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BAPCOR LIMITED — Major Shareholding Notification 2018
Mar 6, 2018
64494_rns_2018-03-06_742bcb8a-3145-4d44-9f1d-0d5ca32ec6f7.pdf
Major Shareholding Notification
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Commonwealth Bank of Australia ACN 123 123 124 Group Governance
GPO Box 2719 Telephone (02) 9118 7208 Sydney NSW 1155 Facsimile (02) 9118 7192
Clare Mcmanus Company Secretary
7 March 2018
Market Announcements Office Australian Securities Exchange 20 Bridge Street Sydney NSW 2000
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Dear Sir / Madam,
Form 605 – Bapcor Limited (“BAP”)
Commonwealth Bank of Australia ACN 123 123 124 notes the above filing is required by CBA and its related entities. On 2 March 2018, CBA identified the need to make the above filing.
Yours Sincerely,
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Clare McManus Company Secretary Commonwealth Bank of Australia
Corporations Act 2001
Section 671B
Notice of ceasing to be a substantial holder
Form 605
To: Company Name/Scheme:
BAPCOR LIMITED
ACN/ARSN: 153 199 912
1. Details of substantial holder
Name: Commonwealth Bank of Australia ACN 123 123 124 (CBA) and its related bodies corporate listed in annexure A
The holder ceased to be a substantial holder on 22/02/2018 The previous notice was given to the company on: 11/05/2017 The previous notice was dated: 10/05/2017
2. Changes in relevant interests
Particulars of each change in, or change in the nature of, a relevant interest of the substantial holder or an associate in voting securities of the company or scheme, since the substantial holder was last required to give a substantial holding notice to the company or scheme are as follows:
Person whose Class and Date ofchange relevant interest changed Nature of change relation to changeConsideration given in securities affectednumber of Person's votes affected See annexure B to this notice
1
Name and ACN/ARSN (if applicable)
Nature of association
3. Changes in association
The persons who have become associates of, ceased to be associates of, or have changed the nature of their association with, the substantial holder in relation to voting interests in the company or scheme are as follows:
2
4. Addresses
The addresses of persons named in this form are as follows:
| Name | Address |
|---|---|
| Avanteos Investments Limited ACN 096 259 979 |
Ground Floor Tower 1, 201 Sussex Street, Sydney, NSW, 2000, Australia |
| CBA Markets Limited ACN 003 485 952 | Ground Floor Tower 1,201 Sussex Street,Sydney,NSW,2000,Australia |
| Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Ground Floor Tower 1, 201 Sussex Street, Sydney, NSW, 2000, Australia |
| First State Investment Management (UK) Limited SC0 477 08 |
23 St Andrew Square Edinburgh EH2 1BB |
| Realindex Investments Pty Limited ACN 133 312017 |
Ground Floor Tower 1, 201 Sussex Street, Sydney, NSW, 2000, Australia |
3
5. Signature
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Dated the 7th day of March 2018
Clare McManus - Company Secretary
4
Annexure A
This is annexure A referred to in Form 605, Notice of ceasing to be a substantial holder dated 22/02/2018
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Clare McManus
Company Secretary Dated the 07/03/2018
SCHEDULE
AEGIS CORRECTIONAL PARTNERSHIP PTY LTD AEGIS LIMITED AHL FINANCE HOLDINGS PTY LTD AHL FINANCE PTY LTD AHL HOLDINGS PTY LIMITED AHL INVESTMENTS PTY LTD ALTONA V6 PTY LIMITED ASB BANK LIMITED ASB CAPITAL LIMITED (NZX-ASBPA) ASB CAPITAL NO.2 LIMITED (NZX-ASBPB) ASB FINANCE LIMITED ASB FUNDING LIMITED ASB GROUP (LIFE) LIMITED ASB GROUP INVESTMENTS LIMITED ASB HOLDINGS LIMITED ASB MANAGEMENT SERVICES LIMITED ASB NOMINEES LIMITED ASB SECURITIES LIMITED ASKLEPIOS LIMITED ASPIRE SCHOOLS FINANCING (QLD) PTY LIMITED ASPIRE SCHOOLS HOLDINGS (QLD) PTY LIMITED AUSSIE CENTRE ADMINISTRATION PTY LIMITED AUSSIE FINANCIAL PLANNING SERVICES PTY LTD AUSSIE HOME INSURANCE PTY LIMITED AUSSIE HOME LOANS HOLDINGS PTY LTD AUSSIE HOME LOANS PTY LIMITED AUSSIE HOME SECURITY PTY LIMITED AUSSIE MORTGAGE MARKET HOLDINGS PTY LIMITED AUSSIEHOMELOANS.COM.AU PTY LTD AUSTRALIAN HOME LOANS HOLDINGS PTY LIMITED AUSTRALIAN INVESTMENT EXCHANGE LIMITED AVANTEOS INVESTMENTS LIMITED AVANTEOS PTY LTD BANK OF HANGZHOU CO. LTD BANKWEST FOUNDATION LIMITED BDELTA VESSEL NO 1 PTY LTD BDELTA VESSEL NO 2 PTY LTD BDELTA VESSEL NO 3 PTY LTD BDELTA VESSEL NO 4 PTY LTD BOCOMMLIFE INSURANCE COMPANY LIMITED BOND INVESTMENTS NO 1 LIMITED BOND INVESTMENTS UK LIMITED BW FINANCIAL ADVICE LIMITED BW SECURITISATION MANAGEMENT PTY LTD BWA GROUP SERVICES PTY LTD BWA INTELLECTUAL PROPERTY HOLDINGS LIMITED CAPITAL 121 PTY LIMITED CARDS NZ LIMITED CBA A319 4624 PTY LIMITED CBA A319 4635 PTY LIMITED CBA A320 4077 PTY LTD CBA A320 4948 PTY LIMITED CBA A320 5156 PTY LIMITED CBA A320 5249 PTY LTD CBA A320 5289 PTY LTD CBA A320 5638 PTY LTD CBA A320 6749 PTY LIMITED CBA A320 AIRCRAFT NO1 PTY LTD CBA A330 1427 Pty Ltd CBA A330 1453 PTY LIMITED
5
CBA AIR A320 2714 PTY LIMITED CBA AIR PTY LTD CBA ASSET FINANCE (NZ) LIMITED CBA ASSET HOLDINGS (NZ) LIMITED CBA B377 37091 PTY LTD CBA B738 39822 PTY LIMITED CBA B773 60333 PTY LIMITED CBA CAPITAL AUSTRALIA PTY LIMITED CBA CAPITAL HOLDINGS INC. CBA CORPORATE SERVICES (NSW) PTY LIMITED CBA CORPORATE SERVICES (VIC) PTY LIMITED CBA DIGITAL SOLUTIONS DEVELOPMENT COMPANY LIMITED CBA ES BUSINESS SERVICES PTY LTD CBA EUROPE LIMITED CBA FUNDING (NZ) LIMITED CBA FUNDING HOLDINGS PTY LTD CBA INTERNATIONAL FINANCE PTY. LIMITED
CBA INTERNATIONAL FINANCIAL SERVICES LIMITED (formerly known as COMMBANK MANAGEMENT CONSULTING (ASIA) COMPANY LIMITED) CBA INVESTMENTS (NO.4) LIMITED CBA IT LEASING NO 3 PTY LTD
CBA MARKETS LIMITED
CBA MTE RAIL COMPANY PTY LIMITED CBA NZ HOLDING LIMITED
CBA RAIL & TRAM COMPANY PTY LIMITED CBA ROLLING STOCK COMPANY NO.1 PTY LIMITED CBA SA HOLDINGS PROPRIETARY LIMITED CBA SAF HOLDING PTY LIMITED CBA SPECIALISED FINANCING PTY LIMITED CBA USD INVESTMENTS PTY LIMITED CBFC LEASING PTY. LIMITED CBFC LIMITED CBSA FOUNDATION NPC CFSPAI EUROPE CO LIMITED CFSPAI EUROPE HOLDCO LIMITED CHULLORA EQUITY INVESTMENT (NO 1) PTY LIMITED CHULLORA EQUITY INVESTMENT (NO 2) PTY LIMITED CHULLORA EQUITY INVESTMENT (NO 3) PTY LIMITED CIPL ARARAT PTY LTD CIPL SA SCHOOLS PTY LTD CISL (NO.1) PTY LIMITED CMG ASIA LIFE HOLDINGS LIMITED CMG ASIA PTY LTD CMLA Services Pty Ltd COLLATERAL LEASING PTY LTD COLONIAL FIRST STATE ASSET MANAGEMENT (AUSTRALIA) LIMITED COLONIAL FIRST STATE GROUP LIMITED COLONIAL FIRST STATE INFRASTRUCTURE HOLDINGS LIMITED COLONIAL FIRST STATE INFRASTRUCTURE MANAGERS (AUSTRALIA) PTY LTD COLONIAL FIRST STATE INVESTMENTS LIMITED COLONIAL FIRST STATE MANAGED INFRASTRUCTURE LIMITED COLONIAL HOLDING COMPANY LIMITED COLONIAL MUTUAL SUPERANNUATION PTY. LTD. COLONIAL SERVICES PTY LIMITED COMMBANK EUROPE LIMITED COMMBANK FOUNDATION LIMITED COMMBANK MANAGEMENT CONSULTING (SHANGHAI) COMPANY LIMITED COMMFOUNDATION PTY LIMITED COMMONWEALTH AUSTRALIA SECURITIES LLC COMMONWEALTH BANK OF AUSTRALIA COMMONWEALTH BANK OF AUSTRALIA (UK) STAFF BENEFITS SCHEME TRUSTEE COMPANY LIMITED COMMONWEALTH BANK OF SOUTH AFRICA (HOLDING COMPANY) LIMITED (formerly NEWSHELF 1314 (PTY) LTD) COMMONWEALTH BANK OF SOUTH AFRICA LIMITED (formerly NEWSHELF 1315 (PTY) LTD) COMMONWEALTH BANK OFFICERS SUPERANNUATION CORPORATION PTY LIMITED Commonwealth Custodial Services Pty Ltd COMMONWEALTH DEVELOPMENT BANK OF AUSTRALIA PTY LIMITED COMMONWEALTH FINANCIAL PLANNING LIMITED COMMONWEALTH INSURANCE HOLDINGS LIMITED COMMONWEALTH INSURANCE LIMITED COMMONWEALTH INVESTMENTS PTY LIMITED COMMONWEALTH PRIVATE LIMITED COMMONWEALTH SECURITIES LIMITED COMMWEALTH INTERNATIONAL HOLDINGS PTY LIMITED COMSEC NOMINEES PTY LIMITED CORE EQUITY SERVICES NOMINEES PTY LIMITED COUNT FINANCIAL LIMITED CRYSTAL AVENUE PTY LIMITED CTB AUSTRALIA LIMITED ELLAS CONTAINER SHIP COMPANY 1 PTY LIMITED ELLAS CONTAINER SHIP COMPANY 2 PTY LIMITED
6
EMERALD HOLDING COMPANY PTY LIMITED EQUIGROUP HOLDINGS PTY LIMITED FINANCIAL WISDOM LIMITED FINCONNECT (AUSTRALIA) PTY LTD FIRST STATE CINDA FUND MANAGEMENT COMPANY LIMITED First State European Diversified Infrastructure Sarl First State Funds Plc First State Global Umbrella Fund Public Limited Company FIRST STATE INFRASTRUCTURE MANAGERS (INTERNATIONAL) LIMITED First State Investment Management (UK) Limited FIRST STATE INVESTMENT MANAGERS (ASIA) LIMITED First State Investment Services (UK) Limited FIRST STATE INVESTMENTS (HONG KONG) LIMITED FIRST STATE INVESTMENTS (JAPAN) LIMITED FIRST STATE INVESTMENTS (NZ) LIMITED FIRST STATE INVESTMENTS (SINGAPORE) First State Investments (UK Holdings) Limited First State Investments (UK) Limited FIRST STATE INVESTMENTS (US) LLC First State Investments Fund Management Sarl First State Investments GIP Management Sarl FIRST STATE INVESTMENTS HOLDINGS (SINGAPORE) LIMITED First State Investments ICVC First State Investments International Inc. First State Investments International Limited FIRST STATE NOMINEES (HONG KONG) LIMITED FMG ASSET LEASING PTY LTD FSIB Ltd. FSIC Limited (formerly known as First State Investments (Cayman) Limited) GT USD FUNDING PTY LIMITED HAZELWOOD INVESTMENT COMPANY PTY LIMITED HOMEPATH PTY LIMITED INVERLOCH LEASING PTY LIMITED INVESTMENT CUSTODIAL SERVICES LIMITED INVESTORWEB.COM. PTY LIMITED IWL BROKING SOLUTIONS PTY LIMITED IWL PTY LIMITED JACQUES MARTIN ADMINISTRATION AND CONSULTING PTY LTD JACQUES MARTIN PTY. LTD. LOFT NO 1 PTY LIMITED LOFT NO 2 PTY LIMITED LOFT NO.3 PTY LIMITED MIS FUNDING NO.1 PTY LIMITED MORTGAGE HOLDING TRUST COMPANY LIMITED MTE DEBT VEHICLE PTY LTD MTE LESSOR 1 PTY LTD MTE LESSOR 2 PTY LTD MTE LESSOR 3 PTY LTD MTE LESSOR 4 PTY LTD MTE LESSOR 5 PTY LTD MTE NOMINEE PARTNER PTY LTD NETSHARE NOMINEES PTY LTD NEWPORT LIMITED NIMITZ NOMINEES PTY LIMITED ORE & OVERBURDEN PTY LIMITED PREFERRED CAPITAL PTY LIMITED PREMIUM ALTERNATIVE INVESTMENTS PTY LIMITED PREMIUM CUSTODY SERVICES PTY LTD PREMIUM PLANTATIONS PTY LIMITED PREMIUM PLANTATIONS SERVICES PTY LTD PT BANK COMMONWEALTH PT COMMONWEALTH LIFE PT FIRST STATE INVESTMENTS INDONESIA QILU BANK CO. LTD. REALINDEX INVESTMENTS PTY LIMITED RELIANCE ACHIEVER PTY LIMITED RESIDENTIAL MORTGAGE GROUP PTY LTD ROCK & RUBBLE (DEBT VEHICLE) PTY LIMITED ROCK & RUBBLE (EXISTING) PTY LIMITED ROCK & RUBBLE (NEW) PTY LIMITED SAF MINING NO.2 PTY LIMITED SAF Mining No1 Pty Limited SAFE NO1 PTY LTD SAFE NO2 PTY LTD SAFE NO24 PTY LTD SAFE NO25 PTY LTD SAFE NO26 PTY LTD SAFE NO3 PTY LTD SAFE NO4 PTY LIMITED
7
SAFE NO9 PTY LIMITED SAFE USD HOLDINGS PTY LTD SBN NOMINEES PTY. LIMITED SECURITISATION ADVISORY SERVICES PTY. LIMITED SECURITISATION MANAGEMENT SERVICES LIMITED SENBARY PTY LIMITED SHARE DIRECT NOMINEES PTY LIMITED SHARE INVESTMENTS PTY LIMITED SI Holdings Limited SOVEREIGN ASSURANCE COMPANY LIMITED SOVEREIGN SERVICES LIMITED SOVEREIGN SUPERANNUATION FUNDS LIMITED SOVEREIGN SUPERANNUATION TRUSTEES LIMITED ST ANDREW'S AUSTRALIA PTY LTD STATE NOMINEES LTD T.W. CUSTODIANS LIMITED TANKSTREAM RAIL (BY - 1) PTY LIMITED TANKSTREAM RAIL (BY - 2) PTY LIMITED TANKSTREAM RAIL (BY - 3) PTY LIMITED TANKSTREAM RAIL (BY - 4) PTY LIMITED TANKSTREAM RAIL (SW - 1) PTY LIMITED TANKSTREAM RAIL (SW - 2) PTY LIMITED TANKSTREAM RAIL (SW - 3) PTY LIMITED TANKSTREAM RAIL (SW - 4) PTY LIMITED TANKSTREAM RAIL (VICTORIA) PTY LIMITED THE COLONIAL MUTUAL LIFE ASSURANCE SOCIETY LIMITED TOTAL KEEN INVESTMENT LIMITED TYME CAPITAL PROPRIETARY LIMITED TYME INFIELD PROPRIETARY LIMITED (formerly known as EDGE FIELD MARKETING PROPRIETARY LTD) TYME INTELLECTUAL PROPERTIES PROPRIETARY LIMITED TYME INVESTMENTS PROPRIETARY LIMITED TYME TECHNICAL SOLUTIONS PROPRIETARY LIMITED VATOSCAN PROPRIETARY LIMITED VH-VZF PTY LTD VH-VZG PTY LTD VH-VZH PTY LTD VIETNAM INTERNATIONAL BANK (VIETNAM INTERNATIONAL COMMERCIAL JOINT STOCK BANK) WESTSIDE PROPERTIES LIMITED WIZARD HOME LOANS PTY LIMITED
8
Annexure B
This is annexure B referred to in Form 605, Notice of ceasing to be a substantial holder dated 22/02/2018
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Clare McManus Company Secretary Dated the 07/03/2018
| Consideration | |||||
| Person whose relevant | given in relation | Class and number of | Person's | ||
| Date of change | interest changed | Nature of change | to change | securities affected | votes affected |
| Thursday, 11 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 4,691.22 | 851 Ordinary shares | 851 |
| Friday, 12 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 12,467.00 | 2,275 Ordinary shares | 2,275 |
| Friday, 12May2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 12,467.00 | 2,275 Ordinary shares | 2,275 |
| Monday, 15 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 958.30 | 185 Ordinary shares | 185 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 20,716.24 | 4,078 Ordinary shares | 4,078 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 20,716.24 | 4,078 Ordinary shares | 4,078 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 731.12 | 138 Ordinary shares | 138 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,393.37 | 263 Ordinary shares | 263 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,568.21 | 296 Ordinary shares | 296 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,045.03 | 386 Ordinary shares | 386 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 699.34 | 132 Ordinary shares | 132 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,017.22 | 192 Ordinary shares | 192 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,197.35 | 226 Ordinary shares | 226 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 868.87 | 164 Ordinary shares | 164 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,743.04 | 329 Ordinary shares | 329 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 672.85 | 127 Ordinary shares | 127 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,822.51 | 344 Ordinary shares | 344 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 731.12 | 138 Ordinary shares | 138 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 418.54 | 79 Ordinary shares | 79 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,362.91 | 446 Ordinary shares | 446 |
9
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 768.21 | 145 Ordinary shares | 145 |
|---|---|---|---|---|---|
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,361.59 | 257 Ordinary shares | 257 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,054.30 | 199 Ordinary shares | 199 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 667.55 | 126 Ordinary shares | 126 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 646.36 | 122Ordinary shares | 122 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,129.80 | 402 Ordinary shares | 402 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 434.44 | 82 Ordinary shares | 82 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 778.81 | 147 Ordinary shares | 147 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,311.25 | 625 Ordinary shares | 625 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,076.82 | 392 Ordinary shares | 392 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 805.30 | 152 Ordinary shares | 152 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 280.79 | 53 Ordinary shares | 53 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,049.00 | 198 Ordinary shares | 198 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,701.98 | 510 Ordinary shares | 510 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,687.41 | 696 Ordinary shares | 696 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 6,924.49 | 1,307 Ordinary shares | 1,307 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,035.75 | 573 Ordinary shares | 573 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,096.69 | 207 Ordinary shares | 207 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,154.96 | 218 Ordinary shares | 218 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,939.07 | 366 Ordinary shares | 366 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,298.01 | 245 Ordinary shares | 245 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,320.52 | 438 Ordinary shares | 438 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,788.07 | 715 Ordinary shares | 715 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,467.55 | 277 Ordinary shares | 277 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,145.69 | 405 Ordinary shares | 405 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,637.08 | 309 Ordinary shares | 309 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,992.05 | 376 Ordinary shares | 376 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 609.27 | 115 Ordinary shares | 115 |
