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COMPUTERSHARE LIMITED. — Major Shareholding Notification 2005
Jul 11, 2005
64696_rns_2005-07-11_1313134a-cc4a-4ff5-90b5-633e312283eb.pdf
Major Shareholding Notification
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12/07 2005 10:14 FAX 38324114 $11 - JUL.$ ' $05 (MON)$ $16:01$
ASX BRISBANE
$\rightarrow$ CAO COY PAYS FAX: 01737837450
团002 $P.001$ $C\ell C$

Windmill Court Millfield Lane Lower Kingswood Tadworth Surroy KT20 6AG Telephone: 01737 836735
Australian Stock Exchange Ltd ABN 98 008 624 691 Exchange Centre Level, 20 Bridge Street Sydney NSW 1215 Australia
FAX: 00 61 2 9347 0005 / 9778 0999 Brisbane Fax: 00 61 7 3835 1004 TEL: 00 61 2 9227 0334 www.asx.com.au [email protected]
11 July 2005
ATTN: Company Announcements Office
Dear Sir/Madam:
Enclosed herewith, please find one copy of Form 603 pursuant to Section 671B of the Corporations Act, Notice of Initial Substantial Shareholder reporting the interests in Computershare Ltd of certain entities owned or managed by FMR Corp. & Fidelity International Limited as disclosed more fully in the notice.
If you have any questions please contact Kerrie Barnett on 0044 1737 837148 or by FAX on 0044 1737 837450.
Yours faithfully
Kerrie Barnett Regulatory Reporting Analyst FIL-Investment Compliance
Form 603 Corporations Act 2001 Section 671B
Notice of Initial Substantial Holder
To: Computershare Ltd ACN/ARSN:
1. Details of substantial holder (s)
Name: FMR Corp. and FIL ACN/ARSN (if applicable)
The holder became a substantial holder on 08 July 2005
2. Details of voting power
The total number of votes attached to all the voting shares in the company or voting interests in the
scheme that the substantial holder or an associate (2) had a relevant interest (3) in on the date the substantial holder became a substantial holder are as follows:
| $^+$ Class of Securities (4) $^+$ | $\sim$ 1 Number of securities $\sim$ | – Person's vo tes (5) | Voting cower |
|---|---|---|---|
| l Ordinary shares i | 30,092,900 | 5.06% | 5.06%, |
3. Details of relevant interests
The nature of the relevant interest the substantial holder or an associate had in the following voting securities on the date the substantial holder became a substantial holder are as follows:
| Holder of relevant interest | $\rightarrow$ 1 Nature of relevant interest (7) $\sqrt[3]{\mathbf{C}}$ ass and number of securities |
|---|---|
| FMRCO & FIL |
30,092,900 |
4. Details of present registered holders
The persons registered as holders of the securities referred to in paragraph 3 above are as follows:
| Holder of relevant |
Registered holder of securities with the com- $\sim 1$ |
TNümber of securities |
|---|---|---|
| interest | and the | |
| FIL | ACCIDENT REHAB & CMP-GLB EX-US | 99,200 |
| FIL | AFP UNILEVER SCHWEIZ-GBL EX US | 11,200 |
| AUSTRALIA - FUNDS SA | 148,900 | |
| FIL FIL |
BRITISH ENERGY GEN GRP - ROW | 56,000 |
| FIL | CHEVRON TEXACO UK PNS PL-ROW | 37,700 |
团004 P 003
$\frac{1}{2}$
$\frac{1}{4}$
| CO-OPERATIVE GRP PENS - RW | 51,700 | |
|---|---|---|
| FIL | DEUTSCHE ARZTE - ROW | 15,800 |
| FIL | EAST SUSSEX CNTY COUNCIL-ROW | 130,300 |
| FIL | FFII INST GLOBAL FOCUS POOL | 5,600 |
| FIL. | FID FDS - AUSTRALIA POOL | 830,000 |
| FIL FIL |
FID FDS - PACIFIC POOL | 696,900 |
| FIL | FID FUNDS - GLBL FOCUS POOL | 67,700 |
| FIL. | FID INSTL FDS-GLOBAL FOCUS FD | 41,200 |
| FIL | FID INSTL SOUTH EAST ASIA FUND | 882,200 |
| FIL | FID MANAGED INTERNATIONAL FUND | 784.500 |
| FIL | FIDELITY AUSTRALIAN EQ FUND | 10,000 |
| FIL | FMT_GL ROW | 04,500 |
| FIL | GEC 1972 PLN GLB EOTY FD-ROW | 114,700 |
| FIL | GKN GROUP PENSION SCHEME - ROW | 192,200 |
| FIL | HKMPF-MKT INV ASIA PAC EQ FND | 416,700 |
