited 4/04/2013 $11.98 2
OneVue Limited 4/04/2013 $23.96 4
OneVue Limited 4/04/2013 $17.97 3
OneVue Limited 12/04/2013 $742.03 120
OneVue Limited 12/04/2013 $848.08 137
OneVue Limited 30/04/2013 $38.97 6
OneVue Limited 30/04/2013 $12.99 2
OneVue Limited 30/04/2013 $38.97 6
OneVue Limited 30/04/2013 $51.95 8
OneVue Limited 30/04/2013 $12.99 2
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $12.99 2
OneVue Limited 30/04/2013 $25.98 4
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $19.48 3
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $12.99 2
OneVue Limited 30/04/2013 $71.44 11
OneVue Limited 30/04/2013 $19.48 3
OneVue Limited 30/04/2013 $19.48 3
OneVue Limited 30/04/2013 $12.99 2
OneVue Limited 30/04/2013 $6.49 1
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $25.98 4
OneVue Limited 30/04/2013 $12.99 2
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $12.99 2
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $25.98 4
OneVue Limited 30/04/2013 $12.99 2
OneVue Limited 30/04/2013 $12.99 2
OneVue Limited 30/04/2013 $19.48 3
OneVue Limited 30/04/2013 $32.47 5
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $103.91 16
OneVue Limited 30/04/2013 $45.46 7
OneVue Limited 30/04/2013 $19.48 3
OneVue Limited 30/04/2013 $12.99 2
OneVue Limited 30/04/2013 $12.99 2
OneVue Limited 30/04/2013 $25.98 4
OneVue Limited 30/04/2013 $32.47 5
OneVue Limited 30/04/2013 $12.99 2
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $12.99 2
OneVue Limited 30/04/2013 $19.48 3
OneVue Limited 30/04/2013 $64.94 10
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $58.45 9
OneVue Limited 30/04/2013 $12.99 2
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $45.46 7
OneVue Limited 30/04/2013 $25.98 4
OneVue Limited 30/04/2013 $12.99 2
OneVue Limited 30/04/2013 $45.46 7
OneVue Limited 30/04/2013 $38.97 6
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $12.99 2
OneVue Limited 30/04/2013 $45.46 7
OneVue Limited 30/04/2013 $837.76 129
OneVue Limited 30/04/2013 $25.98 4
OneVue Limited 30/04/2013 $6.49 1
OneVue Limited 30/04/2013 $25.98 4
OneVue Limited 31/05/2013 $103.99 16
OneVue Limited 3/06/2013 $808.17 126
OneVue Limited 25/06/2013 $462.78 78
OneVue Limited 25/06/2013 $775.40 130
OneVue Limited 26/06/2013 $6.01 1
OneVue Limited 26/06/2013 $6.01 1
OneVue Limited 26/06/2013 $96.21 16
OneVue Limited 26/06/2013 $6.01 1
OneVue Limited 26/06/2013 $6.01 1
OneVue Limited 26/06/2013 $30.07 5
OneVue Limited 26/06/2013 $6.01 1
OneVue Limited 5/07/2013 $24.77 4
OneVue Limited 5/07/2013 $12.39 2
OneVue Limited 5/07/2013 $37.16 6
OneVue Limited 5/07/2013 $24.77 4
OneVue Limited 5/07/2013 $12.39 2
OneVue Limited 5/07/2013 $6.19 1
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 5/07/2013 $12.39 2
OneVue Limited 5/07/2013 $18.58 3
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $30.97 5
OneVue Limited 5/07/2013 $12.39 2
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $24.77 4
OneVue Limited 5/07/2013 $12.39 2
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $24.77 4
OneVue Limited 5/07/2013 $24.77 4
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $30.97 5
OneVue Limited 5/07/2013 $495.49 80
OneVue Limited 5/07/2013 $12.39 2
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $12.39 2
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $24.77 4
OneVue Limited 5/07/2013 $24.77 4
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $18.58 3
OneVue Limited 5/07/2013 $30.97 5
OneVue Limited 5/07/2013 $61.94 10
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $12.39 2
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $37.16 6
OneVue Limited 5/07/2013 $12.39 2
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $12.39 2
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $12.39 2
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $18.58 3
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $24.77 4
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $6.19 1
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 5/07/2013 $6.19 1
OneVue Limited 5/07/2013 $93.01 15
OneVue Limited 5/07/2013 $37.20 6
OneVue Limited 5/07/2013 $86.81 14
OneVue Limited 5/07/2013 $136.41 22
OneVue Limited 5/07/2013 $266.62 43
OneVue Limited 5/07/2013 $31.00 5
OneVue Limited 5/07/2013 $18.60 3
OneVue Limited 5/07/2013 $12.40 2
OneVue Limited 5/07/2013 $12.40 2
OneVue Limited 5/07/2013 $31.00 5
OneVue Limited 5/07/2013 $68.20 11
OneVue Limited 5/07/2013 $12.40 2
OneVue Limited 5/07/2013 $37.20 6
OneVue Limited 5/07/2013 $12.40 2
OneVue Limited 5/07/2013 $24.80 4
OneVue Limited 5/07/2013 $155.01 25
OneVue Limited 5/07/2013 $43.40 7
OneVue Limited 5/07/2013 $37.20 6
OneVue Limited 5/07/2013 $43.40 7
OneVue Limited 5/07/2013 $12.40 2
OneVue Limited 5/07/2013 $49.60 8
OneVue Limited 5/07/2013 $18.60 3
OneVue Limited 5/07/2013 $12.40 2
OneVue Limited 5/07/2013 $62.00 10
OneVue Limited 5/07/2013 $24.80 4
OneVue Limited 5/07/2013 $12.40 2
OneVue Limited 5/07/2013 $18.60 3
OneVue Limited 5/07/2013 $12.40 2
OneVue Limited 5/07/2013 $68.20 11
OneVue Limited 5/07/2013 $43.40 7
OneVue Limited 5/07/2013 $24.80 4
OneVue Limited 5/07/2013 $31.00 5
OneVue Limited 5/07/2013 $111.61 18
OneVue Limited 5/07/2013 $12.40 2
OneVue Limited 5/07/2013 $12.40 2
OneVue Limited 5/07/2013 $12.40 2
OneVue Limited 5/07/2013 $37.20 6
OneVue Limited 5/07/2013 $18.60 3
OneVue Limited 5/07/2013 $12.40 2
OneVue Limited 5/07/2013 $111.61 18
OneVue Limited 5/07/2013 $31.00 5
OneVue Limited 5/07/2013 $12.40 2
OneVue Limited 5/07/2013 $24.80 4
OneVue Limited 5/07/2013 $148.81 24
OneVue Limited 5/07/2013 $55.80 9
OneVue Limited 5/07/2013 $37.20 6
OneVue Limited 5/07/2013 $18.60 3
OneVue Limited 5/07/2013 $111.61 18
OneVue Limited 5/07/2013 $62.00 10
OneVue Limited 5/07/2013 $37.20 6
OneVue Limited 5/07/2013 $24.80 4
OneVue Limited 5/07/2013 $117.81 19
OneVue Limited 5/07/2013 $99.21 16
OneVue Limited 5/07/2013 $12.40 2
OneVue Limited 5/07/2013 $24.80 4
OneVue Limited 5/07/2013 $117.81 19
OneVue Limited 5/07/2013 $2,139.14 345
OneVue Limited 5/07/2013 $55.80 9
OneVue Limited 5/07/2013 $24.80 4
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 5/07/2013 $62.00 10
OneVue Limited 5/07/2013 $99.21 16
OneVue Limited 5/07/2013 $43.40 7
OneVue Limited 5/07/2013 $37.20 6
OneVue Limited 5/07/2013 $55.80 9
OneVue Limited 5/07/2013 $80.61 13
OneVue Limited 5/07/2013 $37.20 6
OneVue Limited 5/07/2013 $31.00 5
OneVue Limited 5/07/2013 $24.80 4
OneVue Limited 5/07/2013 $167.41 27
OneVue Limited 5/07/2013 $43.40 7
OneVue Limited 5/07/2013 $124.01 20
OneVue Limited 31/07/2013 $24.17 4
OneVue Limited 31/07/2013 $12.09 2
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $12.09 2
OneVue Limited 31/07/2013 $18.13 3
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $12.09 2
OneVue Limited 31/07/2013 $12.09 2
OneVue Limited 31/07/2013 $36.26 6
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $24.17 4
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $24.17 4
OneVue Limited 31/07/2013 $12.09 2
OneVue Limited 31/07/2013 $12.09 2
OneVue Limited 31/07/2013 $24.17 4
OneVue Limited 31/07/2013 $24.17 4
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $24.17 4
OneVue Limited 31/07/2013 $453.24 75
OneVue Limited 31/07/2013 $12.09 2
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $18.13 3
OneVue Limited 31/07/2013 $12.09 2
OneVue Limited 31/07/2013 $24.17 4
OneVue Limited 31/07/2013 $24.17 4
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $18.13 3
OneVue Limited 31/07/2013 $30.22 5
OneVue Limited 31/07/2013 $48.35 8
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $12.09 2
OneVue Limited 31/07/2013 $12.09 2
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $12.09 2
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $12.09 2
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $12.09 2
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $12.09 2
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $12.09 2
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $24.17 4
OneVue Limited 31/07/2013 $12.09 2
OneVue Limited 31/07/2013 $6.04 1
OneVue Limited 31/07/2013 $6.03 1
OneVue Limited 31/07/2013 $6.03 1
OneVue Limited 31/07/2013 $24.13 4
OneVue Limited 31/07/2013 $6.03 1
OneVue Limited 31/07/2013 $6.03 1
OneVue Limited 2/08/2013 $2,178.43 358
OneVue Limited 5/08/2013 $619.65 102
OneVue Limited 5/08/2013 $212.62 35
OneVue Limited 5/08/2013 $546.75 90
OneVue Limited 5/08/2013 $874.80 144
OneVue Limited 5/08/2013 $1,652.39 272
OneVue Limited 5/08/2013 $206.55 34
OneVue Limited 5/08/2013 $127.57 21
OneVue Limited 5/08/2013 $78.97 13
OneVue Limited 5/08/2013 $103.27 17
OneVue Limited 5/08/2013 $194.40 32
OneVue Limited 5/08/2013 $413.10 68
OneVue Limited 5/08/2013 $60.75 10
OneVue Limited 5/08/2013 $230.85 38
OneVue Limited 5/08/2013 $85.05 14
OneVue Limited 5/08/2013 $164.02 27
OneVue Limited 5/08/2013 $1,142.10 188
OneVue Limited 5/08/2013 $285.52 47
OneVue Limited 5/08/2013 $218.70 36
OneVue Limited 5/08/2013 $249.07 41
OneVue Limited 5/08/2013 $60.75 10
OneVue Limited 5/08/2013 $340.20 56
OneVue Limited 5/08/2013 $115.42 19
OneVue Limited 5/08/2013 $109.35 18
OneVue Limited 5/08/2013 $346.27 57
OneVue Limited 5/08/2013 $164.02 27
OneVue Limited 5/08/2013 $85.05 14
OneVue Limited 5/08/2013 $109.35 18
OneVue Limited 5/08/2013 $91.12 15
OneVue Limited 5/08/2013 $419.17 69
OneVue Limited 5/08/2013 $249.07 41
OneVue Limited 5/08/2013 $151.87 25
OneVue Limited 5/08/2013 $188.32 31
OneVue Limited 5/08/2013 $692.55 114
OneVue Limited 5/08/2013 $66.82 11
OneVue Limited 5/08/2013 $103.27 17
OneVue Limited 5/08/2013 $188.32 31
OneVue Limited 5/08/2013 $85.05 14
OneVue Limited 5/08/2013 $224.77 37
OneVue Limited 5/08/2013 $127.57 21
OneVue Limited 5/08/2013 $109.35 18
OneVue Limited 5/08/2013 $546.75 90
OneVue Limited 5/08/2013 $297.67 49
OneVue Limited 5/08/2013 $218.70 36
OneVue Limited 5/08/2013 $139.72 23
OneVue Limited 5/08/2013 $358.42 59
OneVue Limited 5/08/2013 $528.52 87
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 5/08/2013 $236.92 39
OneVue Limited 5/08/2013 $188.32 31
OneVue Limited 5/08/2013 $182.25 30
OneVue Limited 5/08/2013 $1,069.20 176
OneVue Limited 5/08/2013 $291.60 48
OneVue Limited 5/08/2013 $765.45 126
OneVue Limited 5/08/2013 $151.87 25
OneVue Limited 5/08/2013 $923.40 152
OneVue Limited 5/08/2013 $346.27 57
OneVue Limited 5/08/2013 $212.62 35
OneVue Limited 5/08/2013 $139.72 23
OneVue Limited 5/08/2013 $698.62 115
OneVue Limited 5/08/2013 $382.72 63
OneVue Limited 5/08/2013 $212.62 35
OneVue Limited 5/08/2013 $145.80 24
OneVue Limited 5/08/2013 $722.92 119
OneVue Limited 5/08/2013 $656.10 108
OneVue Limited 5/08/2013 $85.05 14
OneVue Limited 5/08/2013 $164.02 27
OneVue Limited 5/08/2013 $753.30 124
OneVue Limited 5/08/2013 $13,413.55 2,208
OneVue Limited 5/08/2013 $364.50 60
OneVue Limited 5/08/2013 $133.65 22
OneVue Limited 5/08/2013 $413.10 68
OneVue Limited 5/08/2013 $692.55 114
OneVue Limited 5/08/2013 $194.40 32
OneVue Limited 5/08/2013 $103.27 17
OneVue Limited 15/08/2013 $1,042.66 175
OneVue Limited 15/08/2013 $495.48 83
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $53.62 9
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 30/08/2013 $5.96 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $12.27 2
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $12.27 2
OneVue Limited 3/09/2013 $6.13 1
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 3/09/2013 $12.27 2
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $12.27 2
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $12.27 2
OneVue Limited 3/09/2013 $190.14 31
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $12.27 2
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $12.27 2
OneVue Limited 3/09/2013 $24.53 4
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $12.27 2
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $12.27 2
OneVue Limited 3/09/2013 $6.13 1
OneVue Limited 3/09/2013 $43.05 7
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $30.75 5
OneVue Limited 3/09/2013 $55.35 9
OneVue Limited 3/09/2013 $110.70 18
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $24.60 4
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $61.50 10
OneVue Limited 3/09/2013 $18.45 3
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $18.45 3
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $18.45 3
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $24.60 4
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $43.05 7
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $43.05 7
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $61.50 10
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $43.05 7
OneVue Limited 3/09/2013 $24.60 4
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $49.20 8
OneVue Limited 3/09/2013 $43.05 7
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $43.05 7
OneVue Limited 3/09/2013 $904.08 147
OneVue Limited 3/09/2013 $24.60 4
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $24.60 4
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $67.65 11
OneVue Limited 3/09/2013 $36.90 6
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $6.15 1
OneVue Limited 3/09/2013 $18.45 3
OneVue Limited 3/09/2013 $36.90 6
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 3/09/2013 $12.30 2
OneVue Limited 30/09/2013 $47.70 8
OneVue Limited 30/09/2013 $29.82 5
OneVue Limited 30/09/2013 $17.89 3
OneVue Limited 30/09/2013 $35.78 6
OneVue Limited 30/09/2013 $47.70 8
OneVue Limited 30/09/2013 $17.89 3
OneVue Limited 30/09/2013 $17.89 3
OneVue Limited 30/09/2013 $17.89 3
OneVue Limited 30/09/2013 $95.41 16
OneVue Limited 30/09/2013 $29.82 5
OneVue Limited 30/09/2013 $17.89 3
OneVue Limited 30/09/2013 $77.52 13
OneVue Limited 30/09/2013 $17.89 3
OneVue Limited 30/09/2013 $11.93 2
OneVue Limited 30/09/2013 $59.63 10
OneVue Limited 30/09/2013 $29.82 5
OneVue Limited 30/09/2013 $17.89 3
OneVue Limited 30/09/2013 $59.63 10
OneVue Limited 30/09/2013 $59.63 10
OneVue Limited 30/09/2013 $5.96 1
OneVue Limited 30/09/2013 $11.93 2
OneVue Limited 30/09/2013 $65.59 11
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 30/09/2013 $1,168.77 196
OneVue Limited 30/09/2013 $29.82 5
OneVue Limited 30/09/2013 $11.93 2
OneVue Limited 30/09/2013 $35.78 6
OneVue Limited 30/09/2013 $17.89 3
OneVue Limited 30/09/2013 $5.96 1
OneVue Limited 30/09/2013 $59.63 10
OneVue Limited 30/09/2013 $53.67 9
OneVue Limited 30/09/2013 $17.89 3
OneVue Limited 30/09/2013 $47.70 8
OneVue Limited 30/09/2013 $77.52 13
OneVue Limited 30/09/2013 $143.11 24
OneVue Limited 30/09/2013 $17.89 3
OneVue Limited 30/09/2013 $11.93 2
OneVue Limited 30/09/2013 $5.96 1
OneVue Limited 30/09/2013 $11.93 2
OneVue Limited 30/09/2013 $17.89 3
OneVue Limited 30/09/2013 $35.78 6
OneVue Limited 30/09/2013 $5.96 1
OneVue Limited 30/09/2013 $23.85 4
OneVue Limited 30/09/2013 $5.96 1
OneVue Limited 30/09/2013 $11.93 2
OneVue Limited 30/09/2013 $23.85 4
OneVue Limited 30/09/2013 $17.89 3
OneVue Limited 30/09/2013 $23.85 4
OneVue Limited 30/09/2013 $5.96 1
OneVue Limited 30/09/2013 $29.82 5
OneVue Limited 30/09/2013 $5.96 1
OneVue Limited 30/09/2013 $11.93 2
OneVue Limited 30/09/2013 $35.78 6
OneVue Limited 30/09/2013 $5.96 1
OneVue Limited 30/09/2013 $5.96 1
OneVue Limited 30/09/2013 $5.96 1
OneVue Limited 30/09/2013 $35.78 6
OneVue Limited 30/09/2013 $23.85 4
OneVue Limited 30/09/2013 $17.89 3
OneVue Limited 30/09/2013 $17.89 3
OneVue Limited 30/09/2013 $59.63 10
OneVue Limited 30/09/2013 $5.96 1
OneVue Limited 30/09/2013 $11.93 2
OneVue Limited 30/09/2013 $11.93 2
OneVue Limited 30/09/2013 $11.93 2
OneVue Limited 30/09/2013 $23.85 4
OneVue Limited 30/09/2013 $17.89 3
OneVue Limited 30/09/2013 $11.93 2
OneVue Limited 2/10/2013 $17.72 3
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $17.72 3
OneVue Limited 2/10/2013 $29.54 5
OneVue Limited 2/10/2013 $53.17 9
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $11.82 2
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $29.54 5
OneVue Limited 2/10/2013 $11.82 2
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 2/10/2013 $11.82 2
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $11.82 2
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $11.82 2
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $23.63 4
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $23.63 4
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $29.54 5
OneVue Limited 2/10/2013 $11.82 2
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $23.63 4
OneVue Limited 2/10/2013 $11.82 2
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $23.63 4