10
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 5,366.87 | 1,013 Ordinary shares | 1,013 |
|---|---|---|---|---|---|
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,875.49 | 354 Ordinary shares | 354 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,880.79 | 355 Ordinary shares | 355 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,431.78 | 459 Ordinary shares | 459 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,875.49 | 354 Ordinary shares | 354 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 10,278.12 | 1,940 Ordinary shares | 1,940 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,166.88 | 409 Ordinary shares | 409 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 582.78 | 110 Ordinary shares | 110 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,027.81 | 194 Ordinary shares | 194 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,976.15 | 373 Ordinary shares | 373 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,888.73 | 734 Ordinary shares | 734 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 879.47 | 166 Ordinary shares | 166 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,341.72 | 442 Ordinary shares | 442 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,145.69 | 405 Ordinary shares | 405 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,509.93 | 285 Ordinary shares | 285 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 593.38 | 112 Ordinary shares | 112 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,038.41 | 196 Ordinary shares | 196 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,505.95 | 473 Ordinary shares | 473 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,454.30 | 652 Ordinary shares | 652 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,070.20 | 202Ordinary shares | 202 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,139.07 | 215 Ordinary shares | 215 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 63.58 | 12 Ordinary shares | 12 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 529.80 | 100 Ordinary shares | 100 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,823.83 | 533 Ordinary shares | 533 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 492.71 | 93 Ordinary shares | 93 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,229.14 | 232 Ordinary shares | 232 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 953.64 | 180 Ordinary shares | 180 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,452.97 | 463 Ordinary shares | 463 |
11
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,131.12 | 591 Ordinary shares | 591 |
|---|---|---|---|---|---|
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 842.38 | 159 Ordinary shares | 159 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,803.96 | 718 Ordinary shares | 718 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,115.22 | 588 Ordinary shares | 588 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,070.20 | 202Ordinary shares | 202 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 487.42 | 92 Ordinary shares | 92 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,272.84 | 429 Ordinary shares | 429 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 948.34 | 179 Ordinary shares | 179 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 524.50 | 99 Ordinary shares | 99 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 550.99 | 104 Ordinary shares | 104 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,976.15 | 373 Ordinary shares | 373 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,880.79 | 355 Ordinary shares | 355 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,092.71 | 395 Ordinary shares | 395 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 837.08 | 158 Ordinary shares | 158 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,080.79 | 204 Ordinary shares | 204 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 9,308.59 | 1,757 Ordinary shares | 1,757 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,478.14 | 279 Ordinary shares | 279 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 868.87 | 164 Ordinary shares | 164 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 709.93 | 134 Ordinary shares | 134 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 662.25 | 125 Ordinary shares | 125 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 545.69 | 103 Ordinary shares | 103 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,939.07 | 366 Ordinary shares | 366 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,637.08 | 309 Ordinary shares | 309 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 280.79 | 53 Ordinary shares | 53 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,060.92 | 389 Ordinary shares | 389 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,251.65 | 425 Ordinary shares | 425 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,562.91 | 295 Ordinary shares | 295 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,099.33 | 585 Ordinary shares | 585 |
12
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,712.58 | 512 Ordinary shares | 512 |
|---|---|---|---|---|---|
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 185.43 | 35 Ordinary shares | 35 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,553.64 | 482 Ordinary shares | 482 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,086.09 | 205 Ordinary shares | 205 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 969.53 | 183 Ordinary shares | 183 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,896.68 | 358 Ordinary shares | 358 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,615.89 | 305 Ordinary shares | 305 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,128.47 | 213 Ordinary shares | 213 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 958.94 | 181 Ordinary shares | 181 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 905.96 | 171 Ordinary shares | 171 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,709.92 | 889 Ordinary shares | 889 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 614.57 | 116 Ordinary shares | 116 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,027.81 | 194 Ordinary shares | 194 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 550.99 | 104 Ordinary shares | 104 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,064.90 | 201 Ordinary shares | 201 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,246.35 | 424 Ordinary shares | 424 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 466.22 | 88 Ordinary shares | 88 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,792.05 | 527 Ordinary shares | 527 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,426.48 | 458 Ordinary shares | 458 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 672.85 | 127 Ordinary shares | 127 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,418.53 | 834 Ordinary shares | 834 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,573.51 | 297 Ordinary shares | 297 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,941.71 | 744 Ordinary shares | 744 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,331.12 | 440 Ordinary shares | 440 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,970.86 | 372 Ordinary shares | 372 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,256.95 | 426 Ordinary shares | 426 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,811.92 | 342 Ordinary shares | 342 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,801.32 | 340 Ordinary shares | 340 |
13
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,356.29 | 256 Ordinary shares | 256 |
|---|---|---|---|---|---|
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,054.30 | 199 Ordinary shares | 199 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,017.22 | 192 Ordinary shares | 192 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,811.92 | 342 Ordinary shares | 342 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,263.57 | 616 Ordinary shares | 616 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,613.24 | 682 Ordinary shares | 682 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,011.92 | 191 Ordinary shares | 191 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,419.86 | 268 Ordinary shares | 268 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,168.20 | 598 Ordinary shares | 598 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,324.50 | 250 Ordinary shares | 250 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,294.03 | 433 Ordinary shares | 433 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,745.69 | 707 Ordinary shares | 707 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,695.36 | 320 Ordinary shares | 320 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,107.28 | 209 Ordinary shares | 209 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,870.19 | 353 Ordinary shares | 353 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,298.01 | 245 Ordinary shares | 245 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,389.21 | 456 Ordinary shares | 456 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,143.70 | 600 Ordinary shares | 600 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 5,218.54 | 996 Ordinary shares | 996 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 9,740.23 | 1,859 Ordinary shares | 1,859 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,630.23 | 502 Ordinary shares | 502 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 6,030.66 | 1,151 Ordinary shares | 1,151 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,600.28 | 878 Ordinary shares | 878 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 6,700.94 | 1,279 Ordinary shares | 1,279 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,121.88 | 405 Ordinary shares | 405 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 7,905.95 | 1,509 Ordinary shares | 1,509 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 6,459.93 | 1,233 Ordinary shares | 1,233 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,499.79 | 668 Ordinary shares | 668 |
14
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,535.09 | 293 Ordinary shares | 293 |
|---|---|---|---|---|---|
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,535.77 | 484 Ordinary shares | 484 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 13,485.70 | 2,574 Ordinary shares | 2,574 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,516.19 | 862 Ordinary shares | 862 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 7,733.06 | 1,476 Ordinary shares | 1,476 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,888.17 | 933 Ordinary shares | 933 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 7,649.23 | 1,460 Ordinary shares | 1,460 |
| Tuesday, 16 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 5,071.55 | 968 Ordinary shares | 968 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,651.04 | 506 Ordinary shares | 506 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,943.74 | 371 Ordinary shares | 371 |
| Tuesday, 16 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 5,307.31 | 1,013 Ordinary shares | 1,013 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,403.43 | 274 Ordinary shares | 274 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,658.32 | 519 Ordinary shares | 519 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,902.96 | 762 Ordinary shares | 762 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,991.25 | 584 Ordinary shares | 584 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,341.96 | 262 Ordinary shares | 262 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,941.24 | 379 Ordinary shares | 379 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,289.53 | 447 Ordinary shares | 447 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,280.50 | 250 Ordinary shares | 250 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,482.96 | 680 Ordinary shares | 680 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,334.42 | 651 Ordinary shares | 651 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,659.53 | 324 Ordinary shares | 324 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,398.31 | 273 Ordinary shares | 273 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 793.91 | 155 Ordinary shares | 155 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,470.01 | 287 Ordinary shares | 287 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,517.60 | 882 Ordinary shares | 882 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,708.33 | 724 Ordinary shares | 724 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,607.10 | 509 Ordinary shares | 509 |
15
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,134.66 | 612 Ordinary shares | 612 |
|---|---|---|---|---|---|
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,012.95 | 393 Ordinary shares | 393 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,270.26 | 248 Ordinary shares | 248 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 6,325.67 | 1,235 Ordinary shares | 1,235 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,796.61 | 546 Ordinary shares | 546 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 10,254.24 | 2,002 Ordinary shares | 2,002 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,157.57 | 226 Ordinary shares | 226 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 527.57 | 103 Ordinary shares | 103 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,234.40 | 241 Ordinary shares | 241 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,600.77 | 703 Ordinary shares | 703 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 7,042.75 | 1,375 Ordinary shares | 1,375 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,645.65 | 907 Ordinary shares | 907 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,138.58 | 808 Ordinary shares | 808 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,066.87 | 794 Ordinary shares | 794 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 19,627.50 | 3,832 Ordinary shares | 3,832 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,094.90 | 409 Ordinary shares | 409 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 7,432.02 | 1,451 Ordinary shares | 1,451 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,961.73 | 383 Ordinary shares | 383 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 834.89 | 163 Ordinary shares | 163 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,430.53 | 865 Ordinary shares | 865 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,805.65 | 743 Ordinary shares | 743 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,490.50 | 291 Ordinary shares | 291 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,466.38 | 872 Ordinary shares | 872 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,590.52 | 701 Ordinary shares | 701 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,987.34 | 388 Ordinary shares | 388 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,181.97 | 426 Ordinary shares | 426 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,580.28 | 699 Ordinary shares | 699 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 937.33 | 183 Ordinary shares | 183 |
16
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,092.48 | 799 Ordinary shares | 799 |
|---|---|---|---|---|---|
