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CSL Ltd. Major Shareholding Notification 2011

Mar 22, 2011

17854_rns_2011-03-22_3ed9712c-a844-4550-a58c-ef8931407139.pdf

Major Shareholding Notification

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22 March 2011

BY FAX - ORIGINAL IN POST (61 3 9389 1434)

CSL Limited 45 Poplar Road Parkville Victoria, Australia 3052

Re: Notice of Change in Interests of Substantial Shareholder under Section 671B

Company Secretary:

Enclosed is a Notice of Change in Interests of Substantial Shareholder under Section 671B dated 21 March 2011. Please note that a copy of this report has been sent to the Australian Stock Exchange.

Neither the Capital Group Companies, Inc. nor any of its affiliates own shares of your company for its own account. Rather, the shares reported on Form 604 are owned by accounts under the discretionary investment management of one or more of the investment management companies that make up the Capital Group Companies, Inc.

For the purpose of this Notice, an outstanding share balance of 536,138,868 shares was used to calculate the percentage of holdings of the relevant share capital. We believe this outstanding share balance is current; however, if this number is not accurate, please contact us as soon as possible so that we may make the necessary revisions to this Notice.

Should you have questions or require additional information, please contact Gina Martinez or Vivien Tan at (213) 615-0469, or send a fax message to (213) 486-9698. Alternatively, you may contact us via e-mail at [email protected].

Regards,

Vivien Tan Compliance Specialist

604 page Page 1 of 2

Form 604

Corporations Act 2001 Section 671B

Notice of change of interests of substantial holder

To Company Name/Scheme CSL Limited ACN/ARSN 1. Details of substantial holder(1) Name The Capital Group Companies, Inc. ACN/ARSN (if applicable) n/a There was a change in the interests of the substantial holder on 21 March 2011 The previous notice was given to the company on 09 March 2010 The previous notice was dated 08 March 2010

The shares reported were owned by accounts under the discretionary investment management of 5 investment management companies (Capital Research and Management Company, Capital Guardian Trust Company, Capital International Limited, Capital International Sàrl, and Capital International, Inc.) which are direct or indirect subsidiaries of The Capital Group Companies, Inc., 333 South Hope Street, 55th Floor, Los Angeles, California 90071 and such shares are being reported in the aggregate.

2. Previous and present voting power

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

Class of securities (4) Previous notice Previous notice Present notice Present notice
Person'svotes Voting power(5) Person'svotes Voting power(5)
Ordinary Shares 41,854,078 7.5178% 34,827,695 6.4960%

The shares being reported under this section are owned by accounts under the discretionary investment management of 5 investment management companies (Capital Research and Management Company, Capital Guardian Trust Company, Capital International Limited, Capital International Sàrl, and Capital International, Inc.) which are direct or indirect subsidiaries of The Capital Group Companies, Inc., 333 South Hope Street, 55th Floor, Los Angeles, California 90071 and such shares are being reported in the aggregate.

604 page Page 2 of 2

3. Changes in relevant interests

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

Date of
change
Person whose
relevant interest
changed
Nature of
change (6)
Consideration given in
relation to change (7)
Class and number
of securities
affected
Person's
votes
affected
09/03/2010
to
21/03/2011
The Capital Group
Companies, Inc.
Decreased
holdings
Average price of 33.7785 (7,026,383)
Ordinary Shares
(7,026,383)

See Annexure A dated 08 March 2010

4. Present relevant interests

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

Holder of
relevant
interest
Registered holder of
securities
Person entitled to
be registered as
holder(8)
Nature of relevant
interest (6)
Class and
number of
securities
Person's votes
none
See Annexure A dated 21 March 2011 (copy attached)

5. Changes in association

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

Name and ACN/ARSN (if
applicable)
Nature of association
N/A N/A

6. Addresses

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

Name Address
The Capital Group Companies, Inc. 333 South Hope Street, 55
~~th~~Floor
LosAngeles, CA90071

Signature

==> picture [328 x 62] intentionally omitted <==

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

print name: Katherine H. Newhall Capacity: Counsel
sign here ______ date 22 March 2011
----- End of picture text -----

Annexure “A”

This is the Annexure of 17 pages marked Annexure “A” referred to in Form 604 signed by this corporation dated 21 March 2011.

The Capital Group Companies, Inc.