OneVue Limited 2/10/2013 $17.72 3
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $23.63 4
OneVue Limited 2/10/2013 $425.37 72
OneVue Limited 2/10/2013 $11.82 2
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $11.82 2
OneVue Limited 2/10/2013 $23.63 4
OneVue Limited 2/10/2013 $11.82 2
OneVue Limited 2/10/2013 $35.45 6
OneVue Limited 2/10/2013 $17.72 3
OneVue Limited 2/10/2013 $11.82 2
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $11.82 2
OneVue Limited 2/10/2013 $17.72 3
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $5.91 1
OneVue Limited 2/10/2013 $254.11 43
OneVue Limited 2/10/2013 $135.92 23
OneVue Limited 2/10/2013 $106.37 18
OneVue Limited 2/10/2013 $59.09 10
OneVue Limited 2/10/2013 $159.55 27
OneVue Limited 2/10/2013 $236.38 40
OneVue Limited 2/10/2013 $112.28 19
OneVue Limited 2/10/2013 $82.73 14
OneVue Limited 2/10/2013 $82.73 14
OneVue Limited 2/10/2013 $490.48 83
OneVue Limited 2/10/2013 $130.01 22
OneVue Limited 2/10/2013 $348.66 59
OneVue Limited 2/10/2013 $70.91 12
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 2/10/2013 $425.48 72
OneVue Limited 2/10/2013 $159.55 27
OneVue Limited 2/10/2013 $100.46 17
OneVue Limited 2/10/2013 $65.00 11
OneVue Limited 2/10/2013 $319.11 54
OneVue Limited 2/10/2013 $177.28 30
OneVue Limited 2/10/2013 $100.46 17
OneVue Limited 2/10/2013 $70.91 12
OneVue Limited 2/10/2013 $330.93 56
OneVue Limited 2/10/2013 $301.38 51
OneVue Limited 2/10/2013 $41.37 7
OneVue Limited 2/10/2013 $70.91 12
OneVue Limited 2/10/2013 $348.66 59
OneVue Limited 2/10/2013 $6,193.09 1,048
OneVue Limited 2/10/2013 $165.46 28
OneVue Limited 2/10/2013 $65.00 11
OneVue Limited 2/10/2013 $189.10 32
OneVue Limited 2/10/2013 $88.64 15
OneVue Limited 2/10/2013 $47.28 8
OneVue Limited 2/10/2013 $313.20 53
OneVue Limited 2/10/2013 $283.65 48
OneVue Limited 2/10/2013 $100.46 17
OneVue Limited 2/10/2013 $254.11 43
OneVue Limited 2/10/2013 $401.84 68
OneVue Limited 2/10/2013 $762.32 129
OneVue Limited 2/10/2013 $94.55 16
OneVue Limited 2/10/2013 $53.18 9
OneVue Limited 2/10/2013 $41.37 7
OneVue Limited 2/10/2013 $47.28 8
OneVue Limited 2/10/2013 $88.64 15
OneVue Limited 2/10/2013 $189.10 32
OneVue Limited 2/10/2013 $35.46 6
OneVue Limited 2/10/2013 $106.37 18
OneVue Limited 2/10/2013 $41.37 7
OneVue Limited 2/10/2013 $76.82 13
OneVue Limited 2/10/2013 $478.66 81
OneVue Limited 2/10/2013 $130.01 22
OneVue Limited 2/10/2013 $106.37 18
OneVue Limited 2/10/2013 $112.28 19
OneVue Limited 2/10/2013 $29.55 5
OneVue Limited 2/10/2013 $153.65 26
OneVue Limited 2/10/2013 $53.18 9
OneVue Limited 2/10/2013 $47.28 8
OneVue Limited 2/10/2013 $159.55 27
OneVue Limited 2/10/2013 $65.00 11
OneVue Limited 2/10/2013 $41.37 7
OneVue Limited 2/10/2013 $47.28 8
OneVue Limited 2/10/2013 $41.37 7
OneVue Limited 2/10/2013 $195.01 33
OneVue Limited 2/10/2013 $112.28 19
OneVue Limited 2/10/2013 $65.00 11
OneVue Limited 2/10/2013 $88.64 15
OneVue Limited 2/10/2013 $319.11 54
OneVue Limited 2/10/2013 $35.46 6
OneVue Limited 2/10/2013 $47.28 8
OneVue Limited 2/10/2013 $88.64 15
OneVue Limited 2/10/2013 $41.37 7
OneVue Limited 2/10/2013 $106.37 18
OneVue Limited 2/10/2013 $118.19 20
OneVue Limited 2/10/2013 $47.28 8
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 9/10/2013 $865.71 146
OneVue Limited 17/10/2013 $7,859.07 1,311
OneVue Limited 17/10/2013 $2,355.92 393
OneVue Limited 17/10/2013 $3,141.23 524
OneVue Limited 29/10/2013 $3,034.28 510
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $12.03 2
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $78.17 13
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $6.01 1
OneVue Limited 31/10/2013 $36.24 6
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 31/10/2013 $48.32 8
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 31/10/2013 $36.24 6
OneVue Limited 31/10/2013 $18.12 3
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $36.24 6
OneVue Limited 31/10/2013 $30.20 5
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $36.24 6
OneVue Limited 31/10/2013 $700.62 116
OneVue Limited 31/10/2013 $18.12 3
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 31/10/2013 $18.12 3
OneVue Limited 31/10/2013 $54.36 9
OneVue Limited 31/10/2013 $18.12 3
OneVue Limited 31/10/2013 $24.16 4
OneVue Limited 31/10/2013 $18.12 3
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $18.12 3
OneVue Limited 31/10/2013 $24.16 4
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $30.20 5
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $24.16 4
OneVue Limited 31/10/2013 $48.32 8
OneVue Limited 31/10/2013 $78.52 13
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $18.12 3
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 31/10/2013 $18.12 3
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 31/10/2013 $18.12 3
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 31/10/2013 $18.12 3
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $36.24 6
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $12.08 2
OneVue Limited 31/10/2013 $6.04 1
OneVue Limited 6/11/2013 $218.16 36
OneVue Limited 6/11/2013 $78.78 13
OneVue Limited 6/11/2013 $187.86 31
OneVue Limited 6/11/2013 $309.06 51
OneVue Limited 6/11/2013 $581.75 96
OneVue Limited 6/11/2013 $72.72 12
OneVue Limited 6/11/2013 $42.42 7
OneVue Limited 6/11/2013 $24.24 4
OneVue Limited 6/11/2013 $78.78 13
OneVue Limited 6/11/2013 $36.36 6
OneVue Limited 6/11/2013 $66.66 11
OneVue Limited 6/11/2013 $145.44 24
OneVue Limited 6/11/2013 $24.24 4
OneVue Limited 6/11/2013 $84.84 14
OneVue Limited 6/11/2013 $30.30 5
OneVue Limited 6/11/2013 $60.60 10
OneVue Limited 6/11/2013 $393.90 65
OneVue Limited 6/11/2013 $103.02 17
OneVue Limited 6/11/2013 $72.72 12
OneVue Limited 6/11/2013 $84.84 14
OneVue Limited 6/11/2013 $24.24 4
OneVue Limited 6/11/2013 $121.20 20
OneVue Limited 6/11/2013 $42.42 7
OneVue Limited 6/11/2013 $36.36 6
OneVue Limited 6/11/2013 $127.26 21
OneVue Limited 6/11/2013 $48.48 8
OneVue Limited 6/11/2013 $30.30 5
OneVue Limited 6/11/2013 $42.42 7
OneVue Limited 6/11/2013 $212.10 35
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 6/11/2013 $30.30 5
OneVue Limited 6/11/2013 $145.44 24
OneVue Limited 6/11/2013 $90.90 15
OneVue Limited 6/11/2013 $54.54 9
OneVue Limited 6/11/2013 $66.66 11
OneVue Limited 6/11/2013 $242.40 40
OneVue Limited 6/11/2013 $24.24 4
OneVue Limited 6/11/2013 $36.36 6
OneVue Limited 6/11/2013 $60.60 10
OneVue Limited 6/11/2013 $30.30 5
OneVue Limited 6/11/2013 $78.78 13
OneVue Limited 6/11/2013 $84.84 14
OneVue Limited 6/11/2013 $36.36 6
OneVue Limited 6/11/2013 $24.24 4
OneVue Limited 6/11/2013 $3,969.26 655
OneVue Limited 6/11/2013 $193.92 32
OneVue Limited 6/11/2013 $103.02 17
OneVue Limited 6/11/2013 $72.72 12
OneVue Limited 6/11/2013 $42.42 7
OneVue Limited 6/11/2013 $127.26 21
OneVue Limited 6/11/2013 $187.86 31
OneVue Limited 6/11/2013 $84.84 14
OneVue Limited 6/11/2013 $60.60 10
OneVue Limited 6/11/2013 $66.66 11
OneVue Limited 6/11/2013 $96.96 16
OneVue Limited 6/11/2013 $375.72 62
OneVue Limited 6/11/2013 $260.58 43
OneVue Limited 6/11/2013 $54.54 9
OneVue Limited 6/11/2013 $321.18 53
OneVue Limited 6/11/2013 $121.20 20
OneVue Limited 6/11/2013 $78.78 13
OneVue Limited 6/11/2013 $48.48 8
OneVue Limited 6/11/2013 $242.40 40
OneVue Limited 6/11/2013 $133.32 22
OneVue Limited 6/11/2013 $78.78 13
OneVue Limited 6/11/2013 $54.54 9
OneVue Limited 6/11/2013 $254.52 42
OneVue Limited 6/11/2013 $230.28 38
OneVue Limited 6/11/2013 $30.30 5
OneVue Limited 6/11/2013 $54.54 9
OneVue Limited 6/11/2013 $266.64 44
OneVue Limited 6/11/2013 $4,738.87 782
OneVue Limited 6/11/2013 $127.26 21
OneVue Limited 6/11/2013 $48.48 8
OneVue Limited 6/11/2013 $145.44 24
OneVue Limited 6/11/2013 $84.84 14
OneVue Limited 6/11/2013 $66.66 11
OneVue Limited 6/11/2013 $36.36 6
OneVue Limited 6/11/2013 $66.66 11
OneVue Limited 6/11/2013 $242.40 40
OneVue Limited 25/11/2013 $2,041.96 328
OneVue Limited 29/11/2013 $6.11 1
OneVue Limited 2/12/2013 $12.17 2
OneVue Limited 4/12/2013 $1,873.71 304
OneVue Limited 4/12/2013 $1,657.99 269
OneVue Limited 5/12/2013 $4,964.96 804
OneVue Limited 6/12/2013 $6.13 1
OneVue Limited 6/12/2013 $3,219.20 523
OneVue Limited 13/12/2013 $61.74 10
OneVue Limited 16/12/2013 $868.67 124
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 16/12/2013 $1,443.11 206
OneVue Limited 16/12/2013 $1,627.15 255
OneVue Limited 16/12/2013 $989.05 155
OneVue Limited 23/12/2013 $5,774.20 960
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $60.63 10
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $6.06 1
OneVue Limited 30/12/2013 $72.96 12
OneVue Limited 30/12/2013 $24.32 4
OneVue Limited 30/12/2013 $12.16 2
OneVue Limited 30/12/2013 $194.56 32
OneVue Limited 30/12/2013 $109.44 18
OneVue Limited 30/12/2013 $206.72 34
OneVue Limited 30/12/2013 $24.32 4
OneVue Limited 30/12/2013 $12.16 2
OneVue Limited 30/12/2013 $12.16 2
OneVue Limited 30/12/2013 $30.40 5
OneVue Limited 30/12/2013 $12.16 2
OneVue Limited 30/12/2013 $24.32 4
OneVue Limited 30/12/2013 $48.64 8
OneVue Limited 30/12/2013 $6.08 1
OneVue Limited 30/12/2013 $12.16 2
OneVue Limited 30/12/2013 $24.32 4
OneVue Limited 30/12/2013 $54.72 9
OneVue Limited 30/12/2013 $36.48 6
OneVue Limited 30/12/2013 $30.40 5
OneVue Limited 30/12/2013 $36.48 6
OneVue Limited 30/12/2013 $6.08 1
OneVue Limited 30/12/2013 $42.56 7
OneVue Limited 30/12/2013 $18.24 3
OneVue Limited 30/12/2013 $12.16 2
OneVue Limited 30/12/2013 $18.24 3
OneVue Limited 30/12/2013 $42.56 7
OneVue Limited 30/12/2013 $18.24 3
OneVue Limited 30/12/2013 $12.16 2
OneVue Limited 30/12/2013 $12.16 2
OneVue Limited 30/12/2013 $72.96 12
OneVue Limited 30/12/2013 $12.16 2
OneVue Limited 30/12/2013 $6.08 1
OneVue Limited 30/12/2013 $48.64 8
OneVue Limited 30/12/2013 $30.40 5
OneVue Limited 30/12/2013 $18.24 3
OneVue Limited 30/12/2013 $24.32 4
OneVue Limited 30/12/2013 $85.12 14
OneVue Limited 30/12/2013 $6.08 1
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 30/12/2013 $12.16 2
OneVue Limited 30/12/2013 $24.32 4
OneVue Limited 30/12/2013 $12.16 2
OneVue Limited 30/12/2013 $30.40 5
OneVue Limited 30/12/2013 $30.40 5
OneVue Limited 30/12/2013 $18.24 3
OneVue Limited 30/12/2013 $12.16 2
OneVue Limited 30/12/2013 $42.56 7
OneVue Limited 30/12/2013 $79.04 13
OneVue Limited 30/12/2013 $60.80 10
OneVue Limited 30/12/2013 $36.48 6
OneVue Limited 30/12/2013 $30.40 5
OneVue Limited 30/12/2013 $18.24 3
OneVue Limited 30/12/2013 $48.64 8
OneVue Limited 30/12/2013 $60.80 10
OneVue Limited 30/12/2013 $30.40 5
OneVue Limited 30/12/2013 $24.32 4
OneVue Limited 30/12/2013 $24.32 4
OneVue Limited 30/12/2013 $18.24 3
OneVue Limited 30/12/2013 $24.32 4
OneVue Limited 30/12/2013 $12.16 2
OneVue Limited 30/12/2013 $24.32 4
OneVue Limited 30/12/2013 $18.24 3
OneVue Limited 30/12/2013 $115.52 19
OneVue Limited 30/12/2013 $18.24 3
OneVue Limited 30/12/2013 $24.32 4
OneVue Limited 30/12/2013 $12.16 2
OneVue Limited 30/12/2013 $85.12 14
OneVue Limited 30/12/2013 $48.64 8
OneVue Limited 30/12/2013 $30.40 5
OneVue Limited 30/12/2013 $12.16 2
OneVue Limited 30/12/2013 $66.88 11
OneVue Limited 30/12/2013 $79.04 13
OneVue Limited 30/12/2013 $6.08 1
OneVue Limited 30/12/2013 $24.32 4
OneVue Limited 30/12/2013 $91.20 15
OneVue Limited 30/12/2013 $1,665.92 274
OneVue Limited 30/12/2013 $48.64 8
OneVue Limited 30/12/2013 $18.24 3
OneVue Limited 30/12/2013 $48.64 8
OneVue Limited 30/12/2013 $30.40 5
OneVue Limited 30/12/2013 $42.56 7
OneVue Limited 6/01/2014 $72.09 12
OneVue Limited 6/01/2014 $156.19 26
OneVue Limited 6/01/2014 $180.22 30
OneVue Limited 6/01/2014 $42.05 7
OneVue Limited 6/01/2014 $228.28 38
OneVue Limited 6/01/2014 $84.10 14
OneVue Limited 6/01/2014 $54.07 9
OneVue Limited 6/01/2014 $36.04 6
OneVue Limited 6/01/2014 $174.21 29
OneVue Limited 6/01/2014 $90.11 15
OneVue Limited 6/01/2014 $54.07 9
OneVue Limited 6/01/2014 $36.04 6
OneVue Limited 6/01/2014 $312.38 52
OneVue Limited 6/01/2014 $162.20 27
OneVue Limited 6/01/2014 $24.03 4
OneVue Limited 6/01/2014 $36.04 6
OneVue Limited 6/01/2014 $192.23 32
OneVue Limited 6/01/2014 $3,400.11 566
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 6/01/2014 $90.11 15
OneVue Limited 6/01/2014 $30.04 5
OneVue Limited 6/01/2014 $102.12 17
OneVue Limited 6/01/2014 $60.07 10
OneVue Limited 6/01/2014 $54.07 9
OneVue Limited 6/01/2014 $24.03 4
OneVue Limited 6/01/2014 $48.06 8
OneVue Limited 6/01/2014 $30.04 5
OneVue Limited 6/01/2014 $162.20 27
OneVue Limited 6/01/2014 $78.09 13
OneVue Limited 6/01/2014 $54.07 9
OneVue Limited 6/01/2014 $30.04 5
OneVue Limited 6/01/2014 $90.11 15
OneVue Limited 6/01/2014 $132.16 22
OneVue Limited 6/01/2014 $60.07 10
OneVue Limited 6/01/2014 $48.06 8
OneVue Limited 6/01/2014 $42.05 7
OneVue Limited 6/01/2014 $60.07 10
OneVue Limited 6/01/2014 $72.09 12
OneVue Limited 6/01/2014 $48.06 8
OneVue Limited 6/01/2014 $174.21 29
OneVue Limited 6/01/2014 $150.18 25
OneVue Limited 6/01/2014 $54.07 9
OneVue Limited 6/01/2014 $108.13 18
OneVue Limited 6/01/2014 $102.12 17
OneVue Limited 6/01/2014 $222.27 37
OneVue Limited 6/01/2014 $420.51 70
OneVue Limited 6/01/2014 $54.07 9
OneVue Limited 6/01/2014 $36.04 6
OneVue Limited 6/01/2014 $24.03 4
OneVue Limited 6/01/2014 $60.07 10
OneVue Limited 6/01/2014 $30.04 5
OneVue Limited 6/01/2014 $48.06 8
OneVue Limited 6/01/2014 $108.13 18
OneVue Limited 6/01/2014 $18.02 3
OneVue Limited 6/01/2014 $36.04 6
OneVue Limited 6/01/2014 $18.02 3
OneVue Limited 6/01/2014 $36.04 6
OneVue Limited 6/01/2014 $282.34 47
OneVue Limited 6/01/2014 $72.09 12
OneVue Limited 6/01/2014 $54.07 9
OneVue Limited 6/01/2014 $60.07 10
OneVue Limited 6/01/2014 $18.02 3
OneVue Limited 6/01/2014 $84.10 14
OneVue Limited 6/01/2014 $30.04 5
OneVue Limited 6/01/2014 $24.03 4
OneVue Limited 6/01/2014 $96.12 16
OneVue Limited 6/01/2014 $84.10 14
OneVue Limited 6/01/2014 $36.04 6
OneVue Limited 6/01/2014 $18.02 3
OneVue Limited 6/01/2014 $30.04 5
OneVue Limited 6/01/2014 $144.17 24
OneVue Limited 6/01/2014 $18.02 3
OneVue Limited 6/01/2014 $30.04 5
OneVue Limited 6/01/2014 $102.12 17
OneVue Limited 6/01/2014 $66.08 11
OneVue Limited 6/01/2014 $42.05 7
OneVue Limited 6/01/2014 $48.06 8
OneVue Limited 6/01/2014 $174.21 29
OneVue Limited 6/01/2014 $18.02 3
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
OneVue Limited 6/01/2014 $30.04 5
OneVue Limited 6/01/2014 $48.06 8
OneVue Limited 6/01/2014 $24.03 4
OneVue Limited 6/01/2014 $54.07 9
OneVue Limited 6/01/2014 $66.08 11
OneVue Limited 6/01/2014 $24.03 4
OneVue Limited 6/01/2014 $12.01 2
OneVue Limited 6/01/2014 $72.09 12
OneVue Limited 7/01/2014 $984.14 162
OneVue Limited 23/01/2014 $194.99 32
OneVue Limited 23/01/2014 $7,765.92 1,271
OneVue Limited 30/01/2014 $197.11 33
OneVue Limited 31/01/2014 $247.36 41
OneVue Limited 31/01/2014 $6.03 1
OneVue Limited 31/01/2014 $24.16 4
OneVue Limited 31/01/2014 $1,564.32 259
OneVue Limited 12/02/2014 $2,071.50 339
National Australia Bank Limited No consideration directly
referable to the securities
provided by NAB - Securities
Lending Increase
(refer Appendix 1)
175,748,946
National Australia Bank Limited No consideration directly
referable to the securities
provided by NAB - Securities
Lending Increase
(refer Appendix 1)
133,383,946
National Australia Bank Limited 3/10/2013 No consideration directly
referable to the securities
provided by NAB - Stock
Borrow(refer Appendix 2)
275,000
National Australia Bank Limited 18/12/2013 No consideration directly
referable to the securities
provided by NAB - Stock
Borrow(refer Appendix 2)
400,000
National Australia Bank Limited 20/01/2014 No consideration directly
referable to the securities
provided by NAB - Stock
Borrow(refer Appendix 2)
212,974
National Australia Bank Limited 5/02/2014 No consideration directly
referable to the securities
provided by NAB - Stock
Borrow(refer Appendix 2)
26,000
MLC Wealth Management
Limited
8/01/2013 $19,987.50 3,650
MLC Wealth Management
Limited
10/01/2013 $5,017.90 910
MLC Wealth Management
Limited
11/01/2013 $25,091.08 4,583
MLC Wealth Management
Limited
15/01/2013 $9,334.48 1,650
MLC Wealth Management
Limited
18/01/2013 $23,142.00 4,000
MLC Wealth Management
Limited
31/01/2013 $9,654.68 1,664
MLC Wealth Management
Limited
1/02/2013 $5,014.46 863
MLC Wealth Management
Limited
1/02/2013 $20,018.90 3,430
MLC Wealth Management
Limited
4/02/2013 $20,018.90 3,430
MLC Wealth Management
Limited
7/02/2013 $12,017.36 2,054
MLC Wealth Management
Limited
12/02/2013 $30,425.21 5,273
MLC Wealth Management
Limited
13/02/2013 $10,519.12 1,824
MLC Wealth Management
Limited
13/02/2013 $7,319.34 1,268
MLC Wealth Management
Limited
19/02/2013 $15,006.28 2,568