| FIL | IBM AUSTRIA GLOBAL EX US | 5,600 |
| FIL. | IBM AUSTRIA SELECT GLBL EQ ROW | 13,000 |
| FIL | IBM DENM SELECT-GLOBAL EX-US | 9,300 |
| FIL | IBM IREL SEL GLBL EQUITIES ROW | 2.800 |
| FIL | MTR CORP RETMT SCHM PACIF EQTY | 24,000 |
| FIL | NPC TRUST - ACTIVE 1 - ROW | 15.100 |
| FIL | RAILWAYS PENS EO-PACIFIC BASIN | 584,300 |
| FIL | RUSSELL INTL EQUITY FUND | 42,200 |
| FIL | RUSSELL INVT MGMT LTD - PACIFIC | 149,800 |
| FIL | SAINT-GOBAIN UK PENSION SCHEME | 71,300 310.100 |
| FIL | SEVEN RE FIDELITY PACIFIC | 41,800 |
| FIL | SGE MM ROW | 39,200 |
| FIL. | SHINKIN BANK EPF - ASIA | 29,500 |
| FIL | UNILEVER(SUPERANN) IRELAND-ROW AGILENT TEC INT-PAC BAS T50418 |
126,300 |
| FMR | BP MASTER TR FOR EMP PP T55275 | 51,700 |
| FMR FMR |
BROWN & WILLIAMSON SEL INTL | 36,600 |
| FMR | CANADIAN OVERSEAS PACIF(T2076) | 37,800 |
| FMR | CDP QUEBEC T55293 | 201,100 |
| FMR | CHEVRON TEX PAC BASIN T55006 | 163,200 |
| FMR | CIBC INTL EQTY PAC BAS T55010 | 55,300 |
| FMR | DALLAS POLICE & FIRE TSOD92 | 50,300 |
| FMR | DUKE ENERGY PAC BASIN T2263 | 75,300 |
| FMR | FICL SEL INTL EQTY TR T55106 | 147,800 |
| FMR | FICL SEL INTL SM CP TR T55105 | 26,800 |
| FMR | FID ASSET MANAGER FUND | 306,500 |
| FMR | FID CAN INTL GROWTH PAC T2333 | 114.400 |
| FMR | FID DIVERSIFIED INTERNATIONAL | 12,000,000 |
| FMR | FID INTL DISCOVERY FUND | 1,432,900 |
| FMR | FID PACIFIC BASIN FUND | 715,100 611,200 |
| FMR | FID SELECT INTL EQUITY (T319) FIDELITY INT'L GR.PAC BA T2311 |
56,300 |
| FMR FMR |
FIDELITY INTL SMALL CAP FUND | 170,500 |
| FMR | FIMM LLC GLBL CAP APPRECIATION | 4,800 |
| FMR | FIMM LLC INTL SMALL CAP STK | 6,300 |
| FMR | FORD INTL PAC BASIN SUB T50129 | 114,000 |
| FMB | FORD SELECT INTL T50016 | 47,000 |
| FMR | FRICAD OVERSEAS PAC EX T2243 | 76,600 |
| FMR | FRANK AUSSELL FIF PAC T2282 | 39,400 |
$\sim 10^{-1}$
P. 004
$\bar{z}$
| FMR | FRIC INT. PACIFIC (T2064) | 131,000 |
|---|---|---|
| FMR | FRIC INT. SEC PACIFIC (T2070) | 166,900 |
| FMR | FRTC INT. PACIFIC JAP (T2058) | 388,300 |
| FMR | FRTC RUSSELL INTL-PB-LO-T50356 | 29,200 |
| FMR | GM EURO/PAC VEBA PB T55191 | 373,400 |
| FMR | GM PAC BASIN-PAC BASIN T2166 | 602,900 |
| FMR | HALLIBURTON INTL GRO PB T55203 | 67,400 |
| FMR | HYDRO ONE PAC BASIN(T2317) | 76,200 |
| FMR | IBM CANADA SELECT INTL T2286 | 65,900 |
| FMR | IBM NETHERLANDS - SELECT PAC | 124,200 |
| FMR | IBM SELECT EAFE CANADA T2205 | 137,500 |
| FMR | ILLINOIS SURS-SEL INTL T5044B | 33,500 |
| FMR | ILLINOIS TEACH RET-PB T55139 | 321,300 |
| FMR | ILLINOIS TRS POB-P8 T55160 | 81,300 |
| FMR | JOPENNEY CORP PAC X-JPN T55300 | 99,700 |
| FMR | KENTUCKY INS PAC BASIN T2348 | 176,300 |
| FMR | KENTUCKY PEN PAC BASIN T2343 | 352,100 |
| FMR | MELLON BK INTL-PAC BAS(T55165) | 24,300 |
| FMA | MINN SBI-MSCI WXUS-PBXJ T55308 | 112,400 |
| FMR | MINNESOTA SBI SEL INTL T55303 | 56,500 |
| FMR | NORTHROP GRMN INT GR-PB T55186 | 165,600 134,400 |
| FMR | OH PAF ACWI XUS PB XJPN T50412 | 250,700 |
| FMR | OREGON INVMT CL SEL INT T55271 | 1,544,600 |
| FMR | PAC BASIN EX COLL TRUST T1057 | 39,000 |
| FMA | PETRO CANA INTL GR-PACB T55022 PG&E CORP - PAC EX-JPN T50425 |
143,400 |
| FMR FMR |
PG&E VEBA-PB EX JPN SUB T55290 | 32,500 |
| FMR | PRINCIPAL PARTNERS INTL T50423 | 144,100 |
| FMR | REYNOLDS AM PB XJPN SUB T55015 | 80, BOO |
| FMR | FIK MELLON INTL-PAC BAS T55170 | 49,900 |
| FMR | SAN DIEGO RETIREMENT (T2193) | 103,200 |
| FMR | SELECT INT SM CAP COLL (11056) | 37,100 |
| FMR | STATE BRD ADM OF FL-PAC T55116 | 323,700 |
| FMR | STATE OF CT RET PLAN T50251 | 97,500 |
| FMR | TRANSITION FCPX T60083 | 12,600 |
| FMR | VIP II ASSET MANAGER | 76,600 |
| F MR | VIP III MID CAP PORTFOLIO | 100 |
| FMR | WASHINGTON SIB PAC T55179 | 250,700 |