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,111.47 | 217 Ordinary shares | 217 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,964.43 | 774 Ordinary shares | 774 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,126.84 | 220 Ordinary shares | 220 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,603.19 | 313 Ordinary shares | 313 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,531.48 | 299 Ordinary shares | 299 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,769.79 | 736 Ordinary shares | 736 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,007.82 | 392Ordinary shares | 392 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,343.46 | 848 Ordinary shares | 848 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,038.56 | 398 Ordinary shares | 398 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,674.89 | 327 Ordinary shares | 327 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 5,162.98 | 1,008 Ordinary shares | 1,008 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,043.68 | 399 Ordinary shares | 399 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 13,225.00 | 2,582 Ordinary shares | 2,582 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 5,398.59 | 1,054 Ordinary shares | 1,054 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,780.04 | 738 Ordinary shares | 738 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 5,792.98 | 1,131 Ordinary shares | 1,131 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,883.69 | 563 Ordinary shares | 563 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,202.46 | 430 Ordinary shares | 430 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,590.52 | 701 Ordinary shares | 701 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,818.31 | 355 Ordinary shares | 355 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,783.95 | 934 Ordinary shares | 934 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,484.17 | 485 Ordinary shares | 485 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 5,977.37 | 1,167 Ordinary shares | 1,167 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 17,773.34 | 3,470 Ordinary shares | 3,470 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 7,242.51 | 1,414 Ordinary shares | 1,414 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 6,592.01 | 1,287 Ordinary shares | 1,287 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,654.41 | 323 Ordinary shares | 323 |
17
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 122.93 | 24 Ordinary shares | 24 |
|---|---|---|---|---|---|
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,102.72 | 801 Ordinary shares | 801 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 5,951.76 | 1,162 Ordinary shares | 1,162 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,265.13 | 247 Ordinary shares | 247 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,003.91 | 196 Ordinary shares | 196 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 527.57 | 103 Ordinary shares | 103 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,808.07 | 353 Ordinary shares | 353 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,340.75 | 457 Ordinary shares | 457 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,124.42 | 610 Ordinary shares | 610 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,055.13 | 206 Ordinary shares | 206 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,681.51 | 914 Ordinary shares | 914 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 5,921.03 | 1,156 Ordinary shares | 1,156 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,598.06 | 312 Ordinary shares | 312 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 353.42 | 69 Ordinary shares | 69 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 7,263.00 | 1,418 Ordinary shares | 1,418 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,822.22 | 551 Ordinary shares | 551 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,631.50 | 709 Ordinary shares | 709 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 937.33 | 183 Ordinary shares | 183 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,859.29 | 363 Ordinary shares | 363 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,044.89 | 204 Ordinary shares | 204 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,838.80 | 359 Ordinary shares | 359 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 993.67 | 194 Ordinary shares | 194 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,172.94 | 229 Ordinary shares | 229 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,005.40 | 782 Ordinary shares | 782 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,943.94 | 770 Ordinary shares | 770 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,966.85 | 384 Ordinary shares | 384 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 8,989.11 | 1,755 Ordinary shares | 1,755 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,064.17 | 403 Ordinary shares | 403 |
18
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,033.43 | 397 Ordinary shares | 397 |
|---|---|---|---|---|---|
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,991.25 | 584 Ordinary shares | 584 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,357.33 | 265 Ordinary shares | 265 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,050.01 | 205 Ordinary shares | 205 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,292.24 | 838 Ordinary shares | 838 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,881.27 | 953 Ordinary shares | 953 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,703.21 | 723 Ordinary shares | 723 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,093.69 | 604 Ordinary shares | 604 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 5,326.88 | 1,040 Ordinary shares | 1,040 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,302.48 | 840 Ordinary shares | 840 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,635.41 | 905 Ordinary shares | 905 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 5,183.46 | 1,012 Ordinary shares | 1,012 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 8,435.93 | 1,647 Ordinary shares | 1,647 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,069.29 | 404 Ordinary shares | 404 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 7,534.46 | 1,471 Ordinary shares | 1,471 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,151.24 | 420 Ordinary shares | 420 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 891.23 | 174 Ordinary shares | 174 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,451.02 | 869 Ordinary shares | 869 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,736.36 | 339 Ordinary shares | 339 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,307.60 | 841 Ordinary shares | 841 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,280.50 | 250 Ordinary shares | 250 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,441.98 | 672 Ordinary shares | 672 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,006.61 | 587 Ordinary shares | 587 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,759.55 | 734 Ordinary shares | 734 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,462.47 | 676 Ordinary shares | 676 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,591.73 | 506 Ordinary shares | 506 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,007.82 | 392 Ordinary shares | 392 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,941.24 | 379 Ordinary shares | 379 |
19
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,462.47 | 676 Ordinary shares | 676 |
|---|---|---|---|---|---|
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 6,238.60 | 1,218 Ordinary shares | 1,218 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 6,899.33 | 1,347 Ordinary shares | 1,347 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,936.12 | 378 Ordinary shares | 378 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,709.54 | 529 Ordinary shares | 529 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 6,043.96 | 1,180 Ordinary shares | 1,180 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,525.15 | 493 Ordinary shares | 493 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,384.43 | 856 Ordinary shares | 856 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 7,155.43 | 1,397 Ordinary shares | 1,397 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,237.10 | 632 Ordinary shares | 632 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,110.26 | 412 Ordinary shares | 412 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,575.16 | 698 Ordinary shares | 698 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,473.93 | 483 Ordinary shares | 483 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,633.84 | 721 Ordinary shares | 721 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 13,255.88 | 2,564 Ordinary shares | 2,564 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 13,255.88 | 2,564 Ordinary shares | 2,564 |
| Wednesday, 17 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 7,160.45 | 1,385 Ordinary shares | 1,385 |
| Wednesday, 17 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 7,160.45 | 1,385 Ordinary shares | 1,385 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,381.23 | 269 Ordinary shares | 269 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 723.99 | 141 Ordinary shares | 141 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 667.51 | 130 Ordinary shares | 130 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 693.18 | 135 Ordinary shares | 135 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,006.40 | 196 Ordinary shares | 196 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,023.07 | 394 Ordinary shares | 394 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,550.68 | 302 Ordinary shares | 302 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,807.41 | 352 Ordinary shares | 352 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,186.12 | 231 Ordinary shares | 231 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 857.49 | 167 Ordinary shares | 167 |
20
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 723.99 | 141 Ordinary shares | 141 |
|---|---|---|---|---|---|
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,730.39 | 337 Ordinary shares | 337 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 410.78 | 80 Ordinary shares | 80 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 759.94 | 148 Ordinary shares | 148 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,057.75 | 206 Ordinary shares | 206 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,453.12 | 283 Ordinary shares | 283 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,341.42 | 456 Ordinary shares | 456 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 857.49 | 167 Ordinary shares | 167 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 600.76 | 117 Ordinary shares | 117 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 277.27 | 54 Ordinary shares | 54 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,863.90 | 363 Ordinary shares | 363 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,047.48 | 204 Ordinary shares | 204 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,662.31 | 908 Ordinary shares | 908 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 10,176.98 | 1,982 Ordinary shares | 1,982 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,408.17 | 469 Ordinary shares | 469 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 277.27 | 54 Ordinary shares | 54 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,650.77 | 711 Ordinary shares | 711 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,083.42 | 211 Ordinary shares | 211 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,016.67 | 198 Ordinary shares | 198 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,315.75 | 451 Ordinary shares | 451 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 462.12 | 90 Ordinary shares | 90 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,110.36 | 411 Ordinary shares | 411 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,971.72 | 384 Ordinary shares | 384 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 662.38 | 129 Ordinary shares | 129 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 431.31 | 84 Ordinary shares | 84 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,956.32 | 381 Ordinary shares | 381 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,125.77 | 414 Ordinary shares | 414 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,925.51 | 375 Ordinary shares | 375 |
21
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 770.21 | 150 Ordinary shares | 150 |
|---|---|---|---|---|---|
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,622.57 | 316 Ordinary shares | 316 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 575.09 | 112 Ordinary shares | 112 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,350.43 | 263 Ordinary shares | 263 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,956.32 | 381 Ordinary shares | 381 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,281.07 | 639 Ordinary shares | 639 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 867.76 | 169 Ordinary shares | 169 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 960.19 | 187 Ordinary shares | 187 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,951.19 | 380 Ordinary shares | 380 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,863.90 | 363 Ordinary shares | 363 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 5,319.55 | 1,036 Ordinary shares | 1,036 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 9,216.79 | 1,795 Ordinary shares | 1,795 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 544.28 | 106 Ordinary shares | 106 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,797.15 | 350 Ordinary shares | 350 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 662.38 | 129 Ordinary shares | 129 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 657.24 | 128 Ordinary shares | 128 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,622.57 | 316 Ordinary shares | 316 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,146.30 | 418 Ordinary shares | 418 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 939.65 | 183 Ordinary shares | 183 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,851.03 | 750 Ordinary shares | 750 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,494.20 | 291 Ordinary shares | 291 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,053.88 | 400 Ordinary shares | 400 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,300.35 | 448 Ordinary shares | 448 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,085.95 | 601 Ordinary shares | 601 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 949.92 | 185 Ordinary shares | 185 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 636.70 | 124 Ordinary shares | 124 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,042.34 | 203 Ordinary shares | 203 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,026.94 | 200 Ordinary shares | 200 |
22
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 795.88 | 155 Ordinary shares | 155 |
|---|---|---|---|---|---|
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,129.63 | 220 Ordinary shares | 220 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,216.92 | 237 Ordinary shares | 237 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,423.58 | 472 Ordinary shares | 472 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,858.76 | 362Ordinary shares | 362 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 518.60 | 101 Ordinary shares | 101 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 482.66 | 94 Ordinary shares | 94 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,006.40 | 196 Ordinary shares | 196 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,403.04 | 468 Ordinary shares | 468 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,853.63 | 361 Ordinary shares | 361 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,406.91 | 274 Ordinary shares | 274 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 831.82 | 162 Ordinary shares | 162 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,920.38 | 374 Ordinary shares | 374 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 6,859.96 | 1,336 Ordinary shares | 1,336 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,249.00 | 438 Ordinary shares | 438 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,003.80 | 585 Ordinary shares | 585 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 585.36 | 114 Ordinary shares | 114 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,269.54 | 442 Ordinary shares | 442 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,560.95 | 304 Ordinary shares | 304 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,228.46 | 434 Ordinary shares | 434 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,057.75 | 206 Ordinary shares | 206 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,679.05 | 327 Ordinary shares | 327 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,093.69 | 213 Ordinary shares | 213 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,798.41 | 545 Ordinary shares | 545 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,114.23 | 217 Ordinary shares | 217 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,101.36 | 604 Ordinary shares | 604 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 898.57 | 175 Ordinary shares | 175 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,480.06 | 483 Ordinary shares | 483 |
23