MLC Wealth Management
Limited
21/02/2013 $9,964.58 1,658
MLC Wealth Management
Limited
25/02/2013 $6,122.00 1,000
MLC Wealth Management
Limited
26/02/2013 $3,216.40 528
MLC Wealth Management
Limited
28/02/2013 $6,016.01 986
MLC Wealth Management
Limited
1/03/2013 $5,018.60 830
MLC Wealth Management
Limited
5/03/2013 $15,021.36 2,467
MLC Wealth Management
Limited
7/03/2013 $42,377.58 6,993
MLC Wealth Management
Limited
8/03/2013 $19,757.68 3,246
MLC Wealth Management
Limited
15/03/2013 $5,013.12 851
MLC Wealth Management
Limited
18/03/2013 $49,938.91 8,500
MLC Wealth Management
Limited
18/03/2013 $4,688.00 800
MLC Wealth Management
Limited
20/03/2013 $19,962.35 3,450
MLC Wealth Management
Limited
22/03/2013 $5,831.98 1,000
MLC Wealth Management
Limited
22/03/2013 $5,822.00 1,000
MLC Wealth Management
Limited
22/03/2013 $5,842.00 1,000
MLC Wealth Management
Limited
11/04/2013 $10,029.25 1,650
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
MLC Wealth Management
Limited
18/04/2013 $12,017.03 1,907
MLC Wealth Management
Limited
22/04/2013 $13,213.14 2,094
MLC Wealth Management
Limited
3/05/2013 $605.36 94
MLC Wealth Management
Limited
3/05/2013 $605.36 94
MLC Wealth Management
Limited
9/05/2013 $40,034.94 5,988
MLC Wealth Management
Limited
23/05/2013 $20,016.68 2,949
MLC Wealth Management
Limited
4/06/2013 $3,002.00 475
MLC Wealth Management
Limited
6/06/2013 $6,016.88 986
MLC Wealth Management
Limited
6/06/2013 $7,342.30 1,190
MLC Wealth Management
Limited
11/06/2013 $5,020.88 796
MLC Wealth Management
Limited
12/06/2013 $5,933.40 957
MLC Wealth Management
Limited
2/07/2013 $5,017.38 825
MLC Wealth Management
Limited
10/07/2013 $5,015.89 814
MLC Wealth Management
Limited
12/07/2013 $10,016.90 1,574
MLC Wealth Management
Limited
17/07/2013 $30,101.47 5,000
MLC Wealth Management
Limited
22/07/2013 $5,017.66 834
MLC Wealth Management
Limited
22/07/2013 $5,021.28 836
MLC Wealth Management
Limited
26/07/2013 $10,020.56 1,672
MLC Wealth Management
Limited
26/07/2013 $14,021.18 2,341
MLC Wealth Management
Limited
29/07/2013 $41,616.59 7,000
MLC Wealth Management
Limited
29/07/2013 $5,016.48 838
MLC Wealth Management
Limited
31/07/2013 $3,017.84 496
MLC Wealth Management
Limited
31/07/2013 $6,019.98 998
MLC Wealth Management
Limited
5/08/2013 $9,930.80 1,628
MLC Wealth Management
Limited
6/08/2013 $4,019.89 663
MLC Wealth Management
Limited
6/08/2013 $10,068.00 1,678
MLC Wealth Management
Limited
7/08/2013 $10,020.56 1,672
MLC Wealth Management
Limited
9/08/2013 $14,964.25 2,515
MLC Wealth Management
Limited
12/08/2013 $1,067.40 180
MLC Wealth Management
Limited
15/08/2013 $5,020.00 840
MLC Wealth Management
Limited
21/08/2013 $5,958.24 1,000
MLC Wealth Management
Limited
27/08/2013 $1,018.60 165
MLC Wealth Management
Limited
30/08/2013 $17,799.65 3,000
MLC Wealth Management
Limited
3/09/2013 $3,017.05 487
MLC Wealth Management
Limited
4/09/2013 $20,050.69 3,273
MLC Wealth Management
Limited
5/09/2013 $4,517.15 743
MLC Wealth Management
Limited
9/09/2013 $34,999.88 5,804
MLC Wealth Management
Limited
12/09/2013 $25,211.97 4,300
MLC Wealth Management
Limited
13/09/2013 $9,833.20 1,680
MLC Wealth Management
Limited
17/09/2013 $14,807.89 2,534
MLC Wealth Management
Limited
18/09/2013 $10,052.00 1,700
MLC Wealth Management
Limited
20/09/2013 $10,018.00 1,700
MLC Wealth Management
Limited
25/09/2013 $6,069.50 1,025
MLC Wealth Management
Limited
26/09/2013 $5,015.07 847
MLC Wealth Management
Limited
2/10/2013 $5,922.00 1,000
MLC Wealth Management
Limited
2/10/2013 $10,046.24 1,697
MLC Wealth Management
Limited
4/10/2013 $8,022.40 1,356
MLC Wealth Management
Limited
15/10/2013 $10,008.54 1,677
MLC Wealth Management
Limited
16/10/2013 $6,020.65 1,015
MLC Wealth Management
Limited
17/10/2013 $7,639.72 1,276
MLC Wealth Management
Limited
17/10/2013 $16,938.60 2,830
MLC Wealth Management
Limited
18/10/2013 $29,525.96 5,000
MLC Wealth Management
Limited
23/10/2013 $5,016.78 843
MLC Wealth Management
Limited
23/10/2013 $5,972.00 1,000
MLC Wealth Management
Limited
23/10/2013 $6,019.60 1,008
MLC Wealth Management
Limited
24/10/2013 $6,032.00 1,000
MLC Wealth Management
Limited
25/10/2013 $6,039.76 1,008
MLC Wealth Management
Limited
29/10/2013 $5,025.20 848
MLC Wealth Management
Limited
5/11/2013 $7,371.53 1,234
MLC Wealth Management
Limited
7/11/2013 $6,131.07 1,000
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
MLC Wealth Management
Limited
20/11/2013 $8,021.20 1,320
MLC Wealth Management
Limited
22/11/2013 $12,107.92 1,962
MLC Wealth Management
Limited
22/11/2013 $2,315.38 372
MLC Wealth Management
Limited
22/11/2013 $10,017.92 1,628
MLC Wealth Management
Limited
26/11/2013 $20,251.00 3,300
MLC Wealth Management
Limited
9/12/2013 $12,220.00 2,000
MLC Wealth Management
Limited
12/12/2013 $3,971.88 649
MLC Wealth Management
Limited
12/12/2013 $3,880.08 634
MLC Wealth Management
Limited
12/12/2013 $7,448.04 1,217
MLC Wealth Management
Limited
12/12/2013 $1,113.84 182
MLC Wealth Management
Limited
12/12/2013 $3,292.56 538
MLC Wealth Management
Limited
13/12/2013 $10,021.78 1,642
MLC Wealth Management
Limited
16/12/2013 $45,038.05 7,154
MLC Wealth Management
Limited
16/12/2013 $23,074.08 3,628
MLC Wealth Management
Limited
16/12/2013 $5,227.92 822
MLC Wealth Management
Limited
17/12/2013 $3,018.35 490
MLC Wealth Management
Limited
19/12/2013 $12,013.43 1,957
MLC Wealth Management
Limited
19/12/2013 $10,815.00 1,750
MLC Wealth Management
Limited
23/12/2013 $6,012.00 1,000
MLC Wealth Management
Limited
23/12/2013 $13,416.12 2,225
MLC Wealth Management
Limited
23/12/2013 $18,000.00 3,000
MLC Wealth Management
Limited
9/01/2014 $16,757.60 2,780
MLC Wealth Management
Limited
14/01/2014 $1,564.36 259
MLC Wealth Management
Limited
14/01/2014 $1,310.68 217
MLC Wealth Management
Limited
14/01/2014 $2,126.08 352
MLC Wealth Management
Limited
14/01/2014 $2,875.04 476
MLC Wealth Management
Limited
14/01/2014 $2,101.92 348
MLC Wealth Management
Limited
15/01/2014 $13,019.18 2,159
MLC Wealth Management
Limited
20/01/2014 $24,302.00 4,000
MLC Wealth Management
Limited
23/01/2014 $23,661.80 3,865
MLC Wealth Management
Limited
30/01/2014 $8,216.52 1,374
MLC Wealth Management
Limited
4/02/2014 $5,028.40 840
MLC Wealth Management
Limited
5/02/2014 $6,032.00 1,000
MLC Wealth Management
Limited
6/02/2014 $7,018.00 1,166
MLC Wealth Management
Limited
25/11/2013 $6,332.37 1,023
MLC Wealth Management
Limited
25/11/2013 $74.28 12
MLC Wealth Management
Limited
25/11/2013 $74.28 12
MLC Wealth Management
Limited
25/11/2013 $9,996.85 1,615
MLC Wealth Management
Limited
25/11/2013 $3,553.06 574
MLC Wealth Management
Limited
28/06/2013 $5,012.67 827
Antares Capital Partners
Limited
5/02/2013 $5.84 1
Antares Capital Partners
Limited
5/02/2013 $5.96 1
Antares Capital Partners
Limited
5/02/2013 $5.94 1
Antares Capital Partners
Limited
5/02/2013 $5.94 1
Antares Capital Partners
Limited
5/02/2013 $5.94 1
Antares Capital Partners
Limited
5/02/2013 $5.94 1
Antares Capital Partners
Limited
5/02/2013 $6.14 1
Antares Capital Partners
Limited
5/02/2013 $6.13 1
Antares Capital Partners
Limited
5/02/2013 $6.05 1
Antares Capital Partners
Limited
5/02/2013 $11.88 2
Antares Capital Partners
Limited
5/02/2013 $11.88 2
Antares Capital Partners
Limited
5/02/2013 $12.25 2
Antares Capital Partners
Limited
5/02/2013 $12.25 2
Antares Capital Partners
Limited
5/02/2013 $12.35 2
Antares Capital Partners
Limited
5/02/2013 $12.35 2
Antares Capital Partners
Limited
5/02/2013 $12.35 2
Antares Capital Partners
Limited
5/02/2013 $17.88 3
Antares Capital Partners
Limited
5/02/2013 $17.82 3
Antares Capital Partners
Limited
5/02/2013 $17.82 3
Antares Capital Partners
Limited
5/02/2013 $17.82 3
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
Antares Capital Partners
Limited
5/02/2013 $18.38 3
Antares Capital Partners
Limited
5/02/2013 $24.50 4
Antares Capital Partners
Limited
5/02/2013 $24.70 4
Antares Capital Partners
Limited
5/02/2013 $31.38 5
Antares Capital Partners
Limited
5/02/2013 $31.38 5
Antares Capital Partners
Limited
5/02/2013 $30.75 5
Antares Capital Partners
Limited
5/02/2013 $30.63 5
Antares Capital Partners
Limited
5/02/2013 $30.88 5
Antares Capital Partners
Limited
5/02/2013 $29.20 5
Antares Capital Partners
Limited
5/02/2013 $37.32 6
Antares Capital Partners
Limited
5/02/2013 $37.32 6
Antares Capital Partners
Limited
5/02/2013 $35.73 6
Antares Capital Partners
Limited
5/02/2013 $35.73 6
Antares Capital Partners
Limited
5/02/2013 $36.15 6
Antares Capital Partners
Limited
5/02/2013 $40.88 7
Antares Capital Partners
Limited
5/02/2013 $43.54 7
Antares Capital Partners
Limited
5/02/2013 $41.86 7
Antares Capital Partners
Limited
5/02/2013 $42.88 7
Antares Capital Partners
Limited
5/02/2013 $42.88 7
Antares Capital Partners
Limited
5/02/2013 $42.88 7
Antares Capital Partners
Limited
5/02/2013 $47.84 8
Antares Capital Partners
Limited
5/02/2013 $49.00 8
Antares Capital Partners
Limited
5/02/2013 $52.56 9
Antares Capital Partners
Limited
5/02/2013 $55.62 9
Antares Capital Partners
Limited
5/02/2013 $53.37 9
Antares Capital Partners
Limited
5/02/2013 $53.01 9
Antares Capital Partners
Limited
5/02/2013 $53.46 9
Antares Capital Partners
Limited
5/02/2013 $55.22 9
Antares Capital Partners
Limited
5/02/2013 $55.62 9
Antares Capital Partners
Limited
5/02/2013 $59.40 10
Antares Capital Partners
Limited
5/02/2013 $64.34 10
Antares Capital Partners
Limited
5/02/2013 $64.24 11
Antares Capital Partners
Limited
5/02/2013 $69.03 11
Antares Capital Partners
Limited
5/02/2013 $74.58 11
Antares Capital Partners
Limited
5/02/2013 $73.81 11
Antares Capital Partners
Limited
5/02/2013 $65.12 11
Antares Capital Partners
Limited
5/02/2013 $65.51 11
Antares Capital Partners
Limited
5/02/2013 $65.34 11
Antares Capital Partners
Limited
5/02/2013 $66.50 11
Antares Capital Partners
Limited
5/02/2013 $67.21 11
Antares Capital Partners
Limited
5/02/2013 $67.21 11
Antares Capital Partners
Limited
5/02/2013 $67.98 11
Antares Capital Partners
Limited
5/02/2013 $72.48 12
Antares Capital Partners
Limited
5/02/2013 $71.04 12
Antares Capital Partners
Limited
5/02/2013 $71.46 12
Antares Capital Partners
Limited
5/02/2013 $71.46 12
Antares Capital Partners
Limited
5/02/2013 $71.76 12
Antares Capital Partners
Limited
5/02/2013 $70.68 12
Antares Capital Partners
Limited
5/02/2013 $73.32 12
Antares Capital Partners
Limited
5/02/2013 $73.32 12
Antares Capital Partners
Limited
5/02/2013 $74.16 12
Antares Capital Partners
Limited
5/02/2013 $74.75 13
Antares Capital Partners
Limited
5/02/2013 $80.86 13
Antares Capital Partners
Limited
5/02/2013 $77.42 13
Antares Capital Partners
Limited
5/02/2013 $94.92 14
Antares Capital Partners
Limited
5/02/2013 $83.44 14
Antares Capital Partners
Limited
5/02/2013 $83.02 14
Antares Capital Partners
Limited
5/02/2013 $83.16 14
Antares Capital Partners
Limited
5/02/2013 $83.16 14
Antares Capital Partners
Limited
5/02/2013 $86.52 14
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
Antares Capital Partners
Limited
5/02/2013 $86.94 15
Antares Capital Partners
Limited
5/02/2013 $97.28 15
Antares Capital Partners
Limited
5/02/2013 $88.95 15
Antares Capital Partners
Limited
5/02/2013 $88.80 15
Antares Capital Partners
Limited
5/02/2013 $89.85 15
Antares Capital Partners
Limited
5/02/2013 $90.23 15
Antares Capital Partners
Limited
5/02/2013 $91.88 15
Antares Capital Partners
Limited
5/02/2013 $91.95 15
Antares Capital Partners
Limited
5/02/2013 $92.74 16
Antares Capital Partners
Limited
5/02/2013 $99.52 16
Antares Capital Partners
Limited
5/02/2013 $94.88 16
Antares Capital Partners
Limited
5/02/2013 $98.00 16
Antares Capital Partners
Limited
5/02/2013 $103.28 17
Antares Capital Partners
Limited
5/02/2013 $105.06 17
Antares Capital Partners
Limited
5/02/2013 $104.33 18
Antares Capital Partners
Limited
5/02/2013 $104.33 18
Antares Capital Partners
Limited
5/02/2013 $114.11 18
Antares Capital Partners
Limited
5/02/2013 $112.95 18
Antares Capital Partners
Limited
5/02/2013 $112.95 18
Antares Capital Partners
Limited
5/02/2013 $112.95 18
Antares Capital Partners
Limited
5/02/2013 $122.04 18
Antares Capital Partners
Limited
5/02/2013 $106.74 18
Antares Capital Partners
Limited
5/02/2013 $112.67 19
Antares Capital Partners
Limited
5/02/2013 $112.67 19
Antares Capital Partners
Limited
5/02/2013 $112.67 19
Antares Capital Partners
Limited
5/02/2013 $113.15 19
Antares Capital Partners
Limited
5/02/2013 $119.80 20
Antares Capital Partners
Limited
5/02/2013 $124.40 20
Antares Capital Partners
Limited
5/02/2013 $118.80 20
Antares Capital Partners
Limited
5/02/2013 $119.40 20
Antares Capital Partners
Limited
5/02/2013 $120.90 20
Antares Capital Partners
Limited
5/02/2013 $126.84 21
Antares Capital Partners
Limited
5/02/2013 $125.16 21
Antares Capital Partners
Limited
5/02/2013 $128.48 22
Antares Capital Partners
Limited
5/02/2013 $130.46 22
Antares Capital Partners
Limited
5/02/2013 $131.01 22
Antares Capital Partners
Limited
5/02/2013 $134.75 22
Antares Capital Partners
Limited
5/02/2013 $127.77 22
Antares Capital Partners
Limited
21/01/2014 $127.51 22
Antares Capital Partners
Limited
5/02/2013 $144.33 23
Antares Capital Partners
Limited
5/02/2013 $136.62 23
Antares Capital Partners
Limited
5/02/2013 $142.60 23
Antares Capital Partners
Limited
5/02/2013 $142.14 23
Antares Capital Partners
Limited
5/02/2013 $162.72 24
Antares Capital Partners
Limited
5/02/2013 $147.59 24
Antares Capital Partners
Limited
5/04/2013 $161.04 24
Antares Capital Partners
Limited
11/09/2013 $147.59 24
Antares Capital Partners
Limited
11/09/2013 $144.90 25
Antares Capital Partners
Limited
11/09/2013 $151.00 25
Antares Capital Partners
Limited
11/09/2013 $148.25 25
Antares Capital Partners
Limited
11/09/2013 $151.38 25
Antares Capital Partners
Limited
11/09/2013 $150.70 26
Antares Capital Partners
Limited
11/09/2013 $150.70 26
Antares Capital Partners
Limited
11/09/2013 $149.50 26
Antares Capital Partners
Limited
11/09/2013 $161.72 26
Antares Capital Partners
Limited
11/09/2013 $154.96 26
Antares Capital Partners
Limited
11/09/2013 $159.70 26
Antares Capital Partners
Limited
11/09/2013 $169.43 27
Antares Capital Partners
Limited
11/09/2013 $169.43 27
Antares Capital Partners
Limited
11/09/2013 $167.94 27
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
Antares Capital Partners
Limited
11/09/2013 $165.78 27
Antares Capital Partners
Limited
11/09/2013 $162.29 28
Antares Capital Partners
Limited
11/09/2013 $189.84 28
Antares Capital Partners
Limited
11/09/2013 $166.32 28
Antares Capital Partners
Limited
11/09/2013 $166.60 28
Antares Capital Partners
Limited
11/09/2013 $169.26 28
Antares Capital Partners
Limited
11/09/2013 $168.84 28
Antares Capital Partners
Limited
11/09/2013 $168.09 29
Antares Capital Partners
Limited
11/09/2013 $187.92 29
Antares Capital Partners
Limited
11/09/2013 $194.30 29
Antares Capital Partners
Limited
11/09/2013 $171.97 29
Antares Capital Partners
Limited
11/09/2013 $171.97 29
Antares Capital Partners
Limited
11/09/2013 $179.51 29
Antares Capital Partners
Limited
11/09/2013 $177.19 29
Antares Capital Partners
Limited
11/09/2013 $180.60 30
Antares Capital Partners
Limited
11/09/2013 $177.45 30
Antares Capital Partners
Limited
11/09/2013 $178.65 30
Antares Capital Partners
Limited
11/09/2013 $208.01 31
Antares Capital Partners
Limited
11/09/2013 $185.47 32
Antares Capital Partners
Limited
11/09/2013 $184.00 32
Antares Capital Partners
Limited
11/09/2013 $189.76 32
Antares Capital Partners
Limited
11/09/2013 $193.44 32
Antares Capital Partners
Limited
11/09/2013 $213.35 34
Antares Capital Partners
Limited
11/09/2013 $211.48 34
Antares Capital Partners
Limited
11/09/2013 $205.53 34
Antares Capital Partners
Limited
11/09/2013 $202.86 35
Antares Capital Partners
Limited
11/09/2013 $202.86 35
Antares Capital Partners
Limited
11/09/2013 $211.58 35
Antares Capital Partners
Limited
11/09/2013 $211.58 35
Antares Capital Partners
Limited
11/09/2013 $214.38 35
Antares Capital Partners
Limited
11/09/2013 $217.00 35
Antares Capital Partners
Limited
11/09/2013 $213.85 35
Antares Capital Partners
Limited
11/09/2013 $216.30 35
Antares Capital Partners
Limited
11/09/2013 $216.30 35
Antares Capital Partners
Limited
11/09/2013 $208.66 36
Antares Capital Partners
Limited
11/09/2013 $218.16 36
Antares Capital Partners
Limited
11/09/2013 $232.18 37
Antares Capital Partners
Limited
11/09/2013 $232.18 37
Antares Capital Partners
Limited
11/09/2013 $248.27 37
Antares Capital Partners
Limited
11/09/2013 $219.41 37
Antares Capital Partners
Limited
11/09/2013 $224.04 37
Antares Capital Partners
Limited
11/09/2013 $221.92 38