By: ________ Katherine H. Newhall Counsel

Australia Annexure

CSL Limited

21 March 2011

CG Investment Management Company
Capital Guardian Trust Company
Account Number
Number of Shares
44000300
714,107
44000500
27,022
44002000
51,540
44022900
50,557
44023900
26,123
44025900
158,891
44028100
55,695
44028600
24,974
44029700
83,233
44032100
50,928
44036500
705,077
44036900
129,327
44038900
127,400
44039600
132,940
44040900
97,493
44042100
24,497
44043000
19,712
44043700
14,874
44044000
9,448
44044700
14,179
44045900
130,700
44078400
651
44097400
972
44099600
513
44100000
343
44100100
345
44100200
363
44100400
563
44100500
299
44106200
3,718
44114000
300
44114300
1,121
44117600
1,181
44117800
239
44117900
510
44118300
1,897
44121000
852
44123100
323
44123200
6,654
44123600
3,940
44123700
1,296
% Held

Australia Annexure

CSL Limited

21 March 2011

CG Investment Management Company
Capital Guardian Trust Company
Account Number
Number of Shares
44123900
854
44124700
331
44126400
592
44126700
361
44130300
3,282
44130700
1,209
44132000
11,264
44132200
1,000
44132400
819
44134300
5,193
44134400
416
44135000
186
44135500
649
44135600
1,455
44136100
575
44137200
1,779
44137300
1,512
44137800
877
44139700
24,400
44140000
503
44141000
578
44142300
736
44142600
820
44143100
1,630
44143300
1,052
44143400
398
44144400
351
44144500
678
44144900
2,089
44145300
5,433
44146300
1,692
44146400
2,743
44147000
1,932
44147200
396
44149900
4,185
44150000
373
44150600
178
44150700
3,213
44150800
623
44151500
1,052
% Held

Australia Annexure

CSL Limited

21 March 2011

CG Investment Management Company
Capital Guardian Trust Company
Account Number
Number of Shares
44152400
320
44152600
9,690
44153200
5,986
44155600
7,843
44156000
2,319
44156400
538
44158800
918
44159401
13,035
44159600
1,780
44159700
4,773
44167600
425
44168701
1,397
44169000
189
44172500
2,282
44179400
240
44180200
339
44184000
1,730
44185400
835
44186600
2,097
44186800
481
44189900
1,239
44191600
529
44195000
758
44195300
800
44195600
496
44196100
1,753
44197000
550
44210301
1,190
44210500
1,676
44214300
309
44216401
1,253
44217300
500
44217900
573
44218900
267
44219700
394
44219800
1,965
44220900
245
44221200
553
44222100
801
44222900
1,588
% Held

Australia Annexure

CSL Limited

21 March 2011

CG Investment Management Company
Capital Guardian Trust Company
Account Number
Number of Shares
44224400
12,776
44224600
954
44226100
3,706
44227800
4,358
44228800
428
44229100
11,393
44229600
1,816
44232200
3,973
44232300
558
44234700
483
44235000
398
44237800
1,190
44237900
777
44240600
11,628
44240800
1,810
44255000
264,655
44255500
68,500
44259200
51,643
44259300
53,259
44263800
8,497
44267200
50,038
44268600
20,541
44269700
8,966
44271500
19,254
44273000
29,756
44273400
12,329
44278600
14,926
44279100
33,649
44283000
7,806
44283900
84,013
44286300
21,556
44288500
43,786
44295500
48,200
44302000
2,169
44302200
35,723
44304500
21,900
44308600
50,255
44313700
23,329
44315000
104,238
44316900
27,700
% Held

Australia Annexure

CSL Limited

21 March 2011

CG Investment Management Company
Capital Guardian Trust Company
Account Number
Number of Shares
44317300
38,016
44318100
82,886
44318300
13,312
44323800
26,484
44331200
38,800
44336000
130,643
44336100
11,786
44343000
63,300
44344600
38,325
44344800
19,036
44348800
83,398
44351800
59,741
44352100
24,389
44352200
5,784
44352400
25,900
44356900
19,984
44357100
37,397
44358800
113,279
44359200
116,500
44359700
10,277
44359800
48,080
44364900
54,700
44368900
3,691
44370400
50,846
44370700
11,300
44373600
59,250
44373700
38,900
44373900
18,272
44375500
56,848
44376300
64,433
44376400
44,400
44376700
155,309
44377300
23,800
44377400
42,136
44378200
57,200
44378300
9,800
44378900
78,322
44387700
39,183
44652000
2,499
44653600
575
% Held