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,550.68 | 302 Ordinary shares | 302 |
|---|---|---|---|---|---|
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,070.55 | 598 Ordinary shares | 598 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,786.88 | 348 Ordinary shares | 348 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,419.71 | 666 Ordinary shares | 666 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,602.03 | 312Ordinary shares | 312 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 184.85 | 36 Ordinary shares | 36 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,345.29 | 262 Ordinary shares | 262 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 66.75 | 13 Ordinary shares | 13 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 523.74 | 102 Ordinary shares | 102 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,879.30 | 366 Ordinary shares | 366 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 939.65 | 183 Ordinary shares | 183 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 611.03 | 119 Ordinary shares | 119 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,021.81 | 199 Ordinary shares | 199 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,006.40 | 196 Ordinary shares | 196 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,057.75 | 206 Ordinary shares | 206 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 544.28 | 106 Ordinary shares | 106 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,042.34 | 203 Ordinary shares | 203 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,797.15 | 350 Ordinary shares | 350 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 826.69 | 161 Ordinary shares | 161 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,228.46 | 434 Ordinary shares | 434 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,463.39 | 285 Ordinary shares | 285 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,763.74 | 733 Ordinary shares | 733 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,234.86 | 630 Ordinary shares | 630 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 482.66 | 94 Ordinary shares | 94 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 544.28 | 106 Ordinary shares | 106 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,573.75 | 696 Ordinary shares | 696 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,074.42 | 404 Ordinary shares | 404 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,762.47 | 538 Ordinary shares | 538 |
24
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,675.18 | 521 Ordinary shares | 521 |
|---|---|---|---|---|---|
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,068.02 | 208 Ordinary shares | 208 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 703.45 | 137 Ordinary shares | 137 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,137.30 | 611 Ordinary shares | 611 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,309.35 | 255 Ordinary shares | 255 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,374.76 | 852 Ordinary shares | 852 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,707.25 | 722 Ordinary shares | 722 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,043.61 | 398 Ordinary shares | 398 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,690.58 | 524 Ordinary shares | 524 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,907.51 | 761 Ordinary shares | 761 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,310.62 | 450 Ordinary shares | 450 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,073.15 | 209 Ordinary shares | 209 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,139.90 | 222 Ordinary shares | 222 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,288.81 | 251 Ordinary shares | 251 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,233.59 | 435 Ordinary shares | 435 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 3,753.47 | 731 Ordinary shares | 731 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,531.41 | 493 Ordinary shares | 493 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,853.63 | 361 Ordinary shares | 361 |
| Thursday, 18 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,283.68 | 250 Ordinary shares | 250 |
| Thursday, 18 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,130.90 | 415 Ordinary shares | 415 |
| Friday, 19 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 10,229.85 | 1,905 Ordinary shares | 1,905 |
| Friday, 19 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 10,229.85 | 1,905 Ordinary shares | 1,905 |
| Friday, 19 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 11,985.84 | 2,232 Ordinary shares | 2,232 |
| Friday, 19 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 11,985.84 | 2,232 Ordinary shares | 2,232 |
| Wednesday, 24 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 11,905.09 | 2,225 Ordinary shares | 2,225 |
| Friday, 26 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 15,420.56 | 2,838 Ordinary shares | 2,838 |
| Friday, 26 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 7,525.54 | 1,385 Ordinary shares | 1,385 |
| Friday, 26 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 25,875.85 | 5,005 Ordinary shares | 5,005 |
25
| Friday, 26 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 25,875.85 | 5,005 Ordinary shares | 5,005 |
|---|---|---|---|---|---|
| Friday, 26 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,740.89 | 917 Ordinary shares | 917 |
| Friday, 26 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 4,740.89 | 917 Ordinary shares | 917 |
| Monday, 29 May 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 13,567.05 | 2,655 Ordinary shares | 2,655 |
| Monday,29 May2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 13,567.05 | 2,655 Ordinary shares | 2,655 |
| Friday, 02 June 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,144.80 | 785 Ordinary shares | 785 |
| Tuesday, 06 June 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 1,840.40 | 344 Ordinary shares | 344 |
| Wednesday, 07 June2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,261.32 | 798 Ordinary shares | 798 |
| Wednesday, 07 June 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 4,261.32 | 798 Ordinary shares | 798 |
| Thursday, 08 June 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 4,144.80 | 785 Ordinary shares | 785 |
| Thursday, 15 June 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 11,499.66 | 2,203 Ordinary shares | 2,203 |
| Thursday, 15 June 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 11,499.66 | 2,203 Ordinary shares | 2,203 |
| Friday, 16 June 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 14,968.80 | 2,835 Ordinary shares | 2,835 |
| Tuesday, 20 June 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,127.69 | 785 Ordinary shares | 785 |
| Tuesday, 20 June 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 4,952.25 | 930 Ordinary shares | 930 |
| Friday, 23 June 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 3,010.47 | 565 Ordinary shares | 565 |
| Wednesday, 05 July2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,322.05 | 798 Ordinary shares | 798 |
| Monday, 10 July 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 13,457.52 | 2,485 Ordinary shares | 2,485 |
| Monday, 10 July 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 12,086.73 | 2,232 Ordinary shares | 2,232 |
| Tuesday, 11 July2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 14,462.06 | 2,729 Ordinary shares | 2,729 |
| Tuesday, 11 July 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 12,669.55 | 2,395 Ordinary shares | 2,395 |
| Tuesday, 11 July 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 12,669.55 | 2,395 Ordinary shares | 2,395 |
| Thursday, 13 July 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 12,304.17 | 2,342 Ordinary shares | 2,342 |
| Thursday, 13 July 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 31,889.96 | 6,070 Ordinary shares | 6,070 |
| Thursday, 13 July 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 13,948.57 | 2,655 Ordinary shares | 2,655 |
| Friday, 14 July 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 11,568.39 | 2,203 Ordinary shares | 2,203 |
| Tuesday, 18 July 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,939.33 | 917 Ordinary shares | 917 |
| Tuesday, 25 July 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 12,571.12 | 2,395 Ordinary shares | 2,395 |
26
| Tuesday, 25 July 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 22,717.24 | 4,328 Ordinary shares | 4,328 |
|---|---|---|---|---|---|
| Tuesday, 25 July 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 18,224.88 | 3,472 Ordinary shares | 3,472 |
| Wednesday, 02 August 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 14,513.78 | 2,564 Ordinary shares | 2,564 |
| Friday, 25 August 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 12,843.43 | 2,330 Ordinary shares | 2,330 |
| Friday,25 August2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 12,882.01 | 2,337 Ordinary shares | 2,337 |
| Friday, 25 August 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 9,640.84 | 1,749 Ordinary shares | 1,749 |
| Friday, 25 August 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 22,478.75 | 4,078 Ordinary shares | 4,078 |
| Friday,25 August2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 16,426.36 | 2,980 Ordinary shares | 2,980 |
| Friday, 25 August 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 18,642.26 | 3,382 Ordinary shares | 3,382 |
| Friday, 25 August 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 21,381.82 | 3,879 Ordinary shares | 3,879 |
| Friday, 25 August 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 4,690.88 | 851 Ordinary shares | 851 |
| Thursday, 31 August 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 2,540.30 | 444 Ordinary shares | 444 |
| Monday, 02 October 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 15,200.40 | 2,868 Ordinary shares | 2,868 |
| Tuesday, 10 October 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 7,997.60 | 1,538 Ordinary shares | 1,538 |
| Monday, 16 October 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 9,485.43 | 1,750 Ordinary shares | 1,750 |
| Thursday, 26 October 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 5,001.36 | 916 Ordinary shares | 916 |
| Thursday,26 October2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 4,848.48 | 888 Ordinary shares | 888 |
| Thursday, 26 October 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 4,848.48 | 888 Ordinary shares | 888 |
| Monday, 04 December 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 12,013.20 | 2,115 Ordinary shares | 2,115 |
| Monday, 04 December2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 12,496.00 | 2,200 Ordinary shares | 2,200 |
| Wednesday, 06 December 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 11,110.00 | 2,000 Ordinary shares | 2,000 |
| Tuesday, 12 December 2017 | Avanteos Investments Limited ACN 096 259 979 |
Sale | 10,537.13 | 1,905 Ordinary shares | 1,905 |
| Thursday, 21 December 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 15,120.00 | 2,700 Ordinary shares | 2,700 |
| Thursday, 21 December 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 10,080.00 | 1,800 Ordinary shares | 1,800 |
| Thursday, 21 December 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 10,080.00 | 1,800 Ordinary shares | 1,800 |
| Thursday, 21 December 2017 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 10,080.00 | 1,800 Ordinary shares | 1,800 |
| Monday, 15 January 2018 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 2,810.00 | 500 Ordinary shares | 500 |
| Monday, 22 January 2018 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 4,960.35 | 871 Ordinary shares | 871 |
27
| Tuesday, 20 February 2018 | Avanteos Investments Limited ACN 096 259 979 |
Purchase | 19,980.00 | 3,600 Ordinary shares | 3,600 |
|---|---|---|---|---|---|
| Thursday, 29 June 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 22,600 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
22,600 |
| Friday, 30 June 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 22,600 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
22,600 |
| Friday, 14 July 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 128,455 Ordinary shares (borrowed from Merrill Lynch International, see Annexure C) |
128,455 |
| Monday, 17 July 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 128,455 Ordinary shares (returned to Merrill Lynch International, see Annexure C) |
128,455 |
| Friday, 15 September 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 20,324 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
20,324 |
| Monday, 18 September 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 20,324 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
20,324 |
| Tuesday, 10 October 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 46,614 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
46,614 |
| Wednesday, 11 October 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 46,614 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
46,614 |
| Wednesday, 11 October 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 31,614 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
31,614 |
| Thursday, 12 October 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 31,614 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
31,614 |
| Monday, 30 October 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 136,783 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
136,783 |
| Tuesday, 31 October 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 136,783 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
136,783 |
| Tuesday, 31 October 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 136,783 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
136,783 |
| Wednesday, 01 November 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 136,783 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
136,783 |
| Tuesday, 28 November 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 1,111 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
1,111 |
| Wednesday, 29 November 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 1,111 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
1,111 |
| Wednesday, 29 November 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 41,475 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
41,475 |
| Thursday, 30 November 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 41,475 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
41,475 |
| Thursday, 30 November 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 15,459 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
15,459 |
| Friday, 01 December 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 15,459 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
15,459 |
28
| Friday, 01 December 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 62,315 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
62,315 |
|---|---|---|---|---|---|
| Monday, 04 December 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 62,315 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
62,315 |
| Monday, 04 December 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 21,851 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
21,851 |
| Tuesday, 05 December 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 21,851 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
21,851 |
| Tuesday, 05 December 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 36,998 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
36,998 |
| Wednesday, 06 December 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 36,998 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
36,998 |
| Wednesday, 06 December 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 36,998 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
36,998 |
| Thursday, 07 December 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 36,998 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
36,998 |
| Thursday, 07 December 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 22,498 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
22,498 |
| Friday, 08 December 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 22,498 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
22,498 |
| Tuesday, 12 December 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 33,769 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
33,769 |