Antares Capital Partners
Limited
11/09/2013 $226.05 39
Antares Capital Partners
Limited
11/09/2013 $244.73 39
Antares Capital Partners
Limited
11/09/2013 $232.25 39
Antares Capital Partners
Limited
11/09/2013 $231.66 39
Antares Capital Partners
Limited
11/09/2013 $241.80 39
Antares Capital Partners
Limited
11/09/2013 $239.85 39
Antares Capital Partners
Limited
11/09/2013 $237.64 41
Antares Capital Partners
Limited
11/09/2013 $277.98 41
Antares Capital Partners
Limited
11/09/2013 $255.02 41
Antares Capital Partners
Limited
11/09/2013 $244.77 41
Antares Capital Partners
Limited
11/09/2013 $251.13 41
Antares Capital Partners
Limited
11/09/2013 $249.48 42
Antares Capital Partners
Limited
11/09/2013 $278.64 43
Antares Capital Partners
Limited
11/09/2013 $256.93 43
Antares Capital Partners
Limited
11/09/2013 $254.56 43
Antares Capital Partners
Limited
11/09/2013 $262.02 44
Antares Capital Partners
Limited
11/09/2013 $261.36 44
Antares Capital Partners
Limited
11/09/2013 $261.29 44
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
Antares Capital Partners
Limited
11/09/2013 $282.60 45
Antares Capital Partners
Limited
11/09/2013 $279.00 45
Antares Capital Partners
Limited
11/09/2013 $269.10 46
Antares Capital Partners
Limited
11/09/2013 $281.75 46
Antares Capital Partners
Limited
11/09/2013 $272.42 47
Antares Capital Partners
Limited
11/09/2013 $281.22 47
Antares Capital Partners
Limited
11/09/2013 $278.24 47
Antares Capital Partners
Limited
11/09/2013 $284.12 47
Antares Capital Partners
Limited
11/09/2013 $274.47 47
Antares Capital Partners
Limited
11/09/2013 $280.32 48
Antares Capital Partners
Limited
11/09/2013 $276.00 48
Antares Capital Partners
Limited
11/09/2013 $295.18 48
Antares Capital Partners
Limited
11/09/2013 $290.57 49
Antares Capital Partners
Limited
11/09/2013 $320.95 50
Antares Capital Partners
Limited
11/09/2013 $294.50 50
Antares Capital Partners
Limited
11/09/2013 $302.43 51
Antares Capital Partners
Limited
11/09/2013 $303.71 51
Antares Capital Partners
Limited
11/09/2013 $303.71 51
Antares Capital Partners
Limited
11/09/2013 $312.38 51
Antares Capital Partners
Limited
11/09/2013 $301.40 52
Antares Capital Partners
Limited
11/09/2013 $321.98 53
Antares Capital Partners
Limited
11/09/2013 $323.83 53
Antares Capital Partners
Limited
11/09/2013 $328.35 55
Antares Capital Partners
Limited
11/09/2013 $332.64 56
Antares Capital Partners
Limited
11/09/2013 $332.64 56
Antares Capital Partners
Limited
11/09/2013 $346.08 56
Antares Capital Partners
Limited
11/09/2013 $337.44 57
Antares Capital Partners
Limited
11/09/2013 $374.95 58
Antares Capital Partners
Limited
11/09/2013 $350.61 58
Antares Capital Partners
Limited
11/09/2013 $352.64 58
Antares Capital Partners
Limited
11/09/2013 $358.15 58
Antares Capital Partners
Limited
11/09/2013 $358.15 58
Antares Capital Partners
Limited
11/09/2013 $359.02 58
Antares Capital Partners
Limited
11/09/2013 $358.44 58
Antares Capital Partners
Limited
11/09/2013 $358.44 58
Antares Capital Partners
Limited
11/09/2013 $358.44 58
Antares Capital Partners
Limited
11/09/2013 $370.23 59
Antares Capital Partners
Limited
11/09/2013 $380.55 59
Antares Capital Partners
Limited
11/09/2013 $361.67 59
Antares Capital Partners
Limited
11/09/2013 $360.49 59
Antares Capital Partners
Limited
11/09/2013 $352.82 59
Antares Capital Partners
Limited
11/09/2013 $364.62 59
Antares Capital Partners
Limited
11/09/2013 $364.62 59
Antares Capital Partners
Limited
11/09/2013 $388.80 60
Antares Capital Partners
Limited
11/09/2013 $368.97 60
Antares Capital Partners
Limited
11/09/2013 $357.30 60
Antares Capital Partners
Limited
11/09/2013 $357.00 60
Antares Capital Partners
Limited
11/09/2013 $368.40 60
Antares Capital Partners
Limited
11/09/2013 $359.37 61
Antares Capital Partners
Limited
11/09/2013 $359.37 61
Antares Capital Partners
Limited
11/09/2013 $363.26 61
Antares Capital Partners
Limited
11/09/2013 $360.82 61
Antares Capital Partners
Limited
11/09/2013 $366.00 61
Antares Capital Partners
Limited
11/09/2013 $360.11 61
Antares Capital Partners
Limited
11/09/2013 $379.75 62
Antares Capital Partners
Limited
11/09/2013 $379.75 62
Antares Capital Partners
Limited
11/09/2013 $380.37 62
Antares Capital Partners
Limited
11/09/2013 $380.37 62
Antares Capital Partners
Limited
11/09/2013 $380.37 62
Antares Capital Partners
Limited
11/09/2013 $386.40 62
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
Antares Capital Partners
Limited
11/09/2013 $389.05 62
Antares Capital Partners
Limited
11/09/2013 $389.05 62
Antares Capital Partners
Limited
11/09/2013 $416.02 62
Antares Capital Partners
Limited
11/09/2013 $384.40 62
Antares Capital Partners
Limited
11/09/2013 $389.96 62
Antares Capital Partners
Limited
11/09/2013 $367.04 62
Antares Capital Partners
Limited
11/09/2013 $371.38 62
Antares Capital Partners
Limited
11/09/2013 $365.18 62
Antares Capital Partners
Limited
11/09/2013 $384.40 62
Antares Capital Partners
Limited
11/09/2013 $346.19 63
Antares Capital Partners
Limited
11/09/2013 $365.15 63
Antares Capital Partners
Limited
11/09/2013 $378.63 63
Antares Capital Partners
Limited
11/09/2013 $376.95 63
Antares Capital Partners
Limited
11/09/2013 $376.95 63
Antares Capital Partners
Limited
11/09/2013 $379.26 63
Antares Capital Partners
Limited
11/09/2013 $383.67 63
Antares Capital Partners
Limited
11/09/2013 $383.67 63
Antares Capital Partners
Limited
11/09/2013 $371.70 63
Antares Capital Partners
Limited
11/09/2013 $371.07 63
Antares Capital Partners
Limited
11/09/2013 $386.19 63
Antares Capital Partners
Limited
11/09/2013 $370.95 64
Antares Capital Partners
Limited
11/09/2013 $370.95 64
Antares Capital Partners
Limited
11/09/2013 $386.56 64
Antares Capital Partners
Limited
11/09/2013 $387.20 64
Antares Capital Partners
Limited
11/09/2013 $368.00 64
Antares Capital Partners
Limited
11/09/2013 $394.88 65
Antares Capital Partners
Limited
11/09/2013 $403.00 65
Antares Capital Partners
Limited
11/09/2013 $388.38 65
Antares Capital Partners
Limited
11/09/2013 $391.95 65
Antares Capital Partners
Limited
11/09/2013 $434.28 66
Antares Capital Partners
Limited
11/09/2013 $409.20 66
Antares Capital Partners
Limited
11/09/2013 $402.60 66
Antares Capital Partners
Limited
11/09/2013 $407.55 66
Antares Capital Partners
Limited
11/09/2013 $401.28 66
Antares Capital Partners
Limited
11/09/2013 $405.69 67
Antares Capital Partners
Limited
11/09/2013 $416.84 68
Antares Capital Partners
Limited
11/09/2013 $409.86 69
Antares Capital Partners
Limited
11/09/2013 $415.73 69
Antares Capital Partners
Limited
11/09/2013 $424.35 69
Antares Capital Partners
Limited
11/09/2013 $405.73 70
Antares Capital Partners
Limited
11/09/2013 $408.80 70
Antares Capital Partners
Limited
11/09/2013 $424.55 70
Antares Capital Partners
Limited
11/09/2013 $432.39 71
Antares Capital Partners
Limited
11/09/2013 $443.40 71
Antares Capital Partners
Limited
11/09/2013 $440.20 71
Antares Capital Partners
Limited
11/09/2013 $425.90 73
Antares Capital Partners
Limited
11/09/2013 $471.92 73
Antares Capital Partners
Limited
11/09/2013 $448.39 73
Antares Capital Partners
Limited
11/09/2013 $436.60 74
Antares Capital Partners
Limited
11/09/2013 $436.23 74
Antares Capital Partners
Limited
11/09/2013 $470.63 75
Antares Capital Partners
Limited
11/09/2013 $442.50 75
Antares Capital Partners
Limited
11/09/2013 $458.17 76
Antares Capital Partners
Limited
11/09/2013 $452.58 76
Antares Capital Partners
Limited
11/09/2013 $451.44 76
Antares Capital Partners
Limited
11/09/2013 $484.31 77
Antares Capital Partners
Limited
11/09/2013 $484.31 77
Antares Capital Partners
Limited
11/09/2013 $458.54 77
Antares Capital Partners
Limited
11/09/2013 $468.47 79
Antares Capital Partners
Limited
11/09/2013 $496.40 80
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
Antares Capital Partners
Limited
11/09/2013 $492.08 81
Antares Capital Partners
Limited
11/09/2013 $479.52 81
Antares Capital Partners
Limited
11/09/2013 $487.08 82
Antares Capital Partners
Limited
11/09/2013 $506.60 85
Antares Capital Partners
Limited
11/09/2013 $502.24 86
Antares Capital Partners
Limited
11/09/2013 $513.42 86
Antares Capital Partners
Limited
11/09/2013 $521.59 86
Antares Capital Partners
Limited
11/09/2013 $515.04 87
Antares Capital Partners
Limited
11/09/2013 $537.66 87
Antares Capital Partners
Limited
11/09/2013 $537.66 87
Antares Capital Partners
Limited
11/09/2013 $527.56 88
Antares Capital Partners
Limited
11/09/2013 $539.44 88
Antares Capital Partners
Limited
11/09/2013 $513.89 88
Antares Capital Partners
Limited
11/09/2013 $574.05 89
Antares Capital Partners
Limited
11/09/2013 $603.42 89
Antares Capital Partners
Limited
11/09/2013 $557.10 90
Antares Capital Partners
Limited
11/09/2013 $568.30 91
Antares Capital Partners
Limited
11/09/2013 $562.38 91
Antares Capital Partners
Limited
11/09/2013 $579.67 91
Antares Capital Partners
Limited
11/09/2013 $548.28 91
Antares Capital Partners
Limited
11/09/2013 $529.85 92
Antares Capital Partners
Limited
11/09/2013 $558.90 92
Antares Capital Partners
Limited
11/09/2013 $550.56 93
Antares Capital Partners
Limited
11/09/2013 $575.75 94
Antares Capital Partners
Limited
11/09/2013 $572.46 94
Antares Capital Partners
Limited
11/09/2013 $552.00 96
Antares Capital Partners
Limited
11/09/2013 $595.68 96
Antares Capital Partners
Limited
11/09/2013 $574.08 96
Antares Capital Partners
Limited
11/09/2013 $571.68 96
Antares Capital Partners
Limited
11/09/2013 $586.85 97
Antares Capital Partners
Limited
11/09/2013 $598.78 98
Antares Capital Partners
Limited
11/09/2013 $586.00 100
Antares Capital Partners
Limited
11/09/2013 $611.00 100
Antares Capital Partners
Limited
11/09/2013 $597.92 101
Antares Capital Partners
Limited
11/09/2013 $597.92 101
Antares Capital Partners
Limited
11/09/2013 $611.56 101
Antares Capital Partners
Limited
11/09/2013 $630.36 102
Antares Capital Partners
Limited
11/09/2013 $632.40 102
Antares Capital Partners
Limited
11/09/2013 $595.65 102
Antares Capital Partners
Limited
11/09/2013 $617.45 106
Antares Capital Partners
Limited
11/09/2013 $631.76 106
Antares Capital Partners
Limited
11/09/2013 $642.60 108
Antares Capital Partners
Limited
11/09/2013 $649.10 109
Antares Capital Partners
Limited
11/09/2013 $673.75 110
Antares Capital Partners
Limited
11/09/2013 $654.35 111
Antares Capital Partners
Limited
11/09/2013 $654.35 111
Antares Capital Partners
Limited
11/09/2013 $688.56 114
Antares Capital Partners
Limited
11/09/2013 $723.84 116
Antares Capital Partners
Limited
11/09/2013 $728.65 118
Antares Capital Partners
Limited
11/09/2013 $806.82 119
Antares Capital Partners
Limited
11/09/2013 $715.72 121
Antares Capital Partners
Limited
11/09/2013 $716.32 121
Antares Capital Partners
Limited
11/09/2013 $718.74 122
Antares Capital Partners
Limited
11/09/2013 $738.10 122
Antares Capital Partners
Limited
11/09/2013 $727.55 123
Antares Capital Partners
Limited
11/09/2013 $714.86 124
Antares Capital Partners
Limited
11/09/2013 $714.86 124
Antares Capital Partners
Limited
11/09/2013 $724.94 125
Antares Capital Partners
Limited
11/09/2013 $724.94 125
Antares Capital Partners
Limited
11/09/2013 $765.63 125
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
Antares Capital Partners
Limited
11/09/2013 $765.63 125
Antares Capital Partners
Limited
11/09/2013 $762.50 125
Antares Capital Partners
Limited
11/09/2013 $794.64 129
Antares Capital Partners
Limited
11/09/2013 $774.80 130
Antares Capital Partners
Limited
11/09/2013 $783.25 130
Antares Capital Partners
Limited
11/09/2013 $818.39 132
Antares Capital Partners
Limited
11/09/2013 $818.39 132
Antares Capital Partners
Limited
11/09/2013 $824.59 133
Antares Capital Partners
Limited
11/09/2013 $778.05 133
Antares Capital Partners
Limited
11/09/2013 $889.09 134
Antares Capital Partners
Limited
11/09/2013 $889.09 134
Antares Capital Partners
Limited
11/09/2013 $799.20 135
Antares Capital Partners
Limited
11/09/2013 $811.92 136
Antares Capital Partners
Limited
11/09/2013 $812.87 141
Antares Capital Partners
Limited
11/09/2013 $866.06 141
Antares Capital Partners
Limited
11/09/2013 $858.39 142
Antares Capital Partners
Limited
11/09/2013 $858.39 142
Antares Capital Partners
Limited
11/09/2013 $883.74 143
Antares Capital Partners
Limited
11/09/2013 $882.72 144
Antares Capital Partners
Limited
11/09/2013 $939.60 145
Antares Capital Partners
Limited
11/09/2013 $885.95 145
Antares Capital Partners
Limited
11/09/2013 $883.05 145
Antares Capital Partners
Limited
11/09/2013 $887.68 146
Antares Capital Partners
Limited
11/09/2013 $892.06 146
Antares Capital Partners
Limited
11/09/2013 $892.06 146
Antares Capital Partners
Limited
11/09/2013 $967.92 148
Antares Capital Partners
Limited
11/09/2013 $965.52 149
Antares Capital Partners
Limited
11/09/2013 $917.84 149
Antares Capital Partners
Limited
11/09/2013 $883.70 150
Antares Capital Partners
Limited
11/09/2013 $913.50 150
Antares Capital Partners
Limited
11/09/2013 $886.50 150
Antares Capital Partners
Limited
11/09/2013 $960.84 153
Antares Capital Partners
Limited
11/09/2013 $905.00 153
Antares Capital Partners
Limited
11/09/2013 $925.54 154
Antares Capital Partners
Limited
11/09/2013 $944.96 154
Antares Capital Partners
Limited
11/09/2013 $899.00 155
Antares Capital Partners
Limited
11/09/2013 $893.58 155
Antares Capital Partners
Limited
11/09/2013 $1,023.64 157
Antares Capital Partners
Limited
11/09/2013 $921.14 158
Antares Capital Partners
Limited
11/09/2013 $965.38 158
Antares Capital Partners
Limited
11/09/2013 $965.38 158
Antares Capital Partners
Limited
11/09/2013 $951.35 159
Antares Capital Partners
Limited
11/09/2013 $1,027.94 159
Antares Capital Partners
Limited
11/09/2013 $979.44 159
Antares Capital Partners
Limited
11/09/2013 $920.00 160
Antares Capital Partners
Limited
11/09/2013 $992.00 160
Antares Capital Partners
Limited
11/09/2013 $1,010.88 162
Antares Capital Partners
Limited
11/09/2013 $889.98 163
Antares Capital Partners
Limited
11/09/2013 $944.76 163
Antares Capital Partners
Limited
11/09/2013 $1,008.97 163
Antares Capital Partners
Limited
11/09/2013 $895.44 164
Antares Capital Partners
Limited
11/09/2013 $979.90 164
Antares Capital Partners
Limited
11/09/2013 $998.66 167
Antares Capital Partners
Limited
11/09/2013 $979.54 169
Antares Capital Partners
Limited
11/09/2013 $1,028.56 172
Antares Capital Partners
Limited
11/09/2013 $1,064.00 175
Antares Capital Partners
Limited
11/09/2013 $1,047.20 176
Antares Capital Partners
Limited
11/09/2013 $1,062.66 178
Antares Capital Partners
Limited
11/09/2013 $1,089.90 180
Antares Capital Partners
Limited
11/09/2013 $1,117.68 181
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
Antares Capital Partners
Limited
11/09/2013 $1,055.91 183
Antares Capital Partners
Limited
11/09/2013 $1,140.80 184
Antares Capital Partners
Limited
11/09/2013 $1,079.73 186
Antares Capital Partners
Limited
11/09/2013 $1,101.12 186
Antares Capital Partners
Limited
11/09/2013 $1,151.34 186
Antares Capital Partners
Limited
11/09/2013 $1,112.96 188
Antares Capital Partners
Limited
11/09/2013 $1,161.85 190
Antares Capital Partners
Limited
11/09/2013 $1,185.16 191
Antares Capital Partners
Limited
11/09/2013 $1,155.55 191
Antares Capital Partners
Limited
11/09/2013 $1,161.60 192
Antares Capital Partners
Limited
11/09/2013 $1,238.86 193
Antares Capital Partners
Limited
11/09/2013 $1,182.13 193
Antares Capital Partners
Limited
11/09/2013 $1,178.55 194
Antares Capital Partners
Limited
11/09/2013 $1,150.42 197
Antares Capital Partners
Limited
11/09/2013 $1,196.96 201
Antares Capital Partners
Limited
11/09/2013 $1,218.06 201
Antares Capital Partners
Limited
11/09/2013 $1,249.50 204
Antares Capital Partners
Limited
11/09/2013 $1,252.55 205
Antares Capital Partners
Limited
11/09/2013 $1,219.52 206
Antares Capital Partners
Limited
11/09/2013 $1,243.84 208
Antares Capital Partners
Limited
11/09/2013 $1,395.08 209
Antares Capital Partners
Limited
11/09/2013 $1,316.34 213
Antares Capital Partners
Limited
11/09/2013 $1,323.00 216
Antares Capital Partners
Limited
11/09/2013 $1,414.14 222
Antares Capital Partners
Limited
11/09/2013 $1,313.47 223
Antares Capital Partners
Limited
11/09/2013 $1,303.65 224
Antares Capital Partners
Limited
11/09/2013 $1,405.13 225
Antares Capital Partners
Limited
11/09/2013 $1,444.14 226
Antares Capital Partners
Limited
11/09/2013 $1,324.68 228
Antares Capital Partners
Limited
11/09/2013 $1,444.40 230
Antares Capital Partners
Limited
11/09/2013 $1,357.78 230
Antares Capital Partners
Limited
11/09/2013 $1,381.56 232
Antares Capital Partners
Limited
11/09/2013 $1,404.76 232
Antares Capital Partners
Limited
11/09/2013 $1,403.60 232