Australia Annexure

CSL Limited 21 March 2011

CG Investment Management Company
Capital Guardian Trust Company
Account Number
Number of Shares
44653901
3,776
44654000
806
44655200
690
44655500
672
44656800
525
44657800
992
44660400
239
44662800
935
44663600
1,842
44668600
1,292
44669500
868
44669700
812
44670100
866
44670900
1,396
44671900
27,811
44675401
793
44677200
6,700
44677500
649
44678200
529
44678300
3,533
44678600
905
44678700
5,103
44678900
4,135
44800100
10,263
44940300
316,949
44950900
54,987
44951300
211,271
70252300
739
70252400
577
70253200
979
70255600
3,519
70257900
2,028
70258600
1,600
70259100
363
70259200
359
70259500
8,284
70262900
37,798
70263000
52,169
70263100
782
70263600
3,105
% Held

Australia Annexure

CSL Limited

21 March 2011

CG Investment Management Company
Capital Guardian Trust Company
Account Number
Number of Shares
70263700
908
70263800
5,598
70264100
436
70264900
2,699
70265200
1,950
70266000
2,197
70266900
3,718
70267100
7,983
70267200
2,643
70267400
394
70269000
1,255
70269500
316
70269600
734
70269700
832
70271700
2,873
70272800
1,108
70273500
5,374
70273800
3,050
70273900
1,500
70274400
523
70275400
11,786
70278600
744
70279900
563
70280500
4,865
70281100
497
70282300
631
70284000
815
70284800
312
70284900
1,061
70285700
435
70285900
2,427
70286100
6,738
70288200
852
70288800
3,401
70289400
9,400
70289900
392
70290500
307
70291700
3,313
70292600
601
70293400
570
% Held

Australia Annexure

CSL Limited 21 March 2011

CG Investment Management Company
Capital Guardian Trust Company
Account Number
Number of Shares
70293500
351
70293600
903
70294000
396
70294700
507
70297800
620
70299000
379
70299800
2,751
70300500
7,406
70301400
623
70302100
1,000
70302200
333
70303100
358
70303700
425
70304400
6,369
70304800
803
70305800
1,469
70306100
1,040
70309000
514
70310100
2,686
70311100
1,251
70313000
2,701
70314600
381
70314700
2,876
70315100
366
70315200
317
70315600
652
70316100
732
70316200
716
70317100
300
70317500
587
70317901
5,997
70318100
3,288
70320700
2,040
70320900
378
70321000
403
70321300
506
70321900
588
70322000
343
70322200
312
70322400
334
% Held

Australia Annexure

CSL Limited

21 March 2011

CG Investment Management Company
Capital Guardian Trust Company
Account Number
Number of Shares
70322900
479
70323200
1,472
70323300
742
70323800
2,261
70324200
424
70324300
546
70324400
547
70324500
547
70325600
1,231
70326400
5,134
70326800
532
70331700
607
70331900
860
70332200
665
70332900
1,966
70333000
15,878
70333100
1,736
70333600
363
70334000
1,899
70335100
538
70336300
602
70337400
727
70337700
1,058
70339400
941
70339800
3,151
70340800
363
70341900
195
70343600
3,803
70344600
734
70344900
1,518
70346200
387
70347000
4,989
70347100
558
70348200
7,044
70350000
811
70350300
2,179
70350400
14,880
70350600
10,551
70351800
561
70352400
3,160
% Held

Australia Annexure

CSL Limited

21 March 2011

CG Investment Management Company
Capital Guardian Trust Company
Account Number
Number of Shares
70352500
332
70352600
1,761
70353800
2,508
70354000
3,522
70354100
1,806
70354200
7,601
70354300
3,345
70354600
3,487
70354700
2,368
70354800
5,975
70354900
1,328
70355400
2,747
70355500
219
70356000
1,850
70356300
521
70358700
397
70359700
1,273
70359800
647
70360200
448
70360400
532
70360700
368
70362000
453
70362100
470
70363800
1,225
70365900
753
70366100
468
70368500
469
70368900
723
70372000
207
70372700
401
70372800
493
70373300
2,720
70373500
1,534
70374700
320
70374800
514
70375900
392
70376600
2,063
70377100
393
70377300
2,362
70378600
360
% Held

