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BUBS AUSTRALIA LIMITED — Director's Dealing 2012
Sep 26, 2012
64582_rns_2012-09-26_c4679709-760f-4f37-adaa-f9bf30999767.pdf
Director's Dealing
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Appendix 3Y Change of Director’s Interest Notice
Appendix 3Y
Change of Director’s Interest Notice
Information or documents not available now must be given to ASX as soon as available. Information and documents given to ASX become ASX’s property and may be made public.
| Name of entity | Hillcrest Litigation Services Limited |
|---|---|
| ABN | 63 060 094 742 |
We (the entity) give ASX the following information under listing rule 3.19A.2 and as agent for the director for the purposes of section 205G of the Corporations Act.
| Name of Director | Alan Van Noort |
|---|---|
| Date of last notice | 5 September 2012 |
Part 1 - Change of director’s relevant interests in securities
In the case of a trust, this includes interests in the trust made available by the responsible entity of the trust
| Direct or indirect interest | Indirect |
|---|---|
| Nature of indirect interest(including registered holder)Note: Provide details of the circumstances giving rise to therelevant interest. | Lomp Pty Ltd and Avanoor Pty Ltd are theregistered holders. Alan Van Noort is a directorof Lomp Pty Ltd and Avanoor Pty Ltd. |
| Date of change | 21 September 2012 |
| No. of securities held prior to change | 40,468,989 |
| Class | Ordinary shares |
| Number acquired | 2,500 |
| Number disposed / expired | Nil |
| Value/ConsiderationNote: If consideration is non-cash, provide details and estimatedvaluation | $ 25.00 |
| No. of securities held after change | 40,471,489 |
- See chapter 19 for defined terms.
Appendix 3Y Page 1
Appendix 3Y Change of Director’s Interest Notice
| Nature of change | On market trade |
|---|---|
| Example: on-market trade, off-market trade, exercise of options, | |
| issue of securities under dividend reinvestment plan, participation | |
| in buy-back |
Part 2 – Change of director’s interests in contracts
| Detail of contract | n/a |
|---|---|
| Nature of interest | n/a |
| Name of registered holder | n/a |
| (if issued securities) | |
| Date of change | n/a |
| No. and class of securities to which interest related | n/a |
| prior to change | |
| Note: Details are only required for a contract in relation to which | |
| the interest has changed | |
| Interest acquired | n/a |
| Interest disposed | n/a |
| Value/Consideration | n/a |
| Note: If consideration is non-cash, provide details and an estimated | |
| valuation | |
| Interest after change | n/a |
Part 3 – Closed period
| Were the interests in the securities or contractsdetailed above traded during a closed period whereprior written clearance was required? | No |
|---|---|
| If so, was prior written clearance provided to allow thetrade to proceed during this period? | n/a |
| If prior written clearance was provided, on what datewas this provided? | n/a |
Date this document lodged: 26 September 2012
- See chapter 19 for defined terms.
Appendix 3Y Page 2
01/01/2011