Antares Capital Partners
Limited
11/09/2013 $1,452.10 233
Antares Capital Partners
Limited
11/09/2013 $1,418.97 233
Antares Capital Partners
Limited
13/03/2013 $1,366.56 234
Antares Capital Partners
Limited
13/03/2013 $1,405.38 236
Antares Capital Partners
Limited
13/03/2013 $1,407.77 238
Antares Capital Partners
Limited
13/03/2013 $1,436.39 239
Antares Capital Partners
Limited
13/03/2013 $1,468.01 239
Antares Capital Partners
Limited
13/03/2013 $1,432.80 240
Antares Capital Partners
Limited
13/03/2013 $1,482.25 242
Antares Capital Partners
Limited
13/03/2013 $1,468.94 243
Antares Capital Partners
Limited
13/03/2013 $1,488.38 245
Antares Capital Partners
Limited
13/03/2013 $1,455.09 246
Antares Capital Partners
Limited
13/03/2013 $1,521.52 247
Antares Capital Partners
Limited
13/03/2013 $1,481.80 248
Antares Capital Partners
Limited
13/03/2013 $1,573.74 252
Antares Capital Partners
Limited
13/03/2013 $1,564.16 256
Antares Capital Partners
Limited
13/03/2013 $1,577.98 257
Antares Capital Partners
Limited
13/03/2013 $1,617.46 259
Antares Capital Partners
Limited
13/03/2013 $1,612.98 261
Antares Capital Partners
Limited
13/03/2013 $1,714.76 263
Antares Capital Partners
Limited
13/03/2013 $1,556.44 268
Antares Capital Partners
Limited
13/03/2013 $1,585.76 269
Antares Capital Partners
Limited
13/03/2013 $1,609.34 273
Antares Capital Partners
Limited
13/03/2013 $1,855.65 278
Antares Capital Partners
Limited
13/03/2013 $1,707.56 278
Antares Capital Partners
Limited
13/03/2013 $1,678.98 281
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
Antares Capital Partners
Limited
13/03/2013 $1,646.88 282
Antares Capital Partners
Limited
13/03/2013 $1,681.02 283
Antares Capital Partners
Limited
13/03/2013 $1,840.32 284
Antares Capital Partners
Limited
13/03/2013 $1,786.07 286
Antares Capital Partners
Limited
13/03/2013 $1,751.34 289
Antares Capital Partners
Limited
13/03/2013 $1,754.50 290
Antares Capital Partners
Limited
13/03/2013 $1,738.73 291
Antares Capital Partners
Limited
13/03/2013 $1,790.23 293
Antares Capital Partners
Limited
13/03/2013 $1,749.30 294
Antares Capital Partners
Limited
13/03/2013 $1,749.30 294
Antares Capital Partners
Limited
13/03/2013 $1,927.53 297
Antares Capital Partners
Limited
13/03/2013 $1,776.06 297
Antares Capital Partners
Limited
13/03/2013 $1,832.55 298
Antares Capital Partners
Limited
13/03/2013 $2,027.22 299
Antares Capital Partners
Limited
13/03/2013 $1,802.99 301
Antares Capital Partners
Limited
13/03/2013 $1,775.58 303
Antares Capital Partners
Limited
13/03/2013 $1,842.24 303
Antares Capital Partners
Limited
13/03/2013 $1,869.45 304
Antares Capital Partners
Limited
13/03/2013 $1,774.80 306
Antares Capital Partners
Limited
13/03/2013 $1,926.43 307
Antares Capital Partners
Limited
13/03/2013 $1,866.36 309
Antares Capital Partners
Limited
13/03/2013 $1,829.28 309
Antares Capital Partners
Limited
13/03/2013 $1,803.64 311
Antares Capital Partners
Limited
13/03/2013 $1,803.64 311
Antares Capital Partners
Limited
13/03/2013 $1,827.92 313
Antares Capital Partners
Limited
13/03/2013 $1,959.30 315
Antares Capital Partners
Limited
13/03/2013 $1,835.96 316
Antares Capital Partners
Limited
13/03/2013 $1,835.96 316
Antares Capital Partners
Limited
13/03/2013 $1,842.28 316
Antares Capital Partners
Limited
13/03/2013 $1,894.42 316
Antares Capital Partners
Limited
13/03/2013 $1,924.44 316
Antares Capital Partners
Limited
13/03/2013 $1,993.85 317
Antares Capital Partners
Limited
13/03/2013 $1,831.78 318
Antares Capital Partners
Limited
13/03/2013 $1,865.60 320
Antares Capital Partners
Limited
13/03/2013 $1,856.00 320
Antares Capital Partners
Limited
13/03/2013 $2,044.80 320
Antares Capital Partners
Limited
13/03/2013 $1,957.76 322
Antares Capital Partners
Limited
13/03/2013 $1,851.50 322
Antares Capital Partners
Limited
13/03/2013 $2,010.89 322
Antares Capital Partners
Limited
13/03/2013 $2,002.60 323
Antares Capital Partners
Limited
13/03/2013 $1,976.40 324
Antares Capital Partners
Limited
13/03/2013 $1,952.74 326
Antares Capital Partners
Limited
13/03/2013 $1,952.74 326
Antares Capital Partners
Limited
13/03/2013 $1,893.28 326
Antares Capital Partners
Limited
13/03/2013 $2,012.69 327
Antares Capital Partners
Limited
13/03/2013 $2,067.10 331
Antares Capital Partners
Limited
13/03/2013 $2,014.38 342
Antares Capital Partners
Limited
13/03/2013 $2,003.02 343
Antares Capital Partners
Limited
13/03/2013 $2,027.59 343
Antares Capital Partners
Limited
13/03/2013 $2,127.90 346
Antares Capital Partners
Limited
13/03/2013 $2,061.70 355
Antares Capital Partners
Limited
13/03/2013 $1,504.03 358
Antares Capital Partners
Limited
13/03/2013 $2,210.31 369
Antares Capital Partners
Limited
13/03/2013 $2,200.38 372
Antares Capital Partners
Limited
13/03/2013 $2,227.17 374
Antares Capital Partners
Limited
13/03/2013 $2,273.92 374
Antares Capital Partners
Limited
13/03/2013 $2,278.56 376
Antares Capital Partners
Limited
13/03/2013 $2,309.58 378
Antares Capital Partners
Limited
13/03/2013 $2,263.14 381
Antares Capital Partners
Limited
13/03/2013 $2,603.52 384
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
Antares Capital Partners
Limited
13/03/2013 $2,284.62 387
Antares Capital Partners
Limited
13/03/2013 $2,377.07 387
Antares Capital Partners
Limited
13/03/2013 $2,353.82 391
Antares Capital Partners
Limited
13/03/2013 $2,486.18 401
Antares Capital Partners
Limited
13/03/2013 $2,523.50 412
Antares Capital Partners
Limited
13/03/2013 $2,527.20 416
Antares Capital Partners
Limited
13/03/2013 $2,427.58 418
Antares Capital Partners
Limited
13/03/2013 $2,537.05 419
Antares Capital Partners
Limited
13/03/2013 $2,507.06 421
Antares Capital Partners
Limited
13/03/2013 $2,708.55 421
Antares Capital Partners
Limited
13/03/2013 $2,694.51 423
Antares Capital Partners
Limited
13/03/2013 $2,772.88 431
Antares Capital Partners
Limited
13/03/2013 $2,655.95 439
Antares Capital Partners
Limited
13/03/2013 $2,623.95 441
Antares Capital Partners
Limited
13/03/2013 $2,483.62 451
Antares Capital Partners
Limited
13/03/2013 $2,708.55 463
Antares Capital Partners
Limited
13/03/2013 $2,752.97 467
Antares Capital Partners
Limited
13/03/2013 $2,792.66 467
Antares Capital Partners
Limited
13/03/2013 $2,905.62 474
Antares Capital Partners
Limited
13/03/2013 $2,896.46 476
Antares Capital Partners
Limited
13/03/2013 $2,910.05 481
Antares Capital Partners
Limited
13/03/2013 $2,790.26 484
Antares Capital Partners
Limited
13/03/2013 $3,045.44 496
Antares Capital Partners
Limited
13/03/2013 $2,931.99 509
Antares Capital Partners
Limited
13/03/2013 $3,082.86 519
Antares Capital Partners
Limited
13/03/2013 $3,744.18 558
Antares Capital Partners
Limited
13/03/2013 $3,385.28 568
Antares Capital Partners
Limited
13/03/2013 $3,340.80 576
Antares Capital Partners
Limited
13/03/2013 $3,508.74 579
Antares Capital Partners
Limited
13/03/2013 $3,474.90 585
Antares Capital Partners
Limited
13/03/2013 $3,428.10 586
Antares Capital Partners
Limited
13/03/2013 $3,862.46 587
Antares Capital Partners
Limited
13/03/2013 $3,504.60 590
Antares Capital Partners
Limited
13/03/2013 $3,800.64 592
Antares Capital Partners
Limited
13/03/2013 $3,593.94 602
Antares Capital Partners
Limited
13/03/2013 $3,720.45 605
Antares Capital Partners
Limited
13/03/2013 $3,599.60 611
Antares Capital Partners
Limited
13/03/2013 $3,855.92 614
Antares Capital Partners
Limited
13/03/2013 $3,578.12 617
Antares Capital Partners
Limited
13/03/2013 $3,698.06 621
Antares Capital Partners
Limited
13/03/2013 $3,737.50 625
Antares Capital Partners
Limited
13/03/2013 $3,629.33 629
Antares Capital Partners
Limited
13/03/2013 $3,657.00 636
Antares Capital Partners
Limited
13/03/2013 $3,982.59 646
Antares Capital Partners
Limited
13/03/2013 $4,378.53 654
Antares Capital Partners
Limited
13/03/2013 $3,955.25 682
Antares Capital Partners
Limited
13/03/2013 $4,274.24 703
Antares Capital Partners
Limited
13/03/2013 $4,542.12 706
Antares Capital Partners
Limited
13/03/2013 $4,683.66 728
Antares Capital Partners
Limited
13/03/2013 $4,345.28 734
Antares Capital Partners
Limited
13/03/2013 $4,345.28 734
Antares Capital Partners
Limited
13/03/2013 $4,340.70 742
Antares Capital Partners
Limited
13/03/2013 $4,490.92 746
Antares Capital Partners
Limited
13/03/2013 $4,492.25 755
Antares Capital Partners
Limited
13/03/2013 $4,583.43 762
Antares Capital Partners
Limited
13/03/2013 $4,724.64 779
Antares Capital Partners
Limited
13/03/2013 $4,826.58 781
Antares Capital Partners
Limited
13/03/2013 $4,666.62 813
Antares Capital Partners
Limited
13/03/2013 $4,471.74 819
Antares Capital Partners
Limited
13/03/2013 $4,770.01 821
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
Antares Capital Partners
Limited
13/03/2013 $4,773.85 822
Antares Capital Partners
Limited
13/03/2013 $5,034.24 828
Antares Capital Partners
Limited
13/03/2013 $5,040.74 846
Antares Capital Partners
Limited
13/03/2013 $4,943.84 848
Antares Capital Partners
Limited
13/03/2013 $5,003.68 859
Antares Capital Partners
Limited
13/03/2013 $5,088.27 860
Antares Capital Partners
Limited
13/03/2013 $5,320.91 877
Antares Capital Partners
Limited
13/03/2013 $5,338.24 878
Antares Capital Partners
Limited
13/03/2013 $5,357.88 902
Antares Capital Partners
Limited
13/03/2013 $5,564.92 906
Antares Capital Partners
Limited
13/03/2013 $5,408.55 915
Antares Capital Partners
Limited
13/03/2013 $5,673.44 944
Antares Capital Partners
Limited
13/03/2013 $5,594.70 946
Antares Capital Partners
Limited
13/03/2013 $5,914.80 954
Antares Capital Partners
Limited
13/03/2013 $6,156.96 1,016
Antares Capital Partners
Limited
13/03/2013 $6,034.05 1,035
Antares Capital Partners
Limited
13/03/2013 $6,408.66 1,037
Antares Capital Partners
Limited
13/03/2013 $6,307.00 1,060
Antares Capital Partners
Limited
13/03/2013 $6,357.40 1,064
Antares Capital Partners
Limited
13/03/2013 $6,301.90 1,066
Antares Capital Partners
Limited
13/03/2013 $6,038.76 1,106
Antares Capital Partners
Limited
13/03/2013 $6,450.86 1,118
Antares Capital Partners
Limited
13/03/2013 $7,103.16 1,166
Antares Capital Partners
Limited
13/03/2013 $6,895.37 1,166
Antares Capital Partners
Limited
13/03/2013 $6,815.00 1,175
Antares Capital Partners
Limited
13/03/2013 $7,265.49 1,194
Antares Capital Partners
Limited
13/03/2013 $7,042.24 1,215
Antares Capital Partners
Limited
13/03/2013 $7,524.03 1,273
Antares Capital Partners
Limited
13/03/2013 $7,866.44 1,282
Antares Capital Partners
Limited
13/03/2013 $7,511.72 1,296
Antares Capital Partners
Limited
13/03/2013 $7,737.57 1,341
Antares Capital Partners
Limited
13/03/2013 $8,045.28 1,359
Antares Capital Partners
Limited
13/03/2013 $8,280.02 1,401
Antares Capital Partners
Limited
13/03/2013 $8,403.33 1,439
Antares Capital Partners
Limited
13/03/2013 $8,362.94 1,440
Antares Capital Partners
Limited
13/03/2013 $8,524.53 1,444
Antares Capital Partners
Limited
13/03/2013 $8,820.00 1,470
Antares Capital Partners
Limited
13/03/2013 $8,759.60 1,549
Antares Capital Partners
Limited
13/03/2013 $9,671.70 1,565
Antares Capital Partners
Limited
13/03/2013 $9,011.80 1,570
Antares Capital Partners
Limited
13/03/2013 $9,241.40 1,610
Antares Capital Partners
Limited
13/03/2013 $9,459.67 1,622
Antares Capital Partners
Limited
13/03/2013 $10,242.50 1,733
Antares Capital Partners
Limited
13/03/2013 $11,088.66 1,902
Antares Capital Partners
Limited
13/03/2013 $12,511.48 1,916
Antares Capital Partners
Limited
13/03/2013 $11,679.92 2,019
Antares Capital Partners
Limited
13/03/2013 $12,786.68 2,117
Antares Capital Partners
Limited
13/03/2013 $12,549.52 2,149
Antares Capital Partners
Limited
13/03/2013 $13,649.47 2,309
Antares Capital Partners
Limited
13/03/2013 $15,220.62 2,478
Antares Capital Partners
Limited
13/03/2013 $15,589.68 2,637
Antares Capital Partners
Limited
13/03/2013 $16,495.10 2,791
Antares Capital Partners
Limited
13/03/2013 $16,507.68 2,793
Antares Capital Partners
Limited
13/03/2013 $16,859.21 2,887
Antares Capital Partners
Limited
13/03/2013 $17,818.81 2,925
Antares Capital Partners
Limited
13/03/2013 $16,167.68 2,972
Antares Capital Partners
Limited
13/03/2013 $18,218.49 2,994
Antares Capital Partners
Limited
13/03/2013 $18,579.60 3,120
Antares Capital Partners
Limited
13/03/2013 $18,257.69 3,162
Antares Capital Partners
Limited
13/03/2013 $18,760.49 3,229
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
Antares Capital Partners
Limited
13/03/2013 $20,254.08 3,288
Antares Capital Partners
Limited
13/03/2013 $19,250.92 3,342
Antares Capital Partners
Limited
13/03/2013 $21,364.26 3,457
Antares Capital Partners
Limited
13/03/2013 $20,851.19 3,481
Antares Capital Partners
Limited
13/03/2013 $20,646.16 3,493
Antares Capital Partners
Limited
13/03/2013 $22,850.23 3,746
Antares Capital Partners
Limited
13/03/2013 $23,500.27 3,862
Antares Capital Partners
Limited
13/03/2013 $25,673.58 3,999
Antares Capital Partners
Limited
13/03/2013 $24,362.22 4,151
Antares Capital Partners
Limited
13/03/2013 $26,559.31 4,324
Antares Capital Partners
Limited
13/03/2013 $26,938.62 4,359
Antares Capital Partners
Limited
13/03/2013 $31,431.12 4,942
Antares Capital Partners
Limited
13/03/2013 $28,758.93 4,967
Antares Capital Partners
Limited
31/01/2014 $30,414.93 5,142
Antares Capital Partners
Limited
26/11/2013 $30,563.69 5,297
Antares Capital Partners
Limited
13/11/2013 $34,670.65 5,827
Antares Capital Partners
Limited
26/09/2013 $40,686.09 6,324
Antares Capital Partners
Limited
26/09/2013 $37,633.75 6,325
Antares Capital Partners
Limited
26/09/2013 $37,348.68 6,431
Antares Capital Partners
Limited
26/09/2013 $40,479.76 6,508
Antares Capital Partners
Limited
5/04/2013 $37,912.01 6,528
Antares Capital Partners
Limited
25/03/2013 $42,680.50 6,634
Antares Capital Partners
Limited
18/12/2013 $40,455.74 6,689
Antares Capital Partners
Limited
18/12/2013 $44,677.99 7,334
Antares Capital Partners
Limited
18/12/2013 $51,689.52 8,364
Antares Capital Partners
Limited
26/11/2013 $51,918.31 8,473
Antares Capital Partners
Limited
26/11/2013 $57,647.65 9,463
Antares Capital Partners
Limited
26/09/2013 $63,634.74 9,891
Antares Capital Partners
Limited
26/09/2013 $58,778.72 10,121
Antares Capital Partners
Limited
26/11/2013 $64,896.00 10,140
Antares Capital Partners
Limited
26/09/2013 $63,222.69 10,293
Antares Capital Partners
Limited
26/09/2013 $70,647.63 11,669
Antares Capital Partners
Limited
26/09/2013 $73,146.40 12,376
Antares Capital Partners
Limited
4/07/2013 $80,645.18 12,535
Antares Capital Partners
Limited
18/12/2013 $81,298.16 12,668
Antares Capital Partners
Limited
26/11/2013 $83,707.26 13,628
Antares Capital Partners
Limited
18/12/2013 $82,832.67 14,015
Antares Capital Partners
Limited
26/11/2013 $94,971.04 16,263
Antares Capital Partners
Limited
21/06/2013 $96,293.28 16,574
Antares Capital Partners
Limited
24/04/2013 $111,198.34 17,284
Antares Capital Partners
Limited
24/04/2013 $127,969.20 20,808
Antares Capital Partners
Limited
5/02/2014 $120,141.08 20,860
Antares Capital Partners
Limited
26/08/2013 $152,176.19 26,518
Antares Capital Partners
Limited
26/06/2013 $160,994.26 27,240
Antares Capital Partners
Limited
26/06/2013 $169,822.31 27,648
Antares Capital Partners
Limited
26/11/2013 $161,375.78 27,787
Antares Capital Partners
Limited
26/11/2013 $170,853.78 29,419
Antares Capital Partners
Limited
2/09/2013 $199,427.17 33,744
Antares Capital Partners
Limited
26/06/2013 $235,373.61 38,397
Antares Capital Partners
Limited
26/08/2013 $241,707.26 38,612
Antares Capital Partners
Limited
22/03/2013 $236,598.37 38,622
Antares Capital Partners
Limited
26/11/2013 $241,209.08 41,804
Antares Capital Partners
Limited
2/09/2013 $244,993.36 42,538
Antares Capital Partners
Limited
24/01/2014 $262,077.89 44,647
Antares Capital Partners
Limited
26/11/2013 $276,595.92 45,600
Antares Capital Partners
Limited
13/11/2013 $328,565.99 55,594
Antares Capital Partners
Limited
1/11/2013 $1,261,030.66 215,941
Antares Capital Partners
Limited
22/03/2013 $1,432,825.00 250,000
Antares Capital Partners
Limited
8/07/2013 $1,545,125.00 250,000
Antares Capital Partners
Limited
24/07/2013 $1,530,000.00 250,000
Holder of relevant interest Date of acquisition Consideration Class and number of
securities
Cash Noncash Fully paid ordinary shares
Antares Capital Partners
Limited
20/09/2013 $1,483,400.00 250,000
Antares Capital Partners
Limited
26/09/2013 $1,628,820.63 267,678
Antares Capital Partners
Limited
27/12/2013 $1,972,073.92 342,725
Antares Capital Partners
Limited
27/12/2013 $3,994,909.63 655,774
Antares Capital Partners
Limited
24/10/2013 $9,895,315.21 1,838,048
Antares Capital Partners
Limited
26/09/2013 $14,673,344.60 2,529,887