Australia Annexure

CSL Limited

21 March 2011

CG Investment Management Company
Capital Guardian Trust Company
Account Number
Number of Shares
70379000
1,946
70379700
2,208
70383200
2,898
70383300
2,076
70384200
1,579
70384700
381
70385800
2,300
70386800
254
70386900
475
70460100
1,483
70464200
4,648
70464300
2,789
70465400
7,300
70480300
3,195
70480400
341
70480500
878
70494000
402
70501300
177
70501400
2,269
70501500
846
70501600
924
70501700
973
70504700
2,932
70505400
275
70506000
280
70509700
400
70511400
1,670
70512800
372
70513600
393
70517000
322
70518500
187
70519500
376
70519700
926
70519800
2,834
70520000
805
70520201
3,338
70521500
901
70521800
1,129
70521900
956
70522000
245
% Held

Australia Annexure

CSL Limited

21 March 2011

CG Investment Management Company
Capital Guardian Trust Company
Account Number
Number of Shares
70522100
226
70523700
371
70525000
355
70527800
308
70529000
442
70531500
749
70531501
290
70531900
413
70533501
807
70533600
700
70533700
2,358
70535200
687
70535400
1,006
70535800
821
70600800
500
70602700
394
70604400
368
70605500
2,779
70606800
918
70608100
457
70608900
412
70611600
1,335
70612800
398
70613900
360
70614900
229
70615500
350
70616900
202
70617000
206
70617400
508
70620800
1,937
70620900
525
70622100
576
70622600
495
70623600
446
70624500
306
70681000
834
70682300
1,677
70682600
6,441
70682601
5,661
70683100
1,392
% Held

Australia Annexure

CSL Limited

21 March 2011

CG Investment Management Company
Capital Guardian Trust Company
Account Number
Number of Shares
70683300
3,421
70683500
546
70686700
1,365
70686900
498
70687401
371
70687600
831
70687601
2,288
70688100
64
70693500
11,296
70693600
24,485
70694000
3,887
70696600
563
70697000
2,866
70697200
1,316
70698800
503
70699500
5,389
70699900
295
70700000
761
70700100
980
70700400
586
70700600
518
70701200
2,000
70702600
1,040
70703300
1,016
70703400
6,769
70703900
218
70704000
380
70704600
5,053
70705600
721
70708000
834
70708200
1,528
70708400
1,935
70708600
1,144
70710200
558
70712100
499
70712700
2,257
70713000
1,671
70713200
392
70713300
392
70713800
5,100
% Held

Australia Annexure

CSL Limited

21 March 2011

CG Investment Management Company
Capital Guardian Trust Company
Account Number
Number of Shares
70714300
442
70715900
1,034
70716200
1,296
70717200
5,461
70717700
562
70719100
636
70719700
390
70720000
598
70721500
482
70721800
426
70722000
1,168
70722200
668
70722300
451
70722500
738
70722600
445
70723000
904
70723100
500
70723300
967
70723700
98
70723900
1,231
70724700
1,232
70724900
1,029
70725200
349
70725400
344
70725500
344
70725700
421
70726000
1,109
70726700
763
70726900
396
70727300
572
70727400
2,239
70728600
301
70729000
298
70729500
600
70730200
356
70730400
1,688
70731100
460
70731300
379
70732100
435
70733000
629
% Held

Australia Annexure

CSL Limited

21 March 2011

CG Investment Management Company
Capital Guardian Trust Company
Account Number
Number of Shares
70733100
628
70734500
9,326
70735300
7,856
70736000
235
70737100
431
70737800
1,704
70738100
463
70739800
639
70741000
1,239
70742200
463
70742300
1,034
70742600
397
70743600
436
70744500
509
70745200
1,359
70745900
825
70746000
521
70746400
513
70748300
847
70749700
507
70749900
1,387
70750000
465
70750100
1,334
70750200
635
70750300
1,600
70752000
2,795
70752100
11,369
70752200
2,794
70753000
950
70753200
1,402
70753800
400
70754200
2,927
70754300
1,800
70755001
2,300
70755300
376
70755500
1,248
70757100
413
70757900
435
% Held