| FMR | WISCONSIN SIB FIX PAC T55233 | 412,300 |
| FMR | WISCONSIN SIB VAR-PB T55245 | 39,800 |
| FMA | WORLD BANK SELECT INTL T55274 | 31,800 |
| $\mathbb{F}_{q^{\ell-1}}$ Total |
स्वीतका प्राप्तव्यापित्य नामका सामग्र ing ay san atas na san an an an an an an an an an an an an a 19 P 30,092,900 ֕r r $\mathcal{A}$ . In the $\mathcal{A}$ $\sim$ 1 |
s men $\overline{1}$ 5,06% 14 F |
$\hat{\boldsymbol{\beta}}$
$\frac{1}{2}$
5. Consideration
The consideration paid for each relevant interest referred to in paragraph 3 above, and acquired in the
four months prior to the day that the substantial holder became a substantial holder is as follows:
| Holder of relevant interest |
∴l Date of acquisition |
TConsideration (9) Cash/non- cash |
Class and number of securities . . |
|---|---|---|---|
| $FMR$ Corp + $FIL$ | 08.Jul.05 | 4.1982 US\$ | 614,788 Common stock |
6. Associates
The reasons the persons named in paragraph 3 above are associates of the substantial holder are all follows:
| Name:and ACN/ARSN (if applicable) |
Nature of association Report Following and the company of |
|---|---|
| FMR Corp./FMR Co., FMTC |
FMR Co. is the adviser to the registered holders named in Section 4 and has power under its management agreements to dispose of the subject shares. FMR Co. Is a wholly-owned subsidiary of FMR Corp., a Delaware corporation. Edward C. Johnson 3d is chairman of FMR Corp. and owns in excess of 10% of the voting power of FMR Corp. and may thereby be deemed an associate of FMR Co. However, neither FMR Corp, nor Edward C. Johnson 3d has sole power to vote or direct the voting of, or to dispose of or direct the disposition of, the subject shares. FMR Co. carries out such voting under written guidelines established by the Board of Trustees of the Funds which are the registered holders. Fidelity Management Trust Company ("FMTC") is a trust company organized under the laws of Massachusetts and is a wholly-owned subsidiary of FMR Corp. Because FMTC and FMR Co. are under the common control of FMR Corp., FMTC may be considered a related body corporate and hence an "associate" of FMR Corp., as such term is used in the Corporations Law, FMTC's relevant interest consists of the power to dispose of, and may also consist of the power to vote or direct the voting of, the shares for the institutional accounts with which it has a management agreement. |
| FIL | FIL is the adviser to the registered holders named in Section 4 above, each of which is an investment company organized under the laws of a jurisdiction other than the United States, and has power under its management agreements to dispose of the subject shares. Edward C. Johnson 3d le chairman of FIL and owns in excess of 20% of the voting power of FIL. By reason of his ownership of the "prescribed percentage" of FIL, Mr. Johnson may be deemed the holder of a relevant interest in the subject shares and a substantial shareholder. FIL has power to vote and dispose of the shares of the Funds which it advises. |
7. Addresses
The addresses of the persons named in this form are as follows:
| Name The Contract of Address for the Contract of the Contract of the Contract of the Contract of the Contract of the Contract of the Contract of the Contract of the Contract of the Contract of the Contract of the Contrac | |
|---|---|
| FMR Corp., FMR Co., FMTC 82 Devonshire Street, Boston, MA 02109 | |
| FIL | PO Box HM 670, Hamilton HMCX, Bermuda |
Sign Here Ka
Dated 11 July 2005 Rani Jandu
Framewater
Regulatory Reporting Manager, FIL - Investment Compliance
Duly authorized under Powers of Attorney dated 25 August 2004 by Eric D. Roiter by and on behalf of
FMR Corp. and its direct and Indirect subsidiaries