| Wednesday, 13 December 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 33,769 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
33,769 |
| Wednesday, 13 December 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 33,769 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
33,769 |
| Thursday, 14 December 2017 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 33,769 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
33,769 |
| Friday, 05 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 28,841 Ordinary shares (borrowed from Merrill Lynch International, see Annexure C) |
28,841 |
| Monday, 08 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 28,841 Ordinary shares (returned to Merrill Lynch International, see Annexure C) |
28,841 |
| Thursday, 11 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 34,511 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
34,511 |
| Friday, 12 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 34,511 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
34,511 |
| Friday, 12 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 20,811 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
20,811 |
| Monday, 15 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 20,811 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
20,811 |
| Monday, 15 January2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 7,111 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
7,111 |
29
| Tuesday, 16 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 7,111 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
7,111 |
|---|---|---|---|---|---|
| Tuesday, 16 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 7,111 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
7,111 |
| Wednesday, 17 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 7,111 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
7,111 |
| Wednesday, 17 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 31,130 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
31,130 |
| Thursday, 18 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 31,130 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
31,130 |
| Thursday, 18 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 45,099 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
45,099 |
| Friday, 19 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 45,099 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
45,099 |
| Friday, 19 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 45,099 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
45,099 |
| Monday, 22 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 45,099 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
45,099 |
| Monday, 22 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 45,099 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
45,099 |
| Tuesday, 23 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 45,099 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
45,099 |
| Tuesday, 23 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 63,796 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
63,796 |
| Wednesday, 24 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 63,796 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
63,796 |
| Thursday, 25 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 63,796 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
63,796 |
| Friday, 26 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 63,796 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
63,796 |
| Friday, 26 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 63,796 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
63,796 |
| Monday, 29 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 63,796 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
63,796 |
| Monday, 29 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 35,096 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
35,096 |
| Tuesday, 30 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 35,096 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
35,096 |
| Tuesday, 30 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 35,096 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
35,096 |
| Wednesday, 31 January2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 35,096 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
35,096 |
30
| Wednesday, 31 January 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 35,096 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
35,096 |
|---|---|---|---|---|---|
| Thursday, 01 February 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 35,096 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
35,096 |
| Thursday, 01 February 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 35,096 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
35,096 |
| Friday, 02 February 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 35,096 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
35,096 |
| Friday, 02 February 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 21,996 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
21,996 |
| Monday, 05 February 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 21,996 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
21,996 |
| Monday, 05 February 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 8,896 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
8,896 |
| Tuesday, 06 February 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 8,896 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
8,896 |
| Tuesday, 06 February 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 8,896 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
8,896 |
| Wednesday, 07 February 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 8,896 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
8,896 |
| Thursday, 08 February 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 51,919 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
51,919 |
| Friday, 09 February 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 51,919 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
51,919 |
| Friday, 16 February 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Increase | N/A | 30,663 Ordinary shares (borrowed from Barclays Capital Securities Ltd, see Annexure C) |
30,663 |
| Monday, 19 February 2018 | CBA Markets Limited ACN 003 485 952 |
Borrow Decrease | N/A | 30,663 Ordinary shares (returned to Barclays Capital Securities Ltd, see Annexure C) |
30,663 |
| Thursday, 11 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
8,193.37 | 1,489 Ordinary shares | 1,489 |
| Tuesday, 16 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
90,714.25 | 17,624 Ordinary shares | 17,624 |
| Tuesday, 16 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
113,241.69 | 21,955 Ordinary shares | 21,955 |
| Tuesday, 16 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
106,191.88 | 20,631 Ordinary shares | 20,631 |
| Tuesday, 16 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
60,742.11 | 11,801 Ordinary shares | 11,801 |
| Tuesday, 16 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
95,701.89 | 18,593 Ordinary shares | 18,593 |
| Tuesday, 16 May2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
16,761.14 | 3,242Ordinary shares | 3,242 |
31
| Tuesday, 16 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
331,152.65 | 64,203 Ordinary shares | 64,203 |
|---|---|---|---|---|---|
| Tuesday, 16 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
27,851.50 | 5,411 Ordinary shares | 5,411 |
| Tuesday, 16 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
53,680.15 | 10,429 Ordinary shares | 10,429 |
| Wednesday, 17 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
152,129.00 | 29,009 Ordinary shares | 29,009 |
| Wednesday, 17 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
444,881.22 | 84,833 Ordinary shares | 84,833 |
| Thursday, 18 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
16,761.14 | 3,242 Ordinary shares | 3,242 |
| Monday, 22 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
7,959.60 | 1,485 Ordinary shares | 1,485 |
| Tuesday, 23 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
139,657.59 | 26,007 Ordinary shares | 26,007 |
| Wednesday, 24 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
3,806.01 | 701 Ordinary shares | 701 |
| Wednesday, 31 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
21,058.88 | 4,147 Ordinary shares | 4,147 |
| Wednesday, 31 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
29,738.34 | 5,697 Ordinary shares | 5,697 |
| Wednesday, 31 May 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
11,651.04 | 2,232 Ordinary shares | 2,232 |
| Friday, 02 June 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
21,390.63 | 4,099 Ordinary shares | 4,099 |
| Monday, 05 June 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
16,889.95 | 3,157 Ordinary shares | 3,157 |
| Tuesday, 06 June 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
16,965.18 | 3,177 Ordinary shares | 3,177 |
| Wednesday, 14 June 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
7,892.64 | 1,512 Ordinary shares | 1,512 |
| Friday, 16 June 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
37,566.03 | 7,233 Ordinary shares | 7,233 |
| Monday, 19 June 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
6,312.30 | 1,191 Ordinary shares | 1,191 |
| Thursday, 22 June 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
10,700.08 | 2,042 Ordinary shares | 2,042 |
| Wednesday, 28 June 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
9,541.80 | 1,767 Ordinary shares | 1,767 |
| Friday, 30 June2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
6,362.91 | 1,159 Ordinary shares | 1,159 |
32
| Monday, 03 July 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
20,249.63 | 3,743 Ordinary shares | 3,743 |
|---|---|---|---|---|---|
| Wednesday, 05 July 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
6,109.12 | 1,123 Ordinary shares | 1,123 |
| Friday, 07 July 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
925,648.04 | 169,688 Ordinary shares | 169,688 |
| Friday, 07 July 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
438,101.96 | 80,312 Ordinary shares | 80,312 |
| Monday, 10 July 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
11,891.88 | 2,178 Ordinary shares | 2,178 |
| Wednesday, 12 July 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
9,241.82 | 1,757 Ordinary shares | 1,757 |
| Tuesday, 25 July 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
13,297.78 | 2,458 Ordinary shares | 2,458 |
| Thursday, 27 July 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
8,357.76 | 1,451 Ordinary shares | 1,451 |
| Friday, 28 July 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
293,117.40 | 52,530 Ordinary shares | 52,530 |
| Monday, 31 July 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
8,357.76 | 1,451 Ordinary shares | 1,451 |
| Tuesday, 01 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
463,068.14 | 82,561 Ordinary shares | 82,561 |
| Tuesday, 01 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
427,603.69 | 76,238 Ordinary shares | 76,238 |
| Tuesday, 01 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
423,806.54 | 75,561 Ordinary shares | 75,561 |
| Tuesday, 01 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
173,631.62 | 30,957 Ordinary shares | 30,957 |
| Tuesday, 01 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
231,015.25 | 41,188 Ordinary shares | 41,188 |
| Tuesday, 01 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
486,299.79 | 86,703 Ordinary shares | 86,703 |
| Wednesday, 02 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
14,214.64 | 2,552 Ordinary shares | 2,552 |
| Monday, 07 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
2,349,565.26 | 423,124 Ordinary shares | 423,124 |
| Monday, 07 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
865,125.16 | 155,797 Ordinary shares | 155,797 |
| Tuesday, 08 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
9,567.58 | 1,727 Ordinary shares | 1,727 |
| Wednesday, 09 August2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
18,670.40 | 3,334 Ordinary shares | 3,334 |
33
| Tuesday, 15 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
6,523.84 | 1,184 Ordinary shares | 1,184 |
|---|---|---|---|---|---|
| Wednesday, 23 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
10,254.54 | 1,851 Ordinary shares | 1,851 |
| Tuesday, 29 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
170,726.50 | 29,461 Ordinary shares | 29,461 |
| Tuesday, 29 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
199,573.94 | 34,593 Ordinary shares | 34,593 |
| Tuesday, 29 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
197,858.69 | 34,143 Ordinary shares | 34,143 |
| Tuesday, 29 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
212,183.93 | 36,615 Ordinary shares | 36,615 |
| Tuesday, 29 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
188,169.45 | 32,471 Ordinary shares | 32,471 |
| Tuesday, 29 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
85,412.51 | 14,739 Ordinary shares | 14,739 |
| Tuesday, 29 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
231,298.77 | 40,092 Ordinary shares | 40,092 |
| Tuesday, 29 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
248,046.75 | 42,995 Ordinary shares | 42,995 |
| Tuesday, 29 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
219,973.83 | 38,129 Ordinary shares | 38,129 |
| Tuesday, 29 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
99,847.54 | 17,307 Ordinary shares | 17,307 |
| Tuesday, 29 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
132,670.73 | 22,894 Ordinary shares | 22,894 |
| Tuesday, 29 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
155,099.17 | 26,884 Ordinary shares | 26,884 |
| Wednesday, 30 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
17,447.37 | 3,099 Ordinary shares | 3,099 |
| Thursday, 31 August 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
9,179.46 | 1,602 Ordinary shares | 1,602 |
| Monday, 04 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
8,202.60 | 1,470 Ordinary shares | 1,470 |
| Wednesday, 13 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
947,934.90 | 174,712 Ordinary shares | 174,712 |
| Monday, 18 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
11,203.80 | 2,130 Ordinary shares | 2,130 |
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
38,831.87 | 7,291 Ordinary shares | 7,291 |
| Tuesday, 19 September2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
77,670.52 | 14,583 Ordinary shares | 14,583 |
34
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
118,488.09 | 22,235 Ordinary shares | 22,235 |
|---|---|---|---|---|---|
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
40,296.52 | 7,566 Ordinary shares | 7,566 |
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
45,846.21 | 8,608 Ordinary shares | 8,608 |
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
37,681.45 | 7,075 Ordinary shares | 7,075 |
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
18,699.59 | 3,511 Ordinary shares | 3,511 |
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
122,953.71 | 23,073 Ordinary shares | 23,073 |
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
139,872.97 | 26,248 Ordinary shares | 26,248 |
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
91,688.81 | 17,215 Ordinary shares | 17,215 |
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
80,594.55 | 15,132 Ordinary shares | 15,132 |
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
37,399.87 | 7,022 Ordinary shares | 7,022 |
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
75,358.99 | 14,149 Ordinary shares | 14,149 |
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
114,960.36 | 21,573 Ordinary shares | 21,573 |
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
57,056.53 | 10,707 Ordinary shares | 10,707 |
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
31,684.37 | 5,949 Ordinary shares | 5,949 |
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
96,676.90 | 18,142 Ordinary shares | 18,142 |
| Tuesday, 19 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
63,375.26 | 11,899 Ordinary shares | 11,899 |
| Wednesday, 27 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
14,886.06 | 2,814 Ordinary shares | 2,814 |
| Thursday, 28 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
7,645.44 | 1,448 Ordinary shares | 1,448 |
| Friday, 29 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
8,170.73 | 1,556 Ordinary shares | 1,556 |