7,187,277

Australia Annexure

CSL Limited

21 March 2011

CG Investment Management Company
Capital International Limited
Capital International Limited
Capital International SÁrl
Account Number
Number of Shares
43051100
9,350
43057200
1,700
43060800
13,080
43355500
14,500
43356100
51,034
43417700
187,982
43419300
40,928
43426300
181,447
43426800
67,134
43426900
93,468
43427100
297,048
43445200
24,709
43463000
25,379
43487500
6,300
43487700
3,267
43487800
4,832
43518400
5,391
43558600
34,213
43564200
4,750
43565400
10,400
43570200
8,370
43570300
3,251
43583100
116,968
1,205,501
45415100
12,300
45415200
54,515
45426000
163,844
45500200
9,260
45503100
1,900
45503200
1,700
45503300
4,450
45521100
24,586
45530000
4,347
45589000
17,200
45590100
47,120
45590400
19,320
% Held

Australia Annexure

CSL Limited

21 March 2011

CG Investment Management Company
Capital International, Inc.
Capital Research and Management Company
GRAND TOTAL
Account Number
Number of Shares
360,542
46055500
39,800
46520100
202,800
242,600
11000007
6,845,444
11000010
617,002
11000016
16,984,329
11000034
610,000
11000073
250,000
11000077
370,000
11000813
155,000
25,831,775
34,827,695
% Held
6.50%

GRAND TOTAL

Nominee List

CSL Limited 21 March 2011

Nominee Name

Nominee Name
ANZ Nominees
Level 25, Collins Street
GPO Box 2842 AA
Melbourne 3001 VIC
43060800 13,080
44078400 651
44100500 299
44132200 1,000
44142600 820
44195300 800
44196100 1,753
44364900 54,700
44653600 575
44654000 806
45503100 1,900
70274400 523
70297800 620
70320900 378
70372700 401
70373300 2,720
70480300 3,195
70523700 371
70617000 206
70622100 576
70686700 1,365
70700400 586
70737800 1,704
70738100 463
70746000 521
70752000 2,795
70752200 2,794
70753000 950
Total Shares: 96,552
Bank of America NT & SA
PO Box 407
1 Alie Street
London E1 8DE
70352600 1,761
70745200 1,359
Total Shares: 3,120

Nominee List

CSL Limited 21 March 2011

Nominee Name

Nominee Name

Bankers Trust Australia
Level 9, The Chifley Tower
2, Chifley Square
Sydney NSW 2000, Australia
43051100 9,350
43057200 1,700
44036900 129,327
44040900 97,493
44263800 8,497
44268600 20,541
44269700 8,966
44283900 84,013
Total Shares: 359,887
Brown Bros.
One Mellon Bank Center
Pittsburgh, PA 15258
45530000 4,347
Total Shares: 4,347
Cede & Co.
55 Water Street
New York, NY 10006
44144400 351
Total Shares: 351
Chase Manhattan Bank Australia Limited
Level 36 World Trade Centre
Jamison Street
Sydney, NSW 2000 Australia
11000007 6,845,444
11000016 16,984,329
44000300 714,107
44000500 27,022
44002000 51,540
44022900 50,557
44028600 24,974
44036500 705,077
44043000 19,712
44106200 3,718

Nominee List

CSL Limited 21 March 2011

Nominee Name
44114000 300
44114300 1,121
44117900 510
44118300 1,897
44121000 852
44123200 6,654
44123600 3,940
44123700 1,296
44123900 854
44124700 331
44132400 819
44134400 416
44135600 1,455
44143400 398
44156000 2,319
44167600 425
44172500 2,282
44180200 339
44191600 529
44220900 245
44221200 553
44222100 801
44255000 264,655
44255500 68,500
44288500 43,786
44352400 25,900
44359200 116,500
45500200 9,260
70252300 739
70252400 577
70253200 979
70255600 3,519
70257900 2,028
70259100 363
70259200 359
70259500 8,284
70263100 782
70263600 3,105
70263800 5,598
70264900 2,699

Nominee List

CSL Limited 21 March 2011

Nominee Name
70265200 1,950
70266000 2,197
70266900 3,718
70267100 7,983
70267200 2,643
70267400 394
70278600 744
70279900 563
70280500 4,865
70281100 497
70282300 631
70284000 815
70284800 312
70284900 1,061
70285700 435
70285900 2,427
70286100 6,738
70288200 852
70288800 3,401
70289400 9,400
70292600 601
70299000 379
70299800 2,751
70300500 7,406
70317100 300
70317500 587
70318100 3,288
70322400 334
70334000 1,899
70336300 602
70340800 363
70341900 195
70372800 493
70373500 1,534
70460100 1,483
70501300 177
70501400 2,269
70501700 973
70509700 400
70512800 372
70525000 355