APPENDIX 1 – APA

Type of agreement and National Australia Bank Limited and parties to agreement Securities Borrowing Agreement clients UNISUPER LIMITED VICSUPER PTY LTD UNITED SUPER PTY LTD MOTOR TRADES ASSOCIATION OF AUSTRALIA SUPERANNUATION FUND PTY LIMITED CARE SUPER PTY LTD TELSTRA SUPER PTY LTD QIC LIMITED AMSLA Counterparties DEUTSCHE SECURITIES AUSTRALIA LIMITED MORGAN STANLEY AUSTRALIA SECURITIES LIMITED UBS SECURITIES AUSTRALIA LTD MACQUARIE BANK LTD CREDIT SUISSE CREDIT SUISSE EQUITIES (AUSTRALIA) LTD INSTINET AUSTRALIA PTY LTD MERRILL LYNCH EQUITIES (AUSTRALIA) LTD JP MORGAN SECURITIES AUSTRALIA LIMITED

JP MORGAN SECURITIES AUSTRALIA LIMITED
Transfer dates 7 January 2013 to 14 February 2014
Holder of voting rights Registered owner
Are there any restrictions No
on voting
Scheduled date of return N/A
(if any)
Does the borrower have Yes – at notice
the right to return early?
Does the lender have the Yes – at notice
right to recall early?
Will the securities be Yes, or equivalent protection under Securities Borrowing Agreement /AMSLA
returned on settlement?
National Australia Bank Limited will, if required by the company or responsible entity to whom the
prescribed form must be given or ASIC, give a copy of the agreements to the company, responsible
entity or ASIC.