| Friday, 29 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
2,760.60 | 525 Ordinary shares | 525 |
| Friday,29 September2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
42,264.68 | 8,048 Ordinary shares | 8,048 |
35
| Friday, 29 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
18,541.80 | 3,531 Ordinary shares | 3,531 |
|---|---|---|---|---|---|
| Friday, 29 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
13,665.92 | 2,608 Ordinary shares | 2,608 |
| Friday, 29 September 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
13,854.56 | 2,644 Ordinary shares | 2,644 |
| Tuesday, 03 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
8,253.65 | 1,556 Ordinary shares | 1,556 |
| Tuesday, 03 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
42,695.12 | 8,049 Ordinary shares | 8,049 |
| Wednesday, 04 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
10,069.50 | 1,918 Ordinary shares | 1,918 |
| Thursday, 05 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
47,551.81 | 8,989 Ordinary shares | 8,989 |
| Friday, 06 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
12,521.43 | 2,367 Ordinary shares | 2,367 |
| Friday, 06 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
140,714.00 | 26,600 Ordinary shares | 26,600 |
| Wednesday, 11 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
3,186.75 | 607 Ordinary shares | 607 |
| Tuesday, 17 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
802,685.76 | 146,238 Ordinary shares | 146,238 |
| Tuesday, 17 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
130,130.84 | 23,708 Ordinary shares | 23,708 |
| Thursday, 19 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
26,200.48 | 4,651 Ordinary shares | 4,651 |
| Thursday, 19 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
1,678,722.09 | 296,851 Ordinary shares | 296,851 |
| Thursday, 19 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
13,153.76 | 2,335 Ordinary shares | 2,335 |
| Thursday, 19 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
842,666.45 | 149,010 Ordinary shares | 149,010 |
| Thursday, 19 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
21,783.97 | 3,867 Ordinary shares | 3,867 |
| Thursday, 19 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
18,251.89 | 3,240 Ordinary shares | 3,240 |
| Thursday, 19 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
23,637.33 | 4,196 Ordinary shares | 4,196 |
| Thursday, 19 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
57,938.49 | 10,285 Ordinary shares | 10,285 |
| Thursday, 19 October2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
1,395,661.71 | 246,797 Ordinary shares | 246,797 |
36
| Thursday, 19 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
1,514,311.37 | 267,778 Ordinary shares | 267,778 |
|---|---|---|---|---|---|
| Thursday, 19 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
1,169,599.09 | 206,822 Ordinary shares | 206,822 |
| Thursday, 19 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
3,712,324.33 | 656,456 Ordinary shares | 656,456 |
| Friday, 20 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
233,589.47 | 41,432 Ordinary shares | 41,432 |
| Friday, 20 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
117,251.41 | 20,797 Ordinary shares | 20,797 |
| Friday, 20 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
194,203.10 | 34,446 Ordinary shares | 34,446 |
| Friday, 20 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
210,710.87 | 37,374 Ordinary shares | 37,374 |
| Friday, 20 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
516,555.67 | 91,622 Ordinary shares | 91,622 |
| Friday, 20 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
162,743.62 | 28,866 Ordinary shares | 28,866 |
| Monday, 23 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
13,955.20 | 2,492 Ordinary shares | 2,492 |
| Wednesday, 25 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
12,116.09 | 2,160 Ordinary shares | 2,160 |
| Thursday, 26 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
417,303.44 | 76,682 Ordinary shares | 76,682 |
| Thursday, 26 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
141,334.18 | 25,971 Ordinary shares | 25,971 |
| Thursday, 26 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
346,100.32 | 63,598 Ordinary shares | 63,598 |
| Thursday, 26 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
289,753.85 | 53,244 Ordinary shares | 53,244 |
| Thursday, 26 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
268,568.14 | 49,351 Ordinary shares | 49,351 |
| Thursday, 26 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
784,616.68 | 144,178 Ordinary shares | 144,178 |
| Tuesday, 31 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
97,857.09 | 17,964 Ordinary shares | 17,964 |
| Tuesday, 31 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
48,536.33 | 8,910 Ordinary shares | 8,910 |
| Tuesday, 31 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
81,291.55 | 14,923 Ordinary shares | 14,923 |
| Tuesday, 31 October2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
68,125.18 | 12,506 Ordinary shares | 12,506 |
37
| Tuesday, 31 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
88,002.75 | 16,155 Ordinary shares | 16,155 |
|---|---|---|---|---|---|
| Tuesday, 31 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
211,054.07 | 38,744 Ordinary shares | 38,744 |
| Tuesday, 31 October 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
8,693.12 | 1,598 Ordinary shares | 1,598 |
| Wednesday, 01 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
316,091.97 | 57,577 Ordinary shares | 57,577 |
| Wednesday, 01 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
156,775.07 | 28,557 Ordinary shares | 28,557 |
| Wednesday, 01 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
262,587.41 | 47,831 Ordinary shares | 47,831 |
| Wednesday, 01 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
220,057.15 | 40,084 Ordinary shares | 40,084 |
| Wednesday, 01 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
284,245.06 | 51,776 Ordinary shares | 51,776 |
| Wednesday, 01 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
681,708.33 | 124,175 Ordinary shares | 124,175 |
| Thursday, 02 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
8,693.12 | 1,598 Ordinary shares | 1,598 |
| Thursday, 02 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
9,422.08 | 1,732 Ordinary shares | 1,732 |
| Monday, 06 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
13,645.19 | 2,441 Ordinary shares | 2,441 |
| Monday, 06 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
8,809.84 | 1,576 Ordinary shares | 1,576 |
| Tuesday, 07 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
233,430.94 | 41,592 Ordinary shares | 41,592 |
| Thursday, 09 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
56,985.44 | 10,077 Ordinary shares | 10,077 |
| Thursday, 09 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
86,858.55 | 15,380 Ordinary shares | 15,380 |
| Thursday, 09 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
30,995.06 | 5,481 Ordinary shares | 5,481 |
| Monday, 13 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
86,858.55 | 15,380 Ordinary shares | 15,380 |
| Thursday, 16 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
13,099.13 | 2,301 Ordinary shares | 2,301 |
| Thursday, 16 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
3,772.42 | 666 Ordinary shares | 666 |
| Tuesday,21 November2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
152,913.30 | 26,358 Ordinary shares | 26,358 |
38
| Tuesday, 21 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
85,588.05 | 14,753 Ordinary shares | 14,753 |
|---|---|---|---|---|---|
| Tuesday, 21 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
154,236.02 | 26,586 Ordinary shares | 26,586 |
| Tuesday, 21 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
126,917.23 | 21,877 Ordinary shares | 21,877 |
| Tuesday, 21 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
104,309.17 | 17,980 Ordinary shares | 17,980 |
| Tuesday, 21 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
324,855.19 | 55,996 Ordinary shares | 55,996 |
| Wednesday, 22 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
23,891.03 | 4,104 Ordinary shares | 4,104 |
| Wednesday, 22 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
13,371.76 | 2,297 Ordinary shares | 2,297 |
| Wednesday, 22 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
16,294.10 | 2,799 Ordinary shares | 2,799 |
| Wednesday, 22 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
19,833.51 | 3,407 Ordinary shares | 3,407 |
| Wednesday, 22 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
24,100.60 | 4,140 Ordinary shares | 4,140 |
| Wednesday, 22 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
50,756.79 | 8,719 Ordinary shares | 8,719 |
| Wednesday, 22 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
10,237.20 | 1,796 Ordinary shares | 1,796 |
| Thursday, 23 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
96,584.94 | 16,675 Ordinary shares | 16,675 |
| Thursday, 23 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
8,664.19 | 1,471 Ordinary shares | 1,471 |
| Monday, 27 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
193,538.83 | 32,860 Ordinary shares | 32,860 |
| Tuesday, 28 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
157,760.59 | 26,993 Ordinary shares | 26,993 |
| Tuesday, 28 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
160,624.39 | 27,483 Ordinary shares | 27,483 |
| Tuesday, 28 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
228,549.17 | 39,105 Ordinary shares | 39,105 |
| Tuesday, 28 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
148,000.27 | 25,323 Ordinary shares | 25,323 |
| Tuesday, 28 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
64,815.51 | 11,090 Ordinary shares | 11,090 |
| Tuesday,28 November2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
148,608.10 | 25,427 Ordinary shares | 25,427 |
39
| Wednesday, 29 November 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
104,779.10 | 17,822 Ordinary shares | 17,822 |
|---|---|---|---|---|---|
| Tuesday, 05 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
15,742.66 | 2,878 Ordinary shares | 2,878 |
| Tuesday, 05 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
45,954.87 | 7,961 Ordinary shares | 7,961 |
| Tuesday, 05 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
103,460.62 | 17,480 Ordinary shares | 17,480 |
| Tuesday, 05 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
25,502.91 | 4,418 Ordinary shares | 4,418 |
| Tuesday, 05 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
38,196.63 | 6,617 Ordinary shares | 6,617 |
| Tuesday, 05 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
32,083.56 | 5,558 Ordinary shares | 5,558 |
| Tuesday, 05 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
46,110.73 | 7,988 Ordinary shares | 7,988 |
| Tuesday, 05 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
99,292.77 | 17,201 Ordinary shares | 17,201 |
| Wednesday, 06 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
7,167.93 | 1,267 Ordinary shares | 1,267 |
| Wednesday, 06 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
9,521.40 | 1,683 Ordinary shares | 1,683 |
| Wednesday, 06 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
11,422.29 | 2,019 Ordinary shares | 2,019 |
| Wednesday, 06 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
11,020.62 | 1,948 Ordinary shares | 1,948 |
| Wednesday, 06 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
4,882.34 | 863 Ordinary shares | 863 |
| Wednesday, 06 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
8,101.40 | 1,432 Ordinary shares | 1,432 |
| Thursday, 07 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
58,823.72 | 10,696 Ordinary shares | 10,696 |
| Thursday, 07 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
78,127.32 | 14,206 Ordinary shares | 14,206 |
| Thursday, 07 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
93,740.68 | 17,045 Ordinary shares | 17,045 |
| Thursday, 07 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
334,524.17 | 60,827 Ordinary shares | 60,827 |
| Thursday, 07 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
40,097.58 | 7,291 Ordinary shares | 7,291 |
| Thursday, 07 December2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
66,479.16 | 12,088 Ordinary shares | 12,088 |
40
| Monday, 11 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
10,002.44 | 1,799 Ordinary shares | 1,799 |
|---|---|---|---|---|---|
| Thursday, 14 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
5,179.92 | 936 Ordinary shares | 936 |
| Thursday, 14 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
11,186.96 | 2,014 Ordinary shares | 2,014 |
| Friday, 15 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
14,890.16 | 2,664 Ordinary shares | 2,664 |
| Friday, 15 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
98,496.08 | 17,838 Ordinary shares | 17,838 |
| Monday, 18 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
126,983.12 | 22,721 Ordinary shares | 22,721 |
| Thursday, 28 December 2017 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
7,546.80 | 1,324 Ordinary shares | 1,324 |
| Wednesday, 03 January 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
5,655.65 | 1,001 Ordinary shares | 1,001 |
| Monday, 15 January 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
9,931.32 | 1,764 Ordinary shares | 1,764 |
| Monday, 15 January 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
9,059.44 | 1,612 Ordinary shares | 1,612 |
| Wednesday, 17 January 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
55,913.61 | 9,954 Ordinary shares | 9,954 |
| Tuesday, 23 January 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
10,022.25 | 1,743 Ordinary shares | 1,743 |
| Thursday, 25 January 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
257,443.61 | 45,047 Ordinary shares | 45,047 |
| Tuesday, 30 January 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
278,789.51 | 48,895 Ordinary shares | 48,895 |
| Tuesday, 30 January 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
100,345.98 | 17,599 Ordinary shares | 17,599 |
| Tuesday, 30 January 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
147,796.36 | 25,921 Ordinary shares | 25,921 |
| Tuesday, 30 January 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
308,929.23 | 54,181 Ordinary shares | 54,181 |
| Tuesday, 30 January 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
422,343.73 | 74,072 Ordinary shares | 74,072 |
| Tuesday, 30 January 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
261,404.72 | 45,846 Ordinary shares | 45,846 |
| Tuesday, 30 January 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
9,986.79 | 1,713 Ordinary shares | 1,713 |
| Wednesday, 31 January2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
27,745.84 | 4,751 Ordinary shares | 4,751 |
41
| Thursday, 08 February 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
22,832.80 | 4,000 Ordinary shares | 4,000 |
|---|---|---|---|---|---|
| Thursday, 08 February 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
25,572.74 | 4,480 Ordinary shares | 4,480 |
| Monday, 12 February 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
25,572.74 | 4,480 Ordinary shares | 4,480 |
| Monday, 12 February 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
22,832.80 | 4,000 Ordinary shares | 4,000 |
| Tuesday, 13 February 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
740,449.54 | 132,640 Ordinary shares | 132,640 |
| Tuesday, 13 February 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
65,654.61 | 11,761 Ordinary shares | 11,761 |
| Tuesday, 13 February 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
11,199.24 | 1,960 Ordinary shares | 1,960 |
| Thursday, 15 February 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Sale |
11,199.24 | 1,960 Ordinary shares | 1,960 |
| Wednesday, 21 February 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Purchase |
9,992.58 | 1,794 Ordinary shares | 1,794 |
| Thursday, 22 February 2018 | Colonial First State Asset Management (Australia) Limited ACN 114 194 311 |
Transition Out |
N/A | 675,023 Ordinary shares | 675,023 |
| Monday, 15 May 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 73,528.75 | 13,340 Ordinary shares | 13,340 |
| Wednesday, 17 May 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Increase | N/A | 3,636 Ordinary shares (borrowed from Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
3,636 |