Nominee List

CSL Limited 21 March 2011

Nominee Name
70533501 807
70602700 394
70681000 834
70682300 1,677
70682600 6,441
70682601 5,661
70683300 3,421
70683500 546
70687401 371
70687600 831
70688100 64
70693500 11,296
70693600 24,485
70694000 3,887
70696600 563
70697000 2,866
70697200 1,316
70700000 761
70700100 980
70701200 2,000
70702600 1,040
70703300 1,016
70703400 6,769
70703900 218
70704600 5,053
70705600 721
70708000 834
70708200 1,528
70708400 1,935
70708600 1,144
70712100 499
70712700 2,257
70713000 1,671
70713200 392
70713300 392
70713800 5,100
70719100 636
70719700 390
70720000 598
70721500 482
70721800 426

Nominee List

CSL Limited

21 March 2011

Nominee Name

70722200 668
70722500 738
70723300 967
70723700 98
70725700 421
70726000 1,109
70726700 763
70726900 396
70731300 379
70733000 629
70745900 825
70750200 635
70752100 11,369
Total Shares: 26,212,135
Chase Manhattan Nominee Ltd.
Australia
43417700 187,982
44130700 1,209
44135500 649
44136100 575
44142300 736
44143100 1,630
44143300 1,052
44144500 678
44144900 2,089
44146300 1,692
44146400 2,743
44150000 373
44150600 178
44150700 3,213
44150800 623
44152400 320
44156400 538
44185400 835
44186800 481
44210301 1,190
44224600 954
44229600 1,816
44237800 1,190

Nominee List

CSL Limited 21 March 2011

Nominee Name
44237900 777
44259200 51,643
44259300 53,259
44352100 24,389
44352200 5,784
44376300 64,433
44652000 2,499
44653901 3,776
44660400 239
44662800 935
44663600 1,842
44668600 1,292
44669700 812
44940300 316,949
44950900 54,987
44951300 211,271
45590100 47,120
Total Shares: 1,054,753
Chase Nominees Limited
Woolgate House
Coleman Street
London EC2P 2HD
44135000 186
44169000 189
44217900 573
44219700 394
44655200 690
44655500 672
44656800 525
44670100 866
44675401 793
44678900 4,135
Total Shares: 9,023
Citibank Australia
70348200 7,044
Total Shares: 7,044

Nominee List

CSL Limited 21 March 2011

Nominee Name
Citibank Nominees
23 Customs Street East
P.O. Box 3429
Auckland, New Zealand
43518400 5,391
Total Shares: 5,391
Citicorp Nominees PTY Ltd
Level 26, Mitre 502-30
101 Collins Street
Melbourne, Victoria 3000
43426300 181,447
Total Shares: 181,447
Commonwealth Bank of Australia
Level 7, Bank House, 309-315 George St.
Sydney NSW 2000
Australia
44267200 50,038
44278600 14,926
44286300 21,556
44304500 21,900
44318300 13,312
Total Shares: 121,732
DBS Nominees Pte. Ltd.
6 Shenton Way
Singapore
0106
11000073 250,000
Total Shares: 250,000
Deutsche Bank AG
23 Great Winchester Street
London EC2P 2AX
United Kingdom
70746400 513
Total Shares: 513
Deutsche Bank Mannheim

Nominee List

CSL Limited

21 March 2011

Nominee Name

Nominee Name
44140000 503
Total Shares: 503
HSBC
2 Leboh Ampang
50100 Kuala Lumpur, Malaysia
43356100 51,034
Total Shares: 51,034
Investors Bank & Trust Co.
44368900 3,691
Total Shares: 3,691
J.P. Morgan
44137800 877
44222900 1,588
Total Shares: 2,465
JP Morgan Chase Bank
11000034 610,000
44097400 972
44669500 868
45589000 17,200
45590400 19,320
70302100 1,000
70309000 514
70376600 2,063
70379700 2,208
70385800 2,300
70464200 4,648
70464300 2,789
70753200 1,402
70757100 413
Total Shares: 665,697
KAS UK
Kass Associate
P.O Box 178
1000 AD Amsterdam