APPENDIX 2 – APA

Type of agreement and
parties to agreement
National Australia Bank Limited and
Securities Borrowing Agreement clients
AMSLA Counterparties
Citigroup Global Markets Australia Pty Limited
Morgan Stanley International Limited
Transfer dates 07 January 2013 to 14 February 2014
Holder of voting rights Registered owner
Are there any restrictions
on voting
No
Scheduled date of return
(if any)
N/A
Does the borrower have
the right to return early?
Yes – at notice
Does the lender have the
right to recall early?
Yes – at notice
Will the securities be
returned on settlement?
Yes, or equivalent protection under Securities Borrowing Agreement /AMSLA

National Australia Bank Limited will, if required by the company or responsible entity to whom the prescribed form must be given or ASIC, give a copy of the agreements to the company, responsible entity or ASIC.

This is Annexure A of 12 pages referred to in the Form 603 Notice of becoming a substantial holder signed by me and dated 19/02/2014

Fiona Last, Company Secretary

W M POOL - EQUITIES TRUST NO.25

WM POOL - EQUITIES TRUST NO. 13

WM POOL - EQUITIES TRUST NO.24

1-6 HIGHBANKS RESIDENTIAL MANAGEMENT COMPANY LIMITED

11 TUDOR HILL RESIDENTIAL MANAGEMENT COMPANY LIMITED

26-28 CENTRAL ROAD RESIDENTIAL MANAGEMENT COMPANY LIMITED ACCESS FUND NO 1

ACCESS FUND NO 10 ACCESS FUND NO 11 ACCESS FUND NO 12 ACCESS FUND NO 13 ACCESS FUND NO 14 ACCESS FUND NO 15 ACCESS FUND NO 16 ACCESS FUND NO 17 ACCESS FUND NO 18 ACCESS FUND NO 19 ACCESS FUND NO 2 ACCESS FUND NO 20 ACCESS FUND NO 21 ACCESS FUND NO 22 ACCESS FUND NO 23 ACCESS FUND NO 24 ACCESS FUND NO 25 ACCESS FUND NO 26 ACCESS FUND NO 27 ACCESS FUND NO 28 ACCESS FUND NO 29 ACCESS FUND NO 3 ACCESS FUND NO 30 ACCESS FUND NO 31 ACCESS FUND NO 32 ACCESS FUND NO 4 ACCESS FUND NO 5 ACCESS FUND NO 6 ACCESS FUND NO 7 ACCESS FUND NO 8 ACCESS FUND NO 9 ADVANTEDGE FINANCIAL SERVICES HOLDINGS PTY LTD ADVANTEDGE FINANCIAL SERVICES PTY LTD

ADVANTEDGE FINANCIAL SOLUTIONS PTY LTD AF&L DRAGON LEASING PTY LTD

AF&L VISTA PTY LTD

AFSH NOMINEES PTY LTD

ALICE CORPORATION PTY LTD ALTERNATIVE ASSETS AIRPORTS TRUST ALTERNATIVE ASSETS BRISBANE AIRPORTS TRUST ALTERNATIVE ASSETS INFRASTRUCTURE TRUST

ALTERNATIVE EQUITY - INFRASTRUCTURE (APTC) TRUST ALTERNATIVE EQUITY - INFRASTRUCTURE (RAIL) TRUST ALTERNATIVE EQUITY BACL TRUST ANCHORAGE HOME LOANS PTY LTD ANGARA COMPANY LIMITED ANTARES CAPITAL PARTNERS LTD ANTARES INDEX ENHANCED AUSTRALIAN FIXED INTEREST TRUST APOGEE FINANCIAL PLANNING LIMITED ARDB LIMITED ARIODANTE LIMITED (IN LIQUIDATION) ASIBOND PTY. LIMITED ATM ACCESS AUSTRALIA LIMITED AUSMAQ (NZ) LIMITED AUSMAQ LIMITED AUSTRALIAN COMPANY NUMBER 094 484 625 LIMITED AUSTRALIAN PAYMENTS CLEARING ASSOCIATION LIMITED AUSTRALIAN SHARES INDEX FUND BANK OF NEW ZEALAND BASTION INFRASTRUCTURE GROUP INC. BLSSA PTY LTD BNZ AGRICAPITAL LIMITED BNZ BRANCH PROPERTIES LTD BNZ CASH PIE UNIT TRUST BNZ CORPORATION LTD BNZ EQUIPMENT LTD BNZ EQUITY INVESTMENTS LIMITED BNZ EQUITY INVESTMENTS NO.2 LIMITED BNZ FACILITIES MANAGEMENT LIMITED BNZ FUNDING LTD BNZ INCOME MANAGEMENT LIMITED BNZ INCOME SECURITIES 2 LIMITED BNZ INCOME SECURITIES LIMITED BNZ INSURANCE SERVICES LIMITED BNZ INTERNATIONAL FUNDING LTD BNZ INTERNATIONAL LTD BNZ INVESTMENT SERVICES LIMITED BNZ INVESTMENTS LTD BNZ LIFE INSURANCE LIMITED BNZ PROPERTIES (AUCKLAND) LTD BNZ PROPERTIES LTD BNZ PROPERTY INVESTMENTS LTD

BNZ RMBS TRUST SERIES 2008-1 BNZI SECURITIES NO.1 LTD BNZI SECURITIES NO.2 LTD BRUNSWICK COLLECTION SERVICES LIMITED (IN LIQUIDATION) C.B. NOMINEES LIMITED C.B.C. PROPERTIES LIMITED CALIBRE ASSET MANAGEMENT LIMITED CAMBRIDGE REAL ESTATE INVESTMENTS PTE LTD CAPITA PROPERTIES PTY. LIMITED (IN LIQUIDATION) CARDLINK SERVICES LIMITED CARDS NZ LIMITED CARRINGTON CONFIRMERS PTY. LIMITED (IN LIQUIDATION) CASH ACCOUNT INCOME FUND CASH SERVICES AUSTRALIA PTY LIMITED CBC HOLDINGS LIMITED CGF NO. 9 LIMITED CHOICE LEND PTY LTD CLYDESDALE BANK ASSET FINANCE LIMITED CLYDESDALE BANK INSURANCE BROKERS LIMITED (IN LIQUIDATION) CLYDESDALE BANK PLC

CLYDESDALE EUROPE FINANCE LIMITED (IN LIQUIDATION) CLYDESDALE GROUP INVESTMENTS B.V. (IN LIQUIDATION) CLYDESDALE GROUP INVESTMENTS LIMITED (IN LIQUIDATION) CLYDESDALE INVESTMENTS B.V. (IN LIQUIDATION) CLYDESDALE INVESTMENTS UK LIMITED (IN LIQUIDATION) CNA-CAPITAL INTERNATIONAL - EMERGING MARKETS EQUITY TRUST CRAIG YR HAUL MANAGEMENT COMPANY LIMITED

CRUICKSHANK ASSET MANAGEMENT PTY LTD CUSTOM CREDIT CORPORATION LTD (IN LIQUIDATION) CUSTOM CREDIT HOLDINGS LTD (IN LIQUIDATION) DEESARN PTY LTD (IN LIQUIDATION) DIBA EQUITIES LIMITED DIBA INVESTMENTS LIMITED EFTPOS ACCESS AUSTRALIA LIMITED ELLY INVESTMENTS PTY LTD EQUITY MANAGEMENT UNIT HOLDINGS PTY LTD EUROCLEAR PLC EXPERIAN AUSTRALIA CREDIT SERVICES PTY LTD FAIRHALSEN COLLECTIONS LIMITED (IN LIQUIDATION) FAIRVIEW EQUITY PARTNERS EMERGING COMPANIES FUND FAIRVIEW EQUITY PARTNERS PTY LTD FAIRWAY VIEWS (COMPTON AVENUE) MANAGEMENT COMPANY LTD FASTLEND PTY LTD FINANCE & SYSTEMS TECHNOLOGY HOLDINGS PTY LIMITED FINANCE & SYSTEMS TECHNOLOGY PTY LTD FINANCIAL TECHNOLOGY (AUSTRALIA) PTY LTD FINTRACK MEMBERS PTY LTD FIRST FEDERAL INVESTMENT SERVICES, INC. FIRST IOWA MORTGAGE, INC.

FITS, INC

GODFREY PEMBROKE LIMITED GRACECHURCH COMMERCIAL INVESTMENTS LIMITED GREAT WESTERN BANCORPORATION, INC GREAT WESTERN BANK GREAT WESTERN FINANCIAL SERVICES, INC. GREAT WESTERN SERVICE CORPORATION

GREENOAK HOUSE RESIDENTIAL MANAGEMENT COMPANY LIMITED GUIDESTAR FINANCIAL GROUP LIMITED( IN LIQUIDATION) GW DEVELOPMENT AMERICAS, INC GW LEASING, INC. GWB LLC GWM ADVISER SERVICES LIMITED HAVEN ROAD MANAGEMENT COMPANY LTD HEGIRA LIMITED HICAPS PTY LTD

HORIZON 1 BOND PORTFOLIO

HORIZON 2 INCOME PORTFOLIO

HORIZON 3 CONSERVATIVE GROWTH PORTFOLIO

HORIZON 4 BALANCED PORTFOLIO

HORIZON 5 GROWTH PORTFOLIO HORIZON 6 SHARE PORTFOLIO HORIZON 7 ACCELERATED GROWTH PORTFOLIO I.C.NOMINEES PTY LTD INDEPENDENT MORTGAGE AFFILIATES PTY LIMITED INFOCUS WEALTH MANAGEMENT LIMITED INFRASTRUCTURE NATURAL RESOURCES TRUST INTEGRATED SEPARATELY MANAGED ACCOUNT INTERCHANGE AND SETTLEMENT LIMITED INVIA CUSTODIAN PTY LIMITED JANA AUSTRALIAN SHARE LONG SHORT TRUST JANA CASH TRUST JANA CORE AUSTRALIAN SHARE TRUST JANA CORE GLOBAL SHARE TRUST JANA CORE GLOBAL SHARE TRUST WITH CURRENCY HEDGED JANA DIVERSIFIED FIXED INCOME TRUST JANA EMERGING MARKETS SHARE TRUST JANA GLOBAL OPPORTUNITIES FUND JANA GLOBAL SHARE LONG SHORT TRUST JANA HIGH ALPHA AUSTRALIAN SHARE TRUST JANA HIGH ALPHA GLOBAL SHARE TRUST JANA INVESTMENT ADVISERS PTY LIMITED JANA PASSIVE AUSTRALIAN SHARE TRUST JANA PASSIVE GLOBAL SHARE TRUST JANA PROPERTY TRUST JANA TRIPLEPOINT FUND JBWERE (NZ) HOLDINGS LIMITED JBWERE (NZ) NOMINEES LIMITED JBWERE (NZ) PTY LTD

JBWERE LIMITED LAURISTON DAIRIES LIMITED LCH CLEARNET GROUP LIMITED LIMEHOUSE INVESTMENTS PTY LIMITED LINTON SPRINGS RESIDENTIAL MANAGEMENT COMPANY LIMITED LODESTAR AUSTRALIAN EQUITY INCOME FUND LODESTAR AUSTRALIAN STRATEGIC SHARE FUND LONG - TERM ABSOLUTE RETURN PORTFOLIO LONG TERM INCOME FUND LOYALTY NEW ZEALAND LIMITED MARGIN LENDING (NZ) LIMITED MEDFIN AUSTRALIA PTY LIMITED MERITUM FINANCIAL GROUP PTY LTD MERITUM FINANCIAL PLANNING PTY LTD METRICS CREDIT PARTNERS PTY LTD MILL MEWS RESIDENTIAL MANAGEMENT COMPANY LIMITED MLC (NCIT) AUSTRALIAN SHARE TRUST

MLC (NCIT) DIVERSIFIED DEBT TRUST

MLC (NCIT) GLOBAL SHARE TRUST

MLC (NCIT) GLOBAL SHARE TRUST WITH CURRENCY HEDGED MLC (NCIT) MODERATE TRUST MLC (NCIT) SHORT-MATURITY DIVERSIFIED DEBT TRUST MLC ALLIANCE HOLDINGS PTY LIMITED MLC GLOBAL PROPERTY FUND MLC HEDGED GLOBAL SHARE FUND MLC HOLDINGS LIMITED MLC INTERNATIONAL HOLDINGS (SINGAPORE) PTE LTD MLC INVESTMENT TRUST PLATINUM GLOBAL FUND MLC INVESTMENTS LIMITED MLC LIFETIME COMPANY LIMITED MLC LIMITED MLC MASTERKEY UNIT TRUST ACCELERATED GROWTH PORTFOLIO MLC MASTERKEY UNIT TRUST AUSTRALIAN SHARE FUND MLC MASTERKEY UNIT TRUST AUSTRALIAN SHARE GROWTH STYLE FUND MLC MASTERKEY UNIT TRUST AUSTRALIAN SHARE VALUE STYLE FUND MLC MASTERKEY UNIT TRUST BALANCED PORTFOLIO MLC MASTERKEY UNIT TRUST BOND PORTFOLIO MLC MASTERKEY UNIT TRUST CASH FUND MLC MASTERKEY UNIT TRUST CONSERVATIVE GROWTH PORTFOLIO MLC MASTERKEY UNIT TRUST GLOBAL SHARE FUND MLC MASTERKEY UNIT TRUST GLOBAL SHARE GROWTH STYLE FUND MLC MASTERKEY UNIT TRUST GLOBAL SHARE VALUE STYLE FUND MLC MASTERKEY UNIT TRUST GROWTH PORTFOLIO MLC MASTERKEY UNIT TRUST INCOME PORTFOLIO MLC MASTERKEY UNIT TRUST INCOMEBUILDER MLC MASTERKEY UNIT TRUST MLC CAPITAL INTERNATIONAL GLOBAL SHARE FUND MLC MASTERKEY UNIT TRUST MLC-PLATINUM GLOBAL FUND MLC MASTERKEY UNIT TRUST PROPERTY SECURITIES FUND MLC MASTERKEY UNIT TRUST SHARE INDEX FUND

MLC MASTERKEY UNIT TRUST SHARE PORTFOLIO MLC NOMINEES PTY LTD MLC NOMINEES UK LIMITED (IN LIQUIDATION) MLC PE EVERGREEN TRUST

MLC PROPERTIES PTY. LIMITED

MLC SAVINGS LIMITED MLC TRUST MANAGEMENT COMPANY LTD MLC VC TRUST

MLC VINTAGE YEAR TRUST (2008) MLC VINTAGE YEAR TRUST (2009) MLC VINTAGE YEAR TRUST (2010) MLC WEALTH MANAGEMENT LIMITED MLC WHOLESALE AUSTRALIAN SHARE FUND MLC WHOLESALE DIVERSIFIED DEBT FUND

MLCI HORIZON 7 TRUST

MLCI POOL - PRIVATE EQUITY TRUST

MLCIC TAILORED TRUST NO. 2

MLCIC TAILORED TRUST NO.1

MLCIC TAILORED TRUST NO.3

MOCKEY 7 PTY LIMITED (IN LIQUDIATION)