| Wednesday, 17 May 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Increase | N/A | 7,946 Ordinary shares (borrowed from UBS AG (Agreement 1), see Annexure C) |
7,946 |
| Wednesday, 17 May 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 217,961.93 | 41,359 Ordinary shares | 41,359 |
| Friday, 19 May 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 106,790.00 | 20,000 Ordinary shares | 20,000 |
| Tuesday, 23 May 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Increase | N/A | 26,350 Ordinary shares (borrowed from UBS AG (Agreement 3), see Annexure C) |
26,350 |
| Wednesday, 24 May 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Increase | N/A | 6,170 Ordinary shares (borrowed from Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
6,170 |
| Friday, 26 May 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 165,269.72 | 32,662 Ordinary shares | 32,662 |
| Friday, 26 May 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 1,239,254.72 | 244,912 Ordinary shares | 244,912 |
| Monday, 29 May 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 182,933.45 | 36,155 Ordinary shares | 36,155 |
42
| Tuesday, 30 May 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Increase | N/A | 13,968 Ordinary shares (borrowed from Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
13,968 |
|---|---|---|---|---|---|
| Tuesday, 30 May 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 2,908,276.87 | 574,622 Ordinary shares | 574,622 |
| Wednesday, 31 May 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Increase | N/A | 19,132 Ordinary shares (borrowed from UBS AG (Agreement 1), see Annexure C) |
19,132 |
| Friday, 02 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 389,470.50 | 73,485 Ordinary shares | 73,485 |
| Friday, 02 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 213,248.11 | 40,256 Ordinary shares | 40,256 |
| Tuesday, 06 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 493,573.20 | 93,222 Ordinary shares | 93,222 |
| Wednesday, 07 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 246,396.16 | 46,363 Ordinary shares | 46,363 |
| Wednesday, 07 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 291,638.08 | 55,354 Ordinary shares | 55,354 |
| Thursday, 08 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 1,594 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
1,594 |
| Thursday, 08 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 487,651.37 | 91,288 Ordinary shares | 91,288 |
| Thursday, 08 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 292,470.70 | 56,527 Ordinary shares | 56,527 |
| Friday, 09 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 279,019.13 | 55,471 Ordinary shares | 55,471 |
| Friday, 09 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 14,285.70 | 2,860 Ordinary shares | 2,860 |
| Tuesday, 13 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 503,380.00 | 100,000 Ordinary shares | 100,000 |
| Tuesday, 13 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 403,296.00 | 80,000 Ordinary shares | 80,000 |
| Wednesday, 14 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Increase | N/A | 6,670 Ordinary shares (borrowed from Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
6,670 |
| Wednesday, 14 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 560,130.52 | 107,763 Ordinary shares | 107,763 |
| Wednesday, 14 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 51,969.00 | 10,000 Ordinary shares | 10,000 |
| Wednesday, 14 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 358,338.47 | 71,358 Ordinary shares | 71,358 |
| Thursday, 15 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Increase | N/A | 35,098 Ordinary shares (borrowed from UBS AG (Agreement 1), see Annexure C) |
35,098 |
43
| Thursday, 15 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 53,969.82 | 10,389 Ordinary shares | 10,389 |
|---|---|---|---|---|---|
| Thursday, 15 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 458,040.00 | 88,000 Ordinary shares | 88,000 |
| Friday, 16 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 79,095.00 | 15,000 Ordinary shares | 15,000 |
| Friday, 16 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 92,053.20 | 17,481 Ordinary shares | 17,481 |
| Monday, 19 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 68,907.54 | 13,026 Ordinary shares | 13,026 |
| Monday, 19 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 342,418.17 | 65,894 Ordinary shares | 65,894 |
| Monday, 19 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 225,647.69 | 43,418 Ordinary shares | 43,418 |
| Tuesday, 20 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 43,091.00 | 8,200 Ordinary shares | 8,200 |
| Tuesday, 20 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 403,307.45 | 76,689 Ordinary shares | 76,689 |
| Tuesday, 20 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 57,060.09 | 10,728 Ordinary shares | 10,728 |
| Thursday, 22 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 369,875.73 | 71,267 Ordinary shares | 71,267 |
| Thursday, 22 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 2,783 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
2,783 |
| Friday, 23 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 6,347 Ordinary shares (returned to UBS AG (Agreement 3), see Annexure C) |
6,347 |
| Monday, 26 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 253,204.53 | 48,787 Ordinary shares | 48,787 |
| Tuesday, 27 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 215,293.67 | 40,773 Ordinary shares | 40,773 |
| Wednesday, 28 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 135,000.00 | 25,000 Ordinary shares | 25,000 |
| Thursday, 29 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 1,702 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
1,702 |
| Friday, 30 June 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 887,875.97 | 164,157 Ordinary shares | 164,157 |
| Monday, 03 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 162,564.00 | 30,000 Ordinary shares | 30,000 |
| Monday, 03 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 158,125.06 | 29,204 Ordinary shares | 29,204 |
| Tuesday, 04 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 128,181.91 | 23,364 Ordinary shares | 23,364 |
44
| Wednesday, 05 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 55,595.39 | 10,181 Ordinary shares | 10,181 |
|---|---|---|---|---|---|
| Wednesday, 05 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 531,330.77 | 97,474 Ordinary shares | 97,474 |
| Thursday, 06 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 2,861 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
2,861 |
| Thursday, 06 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 234,002.12 | 43,545 Ordinary shares | 43,545 |
| Friday, 07 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 342,525.28 | 64,614 Ordinary shares | 64,614 |
| Tuesday, 11 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 128,846.23 | 24,323 Ordinary shares | 24,323 |
| Tuesday, 11 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 1,535,386.29 | 292,054 Ordinary shares | 292,054 |
| Wednesday, 12 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 17,567.70 | 3,344 Ordinary shares | 3,344 |
| Wednesday, 12 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 25,969.46 | 4,967 Ordinary shares | 4,967 |
| Wednesday, 12 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 779,746.40 | 146,445 Ordinary shares | 146,445 |
| Thursday, 13 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 1,392,937.42 | 264,817 Ordinary shares | 264,817 |
| Thursday, 13 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 7,675 Ordinary shares (returned to UBS AG (Agreement 3), see Annexure C) |
7,675 |
| Thursday, 13 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 298,065.41 | 56,060 Ordinary shares | 56,060 |
| Monday, 17 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 61,406.31 | 11,533 Ordinary shares | 11,533 |
| Tuesday, 18 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 263,416.11 | 48,923 Ordinary shares | 48,923 |
| Tuesday, 18 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 99,581.02 | 18,983 Ordinary shares | 18,983 |
| Tuesday, 18 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 7,119.71 | 1,355 Ordinary shares | 1,355 |
| Wednesday, 19 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 528,340.70 | 100,445 Ordinary shares | 100,445 |
| Wednesday, 19 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 629,797.71 | 117,695 Ordinary shares | 117,695 |
| Thursday, 20 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 2,672 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
2,672 |
| Thursday, 20 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 175,703.50 | 33,569 Ordinary shares | 33,569 |
45
| Thursday, 20 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 827,183.71 | 157,709 Ordinary shares | 157,709 |
|---|---|---|---|---|---|
| Friday, 21 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 122,777.82 | 23,364 Ordinary shares | 23,364 |
| Thursday, 27 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 1,832 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
1,832 |
| Friday, 28 July 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 179,798.48 | 31,527 Ordinary shares | 31,527 |
| Tuesday, 01 August 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 4,394 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
4,394 |
| Thursday, 03 August 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 23,529 Ordinary shares (returned to UBS AG (Agreement 3), see Annexure C) |
23,529 |
| Thursday, 03 August 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 3,182 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
3,182 |
| Thursday, 10 August 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 1,926 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
1,926 |
| Monday, 28 August 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 314,824.18 | 55,070 Ordinary shares | 55,070 |
| Tuesday, 29 August 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 1,757 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
1,757 |
| Tuesday, 29 August 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Increase | N/A | 10,074 Ordinary shares (borrowed from UBS AG (Agreement 3), see Annexure C) |
10,074 |
| Tuesday, 29 August 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 11,345.71 | 1,965 Ordinary shares | 1,965 |
| Tuesday, 29 August 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 233,548.48 | 40,449 Ordinary shares | 40,449 |
| Tuesday, 29 August 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 23,250.55 | 4,026 Ordinary shares | 4,026 |
| Tuesday, 29 August 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 478,559.44 | 82,866 Ordinary shares | 82,866 |
| Wednesday, 30 August 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 17,437.38 | 3,008 Ordinary shares | 3,008 |
| Wednesday, 30 August 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 1,937.20 | 334 Ordinary shares | 334 |
| Wednesday, 30 August 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 324,904.46 | 56,047 Ordinary shares | 56,047 |
| Wednesday, 30 August 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 36,116.60 | 6,227 Ordinary shares | 6,227 |
| Thursday, 31 August 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 2,162 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
2,162 |
| Tuesday, 05 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 9,531.52 | 1,696 Ordinary shares | 1,696 |
|---|---|---|---|---|---|
| Tuesday, 05 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 26,797.38 | 4,887 Ordinary shares | 4,887 |
| Wednesday, 06 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 96,968.95 | 17,632 Ordinary shares | 17,632 |
| Friday, 08 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 439,340.00 | 79,880 Ordinary shares | 79,880 |
| Monday, 11 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 86,813.32 | 15,529 Ordinary shares | 15,529 |
| Tuesday, 12 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 24,367.19 | 4,557 Ordinary shares | 4,557 |
| Wednesday, 13 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 61,370.52 | 11,594 Ordinary shares | 11,594 |
| Thursday, 14 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 64,174.41 | 12,178 Ordinary shares | 12,178 |
| Thursday, 14 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 2,748,339.00 | 510,000 Ordinary shares | 510,000 |
| Friday, 15 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 115,170.00 | 22,000 Ordinary shares | 22,000 |
| Monday, 18 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 527,500.00 | 100,000 Ordinary shares | 100,000 |
| Tuesday, 19 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 785,250.00 | 150,000 Ordinary shares | 150,000 |
| Wednesday, 20 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 169,635.37 | 32,427 Ordinary shares | 32,427 |
| Wednesday, 20 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 93,129.17 | 17,471 Ordinary shares | 17,471 |
| Thursday, 21 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Increase | N/A | 24,579 Ordinary shares (borrowed from UBS AG (Agreement 3), see Annexure C) |
24,579 |
| Thursday, 21 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 30,381.28 | 5,717 Ordinary shares | 5,717 |
| Thursday, 21 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 789,411.52 | 148,263 Ordinary shares | 148,263 |
| Friday, 22 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 22,829.14 | 4,303 Ordinary shares | 4,303 |
| Friday, 22 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 332,911.85 | 62,412 Ordinary shares | 62,412 |
| Monday, 25 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 21,272.19 | 4,016 Ordinary shares | 4,016 |
| Monday,25 September2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 57,927.63 | 10,927 Ordinary shares | 10,927 |
47
| Monday, 25 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 18,329.34 | 3,436 Ordinary shares | 3,436 |
|---|---|---|---|---|---|
| Tuesday, 26 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 32,199.39 | 6,085 Ordinary shares | 6,085 |
| Wednesday, 27 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 27,100.10 | 5,129 Ordinary shares | 5,129 |
| Thursday, 28 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 30,041.96 | 5,693 Ordinary shares | 5,693 |
| Friday, 29 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 1,259,232.48 | 238,491 Ordinary shares | 238,491 |
| Friday, 29 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 8,082.23 | 1,539 Ordinary shares | 1,539 |
| Friday, 29 September 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 72,800.63 | 13,863 Ordinary shares | 13,863 |
| Monday, 02 October 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 31,636.57 | 6,029 Ordinary shares | 6,029 |
| Tuesday, 03 October 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 31,286.07 | 5,946 Ordinary shares | 5,946 |
| Wednesday, 04 October 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 30,569.53 | 5,819 Ordinary shares | 5,819 |
| Thursday, 05 October 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 8,079.75 | 1,539 Ordinary shares | 1,539 |
| Thursday, 05 October 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 28,672.91 | 5,493 Ordinary shares | 5,493 |
| Friday, 06 October 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 33,462.70 | 6,344 Ordinary shares | 6,344 |
| Monday, 09 October 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 33,036.15 | 6,292 Ordinary shares | 6,292 |
| Monday, 16 October 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 248,664.54 | 46,979 Ordinary shares | 46,979 |
| Thursday, 19 October 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 8,738 Ordinary shares (returned to UBS AG (Agreement 2), see Annexure C) |
8,738 |
| Thursday, 19 October 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 695.10 | 123 Ordinary shares | 123 |
| Friday, 20 October 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 50,516 Ordinary shares (returned to UBS AG (Agreement 3), see Annexure C) |
50,516 |
| Friday, 20 October 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 227,504.37 | 40,657 Ordinary shares | 40,657 |
| Monday, 23 October 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 2,014 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
2,014 |
| Wednesday, 25 October 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 1,057.18 | 194 Ordinary shares | 194 |
48
| Thursday, 26 October 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 1,680 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