Nominee List

CSL Limited 21 March 2011

Nominee Name
43463000 25,379
Total Shares: 25,379
Mellon Bank
Global Custody Division
1 Mellon Bank Center, room 1310
Pittsburgh, PA 15252-0001
70494000 402
70531501 290
70755001 2,300
Total Shares: 2,992
Mellon Bank N.A.
London Branch
London
United Kingdom
44042100 24,497
44356900 19,984
44377300 23,800
70302200 333
70343600 3,803
70350300 2,179
70350400 14,880
70531500 749
Total Shares: 90,225
National Australia Custodian Services
5th Floor Sout
271 Collings Street
Melbourne, Victoria 3000
44240800 1,810
70269000 1,255
Total Shares: 3,065
National Australian Bank LTD.
271 Collins St.
5th Floor South
Melbourne, Victoria 3000
43419300 40,928
43426800 67,134

Nominee List

CSL Limited 21 March 2011

Nominee Name
43564200 4,750
43570300 3,251
44025900 158,891
44028100 55,695
44032100 50,928
44043700 14,874
44044000 9,448
44132000 11,264
44134300 5,193
44137200 1,779
44137300 1,512
44145300 5,433
44151500 1,052
44158800 918
44159600 1,780
44227800 4,358
44229100 11,393
44240600 11,628
44273400 12,329
44279100 33,649
44295500 48,200
44302200 35,723
44331200 38,800
44344600 38,325
44344800 19,036
44373600 59,250
44373700 38,900
44373900 18,272
44375500 56,848
44671900 27,811
44678700 5,103
45503200 1,700
45521100 24,586
70273900 1,500
70317901 5,997
70687601 2,288
70742300 1,034
Total Shares: 931,560
National Nominees

Nominee List

CSL Limited

21 March 2011

Nominee Name
82 Pitt Street
Sydney, NSW 2000
Australia
44152600 9,690
44228800 428
44315000 104,238
44343000 63,300
Total Shares: 177,656
Northern Trust
c/o NorTrust Nominees Limited
155 Bishopsgate
London EC2M 3XS
43426900 93,468
44376400 44,400
44377400 42,136
44378200 57,200
44378300 9,800
70262900 37,798
70263000 52,169
70275400 11,786
70290500 307
70304400 6,369
70339400 941
70339800 3,151
70353800 2,508
70354000 3,522
70354100 1,806
70354200 7,601
70354300 3,345
70354600 3,487
70354700 2,368
70354800 5,975
70354900 1,328
70366100 468
70368500 469
70372000 207
70465400 7,300
70683100 1,392
70699500 5,389

Nominee List

CSL Limited 21 March 2011

Nominee Name

Total Shares: 406,690
Nortrust Nominees
155 Bishopsgate
London EC2M 3XS
United Kingdom
44139700 24,400
Total Shares: 24,400
State Street Bank & Trust Co.
44100000 343
44100100 345
44100200 363
44117600 1,181
44117800 239
44123100 323
44126400 592
44126700 361
44141000 578
44153200 5,986
44168701 1,397
44179400 240
44184000 1,730
44189900 1,239
44195000 758
44197000 550
44214300 309
44216401 1,253
44217300 500
44218900 267
44219800 1,965
44232300 558
44234700 483
44387700 39,183
44657800 992
44670900 1,396
44677500 649
70258600 1,600
70263700 908
70264100 436
70269500 316

Nominee List

CSL Limited 21 March 2011

Nominee Name
70269600 734
70269700 832
70271700 2,873
70272800 1,108
70289900 392
70291700 3,313
70294000 396
70301400 623
70303100 358
70304800 803
70305800 1,469
70306100 1,040
70310100 2,686
70311100 1,251
70314600 381
70314700 2,876
70315100 366
70315200 317
70315600 652
70316100 732
70316200 716
70320700 2,040
70321000 403
70321300 506
70321900 588
70322000 343
70322200 312
70322900 479
70323200 1,472
70323300 742
70323800 2,261
70324200 424
70324300 546
70324400 547
70324500 547
70325600 1,231
70326400 5,134
70326800 532
70331700 607
70331900 860
70332900 1,966