MONDEX AUSTRALIA PTY LTD (IN LIQUIDATION) MORTGAGE SUPPORT SERVICES PTY LTD MSRA HOLDINGS, INC MSS MF PTY LTD MSS MFA PTY LTD MUDCHUTE PTY LIMITED NAB CAPITAL LLC NAB EUROPE LIMITED NAB GOLD, LLC NAB INVESTMENTS LIMITED NAB IRON, LLC NAB PROPERTIES AUSTRALIA LIMITED NABCAPITAL LEASING (NO. 1) PTY LIMITED NABCAPITAL LEASING (NO.2) PTY LIMITED NABICS INVESTMENTS PTY LTD (IN LIQUIDATION) NABINVEST CAPITAL PARTNERS PTY LIMITED NABINVEST HOLDINGS LIMITED NABINVEST MANAGED INVESTMENTS LIMITED NABINVEST OXLEY SINGAPORE PTE LTD NABSECURITIES, LLC NAGE TRUSTEE COMPANY LIMITED (IN LIQUIDATION) NAGEO BV (IN LIQUIDATION)

NAM NT RAIL PTY LIMITED (IN LIQUIDATION) NATIONAL AMERICAS CAPITAL INVESTMENTS, LLC NATIONAL AMERICAS HOLDINGS LIMITED NATIONAL AMERICAS HOLDINGS LLC NATIONAL AMERICAS INVESTMENT, INC. NATIONAL ASSET MANAGEMENT LIMITED NATIONAL AUSTRALIA BALANCED FUND

NATIONAL AUSTRALIA BANK LIMITED NATIONAL AUSTRALIA BANK PENSION TRUSTEE (UK) LIMITED NATIONAL AUSTRALIA BANK REPRESENTAÇÕES LTDA (IN LIQUIDATION) NATIONAL AUSTRALIA BANK SUPERANNUATION FUND PTY LTD NATIONAL AUSTRALIA CAPITAL SECURITIES (UK) PLC - IN LIQUIDATION NATIONAL AUSTRALIA CORPORATE SERVICES LIMITED NATIONAL AUSTRALIA DIVIDEND IMPUTATION FUND NATIONAL AUSTRALIA FINANCE (HONG KONG) PLC (IN LIQUIDATION) NATIONAL AUSTRALIA FINANCE (ASIA) LIMITED NATIONAL AUSTRALIA FINANCE (ASSET LEASING) LLP NATIONAL AUSTRALIA FINANCE (COMMERCIAL LEASING) LIMITED NATIONAL AUSTRALIA FINANCE (EQUIPMENT LEASING) LIMITED NATIONAL AUSTRALIA FINANCE (EUROPE HOLDINGS) LIMITED NATIONAL AUSTRALIA FINANCE (INFRASTRUCTURE LEASING NO.1) LIMITED NATIONAL AUSTRALIA FINANCE (INFRASTRUCTURE LEASING NO.2) LIMITED NATIONAL AUSTRALIA FINANCE (LEASING) LIMITED NATIONAL AUSTRALIA FINANCE (VESSEL LEASING NO.1) LIMITED NATIONAL AUSTRALIA FINANCE (VESSEL LEASING NO.2) LIMITED NATIONAL AUSTRALIA FINANCE (VESSEL LEASING NO.3) LIMITED NATIONAL AUSTRALIA FINANCE (VESSEL LEASING NO.4) LIMITED NATIONAL AUSTRALIA FINANCE (VESSEL LEASING NO.5) LIMITED NATIONAL AUSTRALIA FINANCE (VESSEL LEASING NO.6) LIMITED NATIONAL AUSTRALIA FINANCE (VESSEL LEASING) LIMITED NATIONAL AUSTRALIA FINANCIAL MANAGEMENT LIMITED NATIONAL AUSTRALIA FUNDING (DELAWARE) INC. NATIONAL AUSTRALIA GROUP (NZ) LIMITED NATIONAL AUSTRALIA GROUP EUROPE FINANCE BV (IN LIQUIDATION) NATIONAL AUSTRALIA GROUP EUROPE INVESTMENTS LIMITED NATIONAL AUSTRALIA GROUP EUROPE LIMITED NATIONAL AUSTRALIA GROUP EUROPE SERVICES LIMITED NATIONAL AUSTRALIA GROUP SERVICES LTD NATIONAL AUSTRALIA GROUP SSP TRUSTEE LIMITED NATIONAL AUSTRALIA INSURANCE SERVICES LTD NATIONAL AUSTRALIA INVESTMENT CAPITAL LIMITED NATIONAL AUSTRALIA LTD NATIONAL AUSTRALIA MANAGERS LIMITED NATIONAL AUSTRALIA MERCHANT BANK (SINGAPORE) LIMITED NATIONAL AUSTRALIA MONTHLY INCOME FUND NATIONAL AUSTRALIA PKI HOLDINGS LLC NATIONAL AUSTRALIA PROPERTY FUND NATIONAL AUSTRALIA SECURITIES LIMITED NATIONAL AUSTRALIA TRUSTEES LIMITED NATIONAL AUSTRALIA UNDERWRITERS LIMITED NATIONAL CAPITAL FUNDING (UK) PLC NATIONAL CAPITAL HOLDINGS I INC. NATIONAL CAPITAL INSTRUMENTS [AUD] LLC 2 NATIONAL CAPITAL INSTRUMENTS [EURO] LLC 1 NATIONAL CAPITAL INSTRUMENTS II LLC 2 NATIONAL CAPITAL INSTRUMENTS II LLC1

NATIONAL CAPITAL INSTRUMENTS [AUD] LLC 1 NATIONAL CAPITAL INSTRUMENTS [EURO] LLC 2 NATIONAL CAPITAL INVESTMENTS LIMITED (IN LIQUIDATION) NATIONAL CAPITAL TRUST I NATIONAL CAPITAL TRUST II (DELAWARE) NATIONAL CAPITAL TRUST III NATIONAL CORPORATE INVESTMENT SERVICES LIMITED NATIONAL E-CONVEYANCING DEVELOPMENT LIMITED NATIONAL EQUITIES LIMITED NATIONAL EUROPE HOLDINGS (WEALTH MANAGEMENT) LTD NATIONAL FUNDING HOLDINGS PTY LTD NATIONAL FUNDING TRUST I NATIONAL FUNDING TRUST II (DELAWARE) NATIONAL GLOBAL MBS MANAGER PTY LTD NATIONAL HK INVESTMENTS LIMITED NATIONAL MARGIN SERVICES PTY LIMITED NATIONAL MARKETS GROUP LIMITED NATIONAL MORTGAGE SECURITIES, INC. NATIONAL NOMINEES LIMITED NATIONAL OBU PTY LIMITED NATIONAL WEALTH MANAGEMENT EUROPE HOLDINGS LIMITED NATIONAL WEALTH MANAGEMENT EUROPE SERVICES LIMITED NATIONAL WEALTH MANAGEMENT HOLDINGS LIMITED NATIONAL WEALTH MANAGEMENT INTERNATIONAL HOLDINGS LTD NATIONAL WEALTH MANAGEMENT NEW ZEALAND HOLDINGS LIMITED NATIONAL WEALTH MANAGEMENT SERVICES LTD NAUTILUS INSURANCE (EUROPE) LIMITED NAUTILUS INSURANCE PTE LIMITED NAVIGATOR AUSTRALIA LIMITED NAVIGATOR INCOME TRUST NBA LEASING PTY. LIMITED NBA PROPERTIES LIMITED NCIT- PROPERTY SECURITIES TRUST NCP-CAPITAL INTERNATIONAL GLOBAL EQUITY TRUST WITH CURRENCY NEW ZEALAND CARD SERVICES LTD NMS NOMINEES PTY LIMITED NORTHERN AND GENERAL FINANCE LIMITED (IN LIQUIDATION) NORTHRIDGE APARTMENTS LIMITED PARTNERSHIP NORTHWARD CAPITAL AUSTRALIAN EQUITY NORTHWARD CAPITAL PTY LIMITED NSIM ENHANCED CASH TRUST NULIS NOMINEES (AUSTRALIA) LIMITED NWMH SUB (CANADA) INC NWMH SUB LIMITED PARKRIDGE RESIDENTIAL MANAGEMENT COMPANY LIMITED PARTOWN PTY. LIMITED PAYMARK LIMITED PAYMENTS NZ LIMITED PEA INVESTMENTS LIMITED (IN LIQUIDATION)

PENGANA HOLDINGS PTY LTD PENNLEY PTY LTD PERIDIEM GLOBAL INVESTORS LLC PFS NOMINEES PTY LIMITED PLAN AUSTRALIA FINANCIAL SERVICES PTY. LTD (IN LIQUIDATION) PLAN AUSTRALIA OPERATIONS PTY. LTD. PLAN AUSTRALIA PTY LTD (IN LIQUIDATION) PLAN GROUP NOMINEES PTY LTD PLAN LENDING PTY. LTD. PLAN TECHNOLOGIES PTY. LTD (IN LIQUIDATION) PLAZA VENTURES LIMITED PLUM FINANCIAL SERVICES LIMITED PMJI INC. PORTSMOUTH INVESTMENT COMPANY PTY LIMITED PRE SELECT AUSTRALIAN EQUITY FUND PRE SELECT AUSTRALIAN SMALL COMPANIES FUND PRE SELECT BALANCED FUND PRE SELECT BOUTIQUE AUSTRALIAN EQUITY FUND PRE SELECT CONSERVATIVE FUND PRE SELECT GROWTH FUND PRE SELECT HIGH GROWTH FUND PRE SELECT INTERNATIONAL EQUITY FUND PRESIMA INC. PROFESSIONAL LENDERS ASSOCIATION NETWORK OF AUSTRALIA PTY. LTD. PUGET LIMITED QW RAIL LEASING LIMITED REDPOINT INVESTMENT MANAGEMENT PTY LTD RMBS 2006-2 FINANCE COMPANY PTY LIMITED RMBS 2006-2 HOLDINGS PTY LIMITED RMBS 2006-2 INVESTMENT COMPANY PTY LTD SECURITY BANCSERVICES GROUP INC. SHADWELL HOLDINGS (UK) LIMITED SOCIETY FOR WORLDWIDE INTERBANK FINANCIAL TELECOMMUNICATION ST JOHNS PLACE RESIDENTIAL MANAGEMENT COMPANY LIMITED ST VINCENT (EQUITIES) LIMITED ST VINCENT INVESTMENTS (DEVELOPMENTS) LIMITED (IN LIQUIDATION) ST VINCENT INVESTMENTS (LONDON AND SOUTH) LIMITED (IN LIQUIDATION) ST VINCENT INVESTMENTS (NORTH AND SCOTLAND) LIMITED (IN LIQUIDATION) ST VINCENT INVESTMENTS (PROPERTIES) LIMITED (IN LIQUIDATION) ST VINCENT INVESTMENTS LIMITED (IN LIQUIDATION) STAR COMMODITIES PTY LTD STARFISH COMPANY LIMITED TASOVAC PTY LIMITED TEMPCO NO.1 THE DEEP IN HULL LIMITED THE PUGET LIMITED PARTNERSHIP THE SCOTTISH AGRICULTURAL SECURITIES CORPORATION P.L.C. THE TRUSTEE FOR NCIT - GLOBAL EQUITIES TRUST NO 2 THE TRUSTEE FOR WM POOL - EQUITIES TRUST NO. 35

THE TRUSTEE FOR WM POOL - EQUITIES TRUST NO. 36 THE TRUSTEE FOR WM POOL - LTAR PART 1 NS TRUST

TIERONE REINSURANCE COMPANY TMS CORPORATION OF THE AMERICAS

TOKARA PTY LTD TOKENHOUSE INVESTMENTS LIMITED (IN LIQUIDATION) TOP 200 FUND

VALEWIN PTY. LIMITED VALLEY HEIGHTS LINCOLN LLC VIPRO PTY LTD VYNOTAS PTY. LTD. W M POOL - EQUITIES NO. 23 TRUST

WAVE (NO.2) LIMITED (IN LIQUIDATION) WEALTHHUB SECURITIES LIMITED

WEALTHHUB SECURITIES NOMINEES PTY LIMITED WHOLESALE INCOME BUILDER WHOLESALE AUSTRALIAN SHARE GROWTH STYLE FUND WHOLESALE AUSTRALIAN SHARE VALUE STYLE FUND WHOLESALE CAPITAL INTERNATIONAL GLOBAL SHARE FUND WHOLESALE GLOBAL SHARE FUND WHOLESALE GLOBAL SHARE GROWTH STYLE FUND WHOLESALE GLOBAL SHARE VALUE STYLE FUND WHOLESALE PROPERTY SECURITIES FUND WILTSHIRE CAPITAL LIMIITED WILTSHIRE CAPITAL MANAGEMENT LIMITED WINTERGREEN REAL ESTATE HOLDINGS, LLC WM AUSTRALIA PTY LIMITED WM FIXED ASSETS (2) PTY LIMITED WM GROUP PTY LIMITED WM LIFE AUSTRALIA LIMITED WM POOL - BANK OF IRELAND GLOBAL EQUITIES TRUST WM POOL - BEM AGGRESSIVE AUSTRALIAN EQUITIES TRUST WM POOL - BEM AUSTRALIAN EQUITIES TRUST WM POOL - BLACKROCK GLOBAL FIXED INTEREST (S) TRUST WM POOL - BRIDGEWATER GLOBAL FIXED INTEREST TRUST WM POOL - CAPITAL INTERNATIONAL GLOBAL EQUITIES TRUST WM POOL - CONCORD AUSTRALIAN EQUITIES TRUST WM POOL - CONTANGO AUSTRALIAN EQUITIES TRUST WM POOL - DIMENSIONAL AUSTRALIAN EQUITIES TRUST WM POOL - EQUITIES TRUST NO 14 WM POOL - EQUITIES TRUST NO 20 WM POOL - EQUITIES TRUST NO. 15 WM POOL - EQUITIES TRUST NO. 16 WM POOL - EQUITIES TRUST NO. 17 WM POOL - EQUITIES TRUST NO. 18 WM POOL - EQUITIES TRUST NO. 19 WM POOL - EQUITIES TRUST NO. 21 WM POOL - EQUITIES TRUST NO. 22 WM POOL - EQUITIES TRUST NO. 26

WM POOL - EQUITIES TRUST NO. 27 WM POOL - EQUITIES TRUST NO. 28 WM POOL - EQUITIES TRUST NO. 31 WM POOL - EQUITIES TRUST NO. 32 WM POOL - EQUITIES TRUST NO. 33 WM POOL - EQUITIES TRUST NO. 34 WM POOL - EQUITIES TRUST NO.1 WM POOL - EQUITIES TRUST NO.11 WM POOL - EQUITIES TRUST NO.2 WM POOL - EQUITIES TRUST NO.9 WM POOL - FIXED INTEREST TRUST NO 1 WM POOL - FIXED INTEREST TRUST NO. 15 WM POOL - FIXED INTEREST TRUST NO. 3 WM POOL - FIXED INTEREST TRUST NO. 5 WM POOL - FIXED INTEREST TRUST NO. 6 WM POOL - FIXED INTEREST TRUST NO. 7 WM POOL - FIXED INTEREST TRUST NO. 8 WM POOL - FIXED INTEREST TRUST NO. 9 WM POOL - GLOBAL EQUITIES TRUST NO 1 WM POOL - GLOBAL EQUITIES TRUST NO. 4 WM POOL - GLOBAL PROPERTIES TRUST WM POOL - HIGH YIELD FIXED INTEREST TRUST WM POOL - INFLATION LINKED SECURITIES TRUST WM POOL - JARDINE FLEMING AUSTRALIAN EQUITIES TRUST WM POOL - LAZARD AUSTRALIAN EQUITIES TRUST WM POOL - LTAR PART 1 TRUST

WM POOL - MARVIN & PALMER EMERGING MARKETS TRUST WM POOL - MBA AUSTRALIAN EQUITIES TRUST

WM POOL - NSIM AUSTRALIAN FIXED INTEREST (A) TRUST WM POOL - NSIM AUSTRALIAN FIXED INTEREST (S) TRUST WM POOL - NSIM CASH TRUST

WM POOL - PIMCO GLOBAL FIXED INTEREST (A) TRUST

WM POOL - PIMCO GLOBAL FIXED INTEREST (S) TRUST WM POOL - PROPERTY SECURITIES TRUST NO 1

WM POOL - RESOLUTION CAPITAL PROPERTY SECURITIES TRUST WM POOL - UBS AUSTRALIAN FIXED INTEREST (A) TRUST

WM POOL - UBS AUSTRALIAN FIXED INTEREST (S) TRUST

WM POOL - VANGUARD AUSTRALIAN EQUITIES INDEX TRUST WM POOL - VANGUARD GLOBAL EQUITIES INDEX TRUST WM POOL - WALLARA AUSTRALIAN EQUITIES TRUST WM POOL - WELLINGTON GLOBAL EQUITIES TRUST

WM POOL EQUITIES TRUST NO 12

WM POOL GLOBAL EQUITIES TRUST NO 5 WM SECTOR - AUSTRALIAN EQUITIES GROWTH TRUST WM SECTOR - AUSTRALIAN EQUITIES TRUST WM SECTOR - AUSTRALIAN EQUITIES VALUE TRUST WM SECTOR - AUSTRALIAN FIXED INTEREST TRUST WM SECTOR - DIVERSIFIED DEBT (ALL) TRUST WORKING CAPITAL SERVICES PTY LIMITED

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