1,680 |
|---|---|---|---|---|---|
| Wednesday, 01 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 163,286.05 | 29,756 Ordinary shares | 29,756 |
| Thursday, 02 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 167,001.00 | 30,000 Ordinary shares | 30,000 |
| Thursday, 02 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 163,286.05 | 29,756 Ordinary shares | 29,756 |
| Thursday, 02 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 115,943.71 | 21,126 Ordinary shares | 21,126 |
| Thursday, 02 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 19,761.31 | 3,551 Ordinary shares | 3,551 |
| Friday, 03 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 202,951.12 | 36,502 Ordinary shares | 36,502 |
| Friday, 03 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 2,826.99 | 505 Ordinary shares | 505 |
| Friday, 03 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 15,055.49 | 2,688 Ordinary shares | 2,688 |
| Monday, 06 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 17,520.99 | 3,133 Ordinary shares | 3,133 |
| Monday, 06 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 76,857.86 | 13,863 Ordinary shares | 13,863 |
| Wednesday, 08 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 15,474.56 | 2,769 Ordinary shares | 2,769 |
| Thursday, 09 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 17,641.17 | 3,122 Ordinary shares | 3,122 |
| Friday, 10 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 17,279.17 | 3,035 Ordinary shares | 3,035 |
| Monday, 13 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 11,833.19 | 2,081 Ordinary shares | 2,081 |
| Tuesday, 14 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 6,945.26 | 1,225 Ordinary shares | 1,225 |
| Thursday, 16 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 1,879 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
1,879 |
| Friday, 17 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 49,235 Ordinary shares (returned to UBS AG (Agreement 3), see Annexure C) |
49,235 |
| Monday, 20 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 1,419 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
1,419 |
| Tuesday, 21 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 63,371.06 | 11,115 Ordinary shares | 11,115 |
49
| Wednesday, 22 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 74,054.40 | 12,992 Ordinary shares | 12,992 |
|---|---|---|---|---|---|
| Wednesday, 22 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 7,734.90 | 1,357 Ordinary shares | 1,357 |
| Monday, 27 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 88,171.50 | 15,000 Ordinary shares | 15,000 |
| Monday, 27 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 2,135 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
2,135 |
| Thursday, 30 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 1,936 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
1,936 |
| Thursday, 30 November 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 2,642.86 | 449 Ordinary shares | 449 |
| Monday, 04 December 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 1,477 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
1,477 |
| Thursday, 07 December 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Increase | N/A | 313 Ordinary shares (borrowed from Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
313 |
| Friday, 08 December 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 56,174 Ordinary shares (returned to UBS AG (Agreement 1), see Annexure C) |
56,174 |
| Thursday, 14 December 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 33,768.74 | 6,055 Ordinary shares | 6,055 |
| Friday, 15 December 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 19,289.71 | 3,457 Ordinary shares | 3,457 |
| Friday, 15 December 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 22,999 Ordinary shares (returned to UBS AG (Agreement 2), see Annexure C) |
22,999 |
| Wednesday, 20 December 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 15,311.50 | 2,747 Ordinary shares | 2,747 |
| Friday, 22 December 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 71,214.45 | 12,781 Ordinary shares | 12,781 |
| Friday, 22 December 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 19,531.37 | 3,428 Ordinary shares | 3,428 |
| Friday, 22 December 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 45,366 Ordinary shares (returned to UBS AG (Agreement 1), see Annexure C) |
45,366 |
| Wednesday, 27 December 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 61,204 Ordinary shares (returned to UBS AG (Agreement 3), see Annexure C) |
61,204 |
| Thursday, 28 December 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 10,083.06 | 1,774 Ordinary shares | 1,774 |
| Thursday, 28 December 2017 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 205,548.94 | 36,164 Ordinary shares | 36,164 |
| Friday, 05 January2018 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 83,445.29 | 14,773 Ordinary shares | 14,773 |
50
| Friday, 05 January 2018 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 2,901.61 | 507 Ordinary shares | 507 |
|---|---|---|---|---|---|
| Tuesday, 09 January 2018 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 66,685.77 | 11,650 Ordinary shares | 11,650 |
| Wednesday, 31 January 2018 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 6,891.20 | 1,168 Ordinary shares | 1,168 |
| Wednesday, 31 January 2018 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 58,545.70 | 9,923 Ordinary shares | 9,923 |
| Friday, 02 February 2018 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Purchase | 264,748.50 | 45,000 Ordinary shares | 45,000 |
| Tuesday, 06 February 2018 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 9,934.56 | 1,688 Ordinary shares | 1,688 |
| Wednesday, 14 February 2018 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 1,794 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
1,794 |
| Thursday, 15 February 2018 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Decrease | N/A | 1,325 Ordinary shares (returned to Citigroup Global Markets Limited (Agreement 1), see Annexure C) |
1,325 |
| Thursday, 15 February 2018 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Borrow Increase | N/A | 14,359 Ordinary shares (borrowed from UBS AG (Agreement 2), see Annexure C) |
14,359 |
| Tuesday, 20 February 2018 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 71,949.15 | 12,566 Ordinary shares | 12,566 |
| Wednesday, 21 February 2018 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 31,354.10 | 5,507 Ordinary shares | 5,507 |
| Thursday, 22 February 2018 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 311,558.50 | 55,000 Ordinary shares | 55,000 |
| Thursday, 22 February 2018 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 9,614.28 | 1,632 Ordinary shares | 1,632 |
| Thursday, 22 February 2018 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 160,809.36 | 27,297 Ordinary shares | 27,297 |
| Thursday, 22 February 2018 | Colonial First State Investments Limited (Note 1) ACN 002 348 352 |
Sale | 15,246.17 | 2,588 Ordinary shares | 2,588 |
| Thursday, 15 June 2017 | First State Investment Management (UK) Limited SC0 477 08 |
Purchase | 7,385,733.61 | 1,408,819 Ordinary shares |
1,408,819 |
| Friday, 01 September 2017 | First State Investment Management (UK) Limited SC0 477 08 |
Purchase | 2,479,028.18 | 441,863 Ordinary shares | 441,863 |
| Friday, 29 September 2017 | First State Investment Management (UK) Limited SC0 477 08 |
Purchase | 105,661.43 | 20,121 Ordinary shares | 20,121 |
| Friday,29 September2017 | First State Investment Management (UK) Limited SC0 477 08 |
Purchase | 379.73 | 72Ordinary shares | 72 |
| Monday, 23 October 2017 | First State Investment Management (UK) Limited SC0 477 08 |
Sale | 10,577,146.00 | 1,870,803 Ordinary shares |
1,870,803 |
| Tuesday, 06 June 2017 | Realindex Investments Pty Limited ACN 133 312017 |
Purchase | 31,249.68 | 5,852 Ordinary shares | 5,852 |
| Thursday, 24 August 2017 | Realindex Investments Pty Limited ACN 133 312 017 |
Purchase | 82,596.80 | 14,440 Ordinary shares | 14,440 |
| Monday, 25 September 2017 | Realindex Investments Pty Limited ACN 133 312017 |
Purchase | 47,125.50 | 8,825 Ordinary shares | 8,825 |
| Friday, 29 September 2017 | Realindex Investments Pty Limited ACN 133 312017 |
Purchase | 37,273.88 | 7,098 Ordinary shares | 7,098 |
|---|---|---|---|---|---|
| Friday, 03 November 2017 | Realindex Investments Pty Limited ACN 133 312017 |
Purchase | 126,701.28 | 22,788 Ordinary shares | 22,788 |
| Thursday, 23 November 2017 | Realindex Investments Pty Limited ACN 133 312 017 |
Purchase | 807,993.76 | 137,648 Ordinary shares | 137,648 |
52
Annexure C
This is annexure C referred to in Form 605, Notice of ceasing to be a substantial holder dated 22/02/2018
==> picture [220 x 22] intentionally omitted <==
Clare McManus
Company Secretary Dated the 07/03/2018
Commonwealth Bank of Australia will, if requested by the company or responsible entity to whom this form must be given or by the Australian Securities and Investments Commission (ASIC), give a copy of one or more of the following agreements to the company, responsible entity or ASIC (as appropriate).
Barclays Capital Securities Ltd
| Barclays Capital Securities Ltd | |
|---|---|
| Type of agreement: | Global Master Securities Lending Agreement |
| Parties to agreement: | (1) Commonwealth Bank of Australia and (2) Barclays Capital Securities Ltd |
| Can the parties exercise voting rights attaching to the securities? | No |
| If yes, in what circumstances? | N/A |
| Date on which the securities were (or are) expected to be delivered to the borrower or its nominee (i.e. borrow date): |
The dates indicated in Annexure B on which securities were borrowed. |
| Scheduled date (if any) when the securities are expected to be returned to the borrower or its nominee (i.e. return date): |
Any particular day. |
| Does the borrower have the right to return the securities early? [Yes/No] |
Yes |
| If yes, in which circumstances? | At any time subject to giving notice. |
| Does the lender have the right to recall the securities early (i.e. before the scheduled return date)? [Yes/No] |
Yes |
| Ifyes,in whichcircumstances? | At any time subject to givingnotice. |
| Are there circumstances in which the borrower will not be required to return the securities on settlement? [Yes/No] |
No |
Ifyes,in which circumstances? |
N/A |
Citigroup Global Markets Limited (Agreement 1)
| Citigroup Global Markets Limited (Agreement 1) | |
|---|---|
| Type of agreement: | Australian Master Securities Lending Agreement |
| Parties to agreement: | (1) Citigroup Global Markets Limited; and (2) Colonial First State Investments Limited |
| Can the parties exercise voting rights attaching to the securities? | No |
| If yes, in what circumstances? | N/A |
| Date on which the securities were (or are) expected to be delivered to the borrower or its nominee (i.e. borrow date): |
The dates indicated in Annexure B on which securities were borrowed. |
| Scheduled date (if any) when the securities are expected to be returned to the borrower or its nominee (i.e. return date): |
Any particular day. |
| Does the borrower have the right to return the securities early? [Yes/No] |
Yes |
| If yes, in which circumstances? | At any time subject to giving notice. |
| Does the lender have the right to recall the securities early (i.e. before the scheduled return date)? [Yes/No] |
Yes |
| If yes, in which circumstances? | At any time subject to giving notice. |
| Are there circumstances in which the borrower will not be required to return the securities on settlement? [Yes/No] |
No |
Ifyes,in which circumstances? |
N/A |
Merrill Lynch International
| Merrill Lynch International | |
|---|---|
| Type of agreement: | Global Master Securities Lending Agreement |
| Parties to agreement: | (1) Commonwealth Bank of Australia and (2) Merrill Lynch International |
| Can the parties exercise voting rights attaching to the securities? | No |
| If yes, in what circumstances? | N/A |
| Date on which the securities were (or are) expected to be delivered to the borrower or its nominee (i.e. borrow date): |
The dates indicated in Annexure B on which securities were borrowed. |
| Scheduled date (if any) when the securities are expected to be returned to the borrower or its nominee (i.e. return date): |
Any particularday. |
| Does the borrower have the right to return the securities early? [Yes/No] |
Yes |
| Ifyes,in whichcircumstances? | At any time subject to givingnotice. |
53
| Does the lender have the right to recall the securities early (i.e. before the scheduled return date)? [Yes/No] |
Yes |
|---|---|
| Ifyes,in whichcircumstances? | At any time subject to givingnotice. |
| Are there circumstances in which the borrower will not be required to return the securities on settlement? [Yes/No] |
No |
| Ifyes,in which circumstances? | N/A |
UBS AG (Agreement 1)
| UBS AG (Agreement 1) | |
|---|---|
| Type of agreement: | Australian Master Securities Lending Agreement |
| Parties to agreement: | (1) UBS AG; and (2) Colonial First State Investments Limited |
| Can the parties exercise voting rights attaching to the securities? | No |
| If yes, in what circumstances? | N/A |
| Date on which the securities were (or are) expected to be delivered to the borrower or its nominee (i.e. borrow date): |
The dates indicated in Annexure B on which securities were borrowed. |
| Scheduled date (if any) when the securities are expected to be returned to the borrower or its nominee (i.e. return date): |
Any particular day. |
| Does the borrower have the right to return the securities early? [Yes/No] |
Yes |
| If yes, in which circumstances? | At any time subject to giving notice. |
| Does the lender have the right to recall the securities early (i.e. before the scheduled return date)? [Yes/No] |
Yes |
| Ifyes,in whichcircumstances? | At any time subject to givingnotice. |
| Are there circumstances in which the borrower will not be required to return the securities on settlement? [Yes/No] |
No |
Ifyes,in which circumstances? |
N/A |
UBS AG (Agreement 2)
| UBS AG (Agreement 2) | |
|---|---|
| Type of agreement: | Australian Master Securities Lending Agreement |
| Parties to agreement: | (1) UBS AG; and (2) Colonial First State Investments Limited |
| Can the parties exercise voting rights attaching to the securities? | No |
| If yes, in what circumstances? | N/A |
| Date on which the securities were (or are) expected to be delivered to the borrower or its nominee (i.e. borrow date): |
The dates indicated in Annexure B on which securities were borrowed. |
| Scheduled date (if any) when the securities are expected to be returned to the borrower or its nominee (i.e. return date): |
Any particular day. |
| Does the borrower have the right to return the securities early? [Yes/No] |
Yes |
| If yes, in which circumstances? | At any time subject to giving notice. |
| Does the lender have the right to recall the securities early (i.e. before the scheduled return date)? [Yes/No] |
Yes |
| If yes, in which circumstances? | At any time subject to giving notice. |
| Are there circumstances in which the borrower will not be required to return the securities on settlement? [Yes/No] |
No |
Ifyes,in which circumstances? |
N/A |
UBS AG (Agreement 3)
| UBS AG (Agreement 3) | |
|---|---|
| Type of agreement: | Australian Master Securities Lending Agreement |
| Parties to agreement: | (1) UBS AG; and (2) Colonial First State Investments Limited |
| Can the parties exercise voting rights attaching to the securities? | No |
| If yes, in what circumstances? | N/A |
| Date on which the securities were (or are) expected to be delivered to the borrower or its nominee (i.e. borrow date): |
The dates indicated in Annexure B on which securities were borrowed. |
| Scheduled date (if any) when the securities are expected to be returned to the borrower or its nominee (i.e. return date): |
Any particularday. |
| Does the borrower have the right to return the securities early? [Yes/No] |
Yes |
| If yes, in which circumstances? | At any time subject to giving notice. |
| Does the lender have the right to recall the securities early (i.e. before the scheduled return date)? [Yes/No] |
Yes |
| If yes, in which circumstances? | At any time subject to giving notice. |
| Are there circumstances in which the borrower will not be required to return the securities on settlement? [Yes/No] |
No |
Ifyes,in which circumstances? |
N/A |
54