Nominee List

CSL Limited 21 March 2011

Nominee Name
70333000 15,878
70333600 363
70335100 538
70337400 727
70337700 1,058
70344600 734
70344900 1,518
70346200 387
70347000 4,989
70347100 558
70350000 811
70350600 10,551
70351800 561
70352400 3,160
70352500 332
70355400 2,747
70355500 219
70356000 1,850
70356300 521
70358700 397
70359700 1,273
70359800 647
70360200 448
70360400 532
70360700 368
70362000 453
70362100 470
70363800 1,225
70365900 753
70368900 723
70374700 320
70374800 514
70375900 392
70377100 393
70377300 2,362
70378600 360
70379000 1,946
70383200 2,898
70383300 2,076
70384200 1,579
70384700 381

Nominee List

CSL Limited 21 March 2011

Nominee Name
70386800 254
70386900 475
70501500 846
70501600 924
70504700 2,932
70505400 275
70506000 280
70513600 393
70517000 322
70518500 187
70519500 376
70519700 926
70519800 2,834
70520000 805
70521500 901
70521800 1,129
70527800 308
70529000 442
70531900 413
70533600 700
70533700 2,358
70535200 687
70535400 1,006
70535800 821
70600800 500
70604400 368
70605500 2,779
70606800 918
70608100 457
70608900 412
70611600 1,335
70612800 398
70613900 360
70614900 229
70615500 350
70616900 202
70617400 508
70620800 1,937
70620900 525
70622600 495
70623600 446

Nominee List

CSL Limited 21 March 2011

Nominee Name
70624500 306
70686900 498
70698800 503
70699900 295
70700600 518
70704000 380
70710200 558
70714300 442
70715900 1,034
70716200 1,296
70717200 5,461
70717700 562
70722300 451
70722600 445
70723000 904
70723100 500
70723900 1,231
70724700 1,232
70725200 349
70725400 344
70725500 344
70727300 572
70727400 2,239
70728600 301
70729000 298
70729500 600
70730200 356
70730400 1,688
70731100 460
70732100 435
70733100 628
70734500 9,326
70737100 431
70739800 639
70741000 1,239
70742200 463
70742600 397
70743600 436
70744500 509
70748300 847
70749700 507

Nominee List

CSL Limited

21 March 2011

Nominee Name

70749900 1,387
70750000 465
70750100 1,334
70750300 1,600
70753800 400
70754200 2,927
70755300 376
70755500 1,248
70757900 435
Total Shares: 263,519
Wells Fargo
70480400 341
70480500 878
70754300 1,800
Total Shares: 3,019
Westpac Banking Corp
43427100 297,048
43487500 6,300
44023900 26,123
44029700 83,233
44099600 513
44100400 563
44159700 4,773
44195600 496
44210500 1,676
44224400 12,776
44226100 3,706
44235000 398
44359700 10,277
44678600 905
45415100 12,300
70273500 5,374
70273800 3,050
70293400 570
70293500 351
70293600 903
70294700 507
70303700 425

Nominee List

CSL Limited

21 March 2011

Nominee Name
70313000 2,701
70511400 1,670
70722000 1,168
70724900 1,029
Total Shares: 478,835
Westpac Custodian Nominees
50 Pitt Street, 8th Floor
Sydney, NSW 2000
Australia
11000010 617,002
11000077 370,000
11000813 155,000
43355500 14,500
43445200 24,709
43487700 3,267
43487800 4,832
43558600 34,213
43565400 10,400
43570200 8,370
43583100 116,968
44038900 127,400
44039600 132,940
44044700 14,179
44045900 130,700
44130300 3,282
44147000 1,932
44147200 396
44149900 4,185
44155600 7,843
44159401 13,035
44186600 2,097
44232200 3,973
44271500 19,254
44273000 29,756
44283000 7,806
44302000 2,169
44308600 50,255
44313700 23,329
44316900 27,700

Nominee List

CSL Limited 21 March 2011

Nominee Name
44317300 38,016
44318100 82,886
44323800 26,484
44336000 130,643
44336100 11,786
44348800 83,398
44351800 59,741
44357100 37,397
44358800 113,279
44359800 48,080
44370400 50,846
44370700 11,300
44376700 155,309
44378900 78,322
44677200 6,700
44678200 529
44678300 3,533
44800100 10,263
45415200 54,515
45426000 163,844
45503300 4,450
46055500 39,800
46520100 202,800
70332200 665
70333100 1,736
70520201 3,338
70521900 956
70522000 245
70522100 226
70735300 7,856
70736000 235
Total Shares: 3,390,670