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DRONESHIELD LIMITED Major Shareholding Notification 2026

May 7, 2026

64786_rns_2026-05-07_cca554fc-f12f-4081-94ba-a78d3507a56f.pdf

Major Shareholding Notification

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605 Page 1 of 3

Form 605
Corporations Act 2001
Section 671B
Notice of ceasing to be a substantial holder

To Company Name/Scheme
DroneShield Ltd

ACN/ARSN/ABN
26 608 915 859

  1. Details of substantial holder (1)

Name
JPMorgan Chase & Co. and its affiliates

ACN/ARSN (if applicable)
NA

The holder ceased to be a substantial holder on
05/May/2026

The previous notice was given to the company on
09/April/2026

The previous notice was dated
07/April/2026

  1. Changes in relevant interests

Particulars of each change in, or change in the nature of, a relevant interest (2) of the substantial holder or an associate (3) 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 (4) Consideration given in relation to change (5) Class (6) and number of securities affected Person's votes affected
See Appendix JPMORGAN CHASE BANK, N.A. Securities on Loan as Agent Lender See Appendix 10,439,079 (Ordinary) 10,439,079 (Ordinary)
See Appendix JPMORGAN ASSET MANAGEMENT (UK) LIMITED securities received as collateral due to securities lending See Appendix 67.98 (Ordinary) 67.98 (Ordinary)
See Appendix JPMORGAN ASSET MANAGEMENT (UK) LIMITED In its capacity as investment manager or in various other related capacities See Appendix 8,167 (Ordinary) 8,167 (Ordinary)
See Appendix J.P. MORGAN INVESTMENT MANAGEMENT INC. securities received as collateral due to securities lending See Appendix 307.90 (Ordinary) 307.90 (Ordinary)
See Appendix J.P. MORGAN SECURITIES AUSTRALIA LIMITED Purchase and sales of securities in its capacity as Principal/Proprietary See Appendix 2,453,362 (Ordinary) 2,453,362 (Ordinary)
See Appendix J.P. MORGAN SECURITIES PLC Holder of securities subject to an obligation to return under a securities lending agreement See Appendix 1,012,957 (Ordinary) 1,012,957 (Ordinary)
See Appendix J.P. MORGAN SECURITIES PLC Purchase and sales of securities in its capacity as Principal/Proprietary See Appendix 659 (Ordinary) 659 (Ordinary)
See Appendix J.P. MORGAN SECURITIES LLC Holder of securities subject to an obligation to return under a securities lending agreement See Appendix 7,327,672 (Ordinary) 7,327,672 (Ordinary)

605 Page 2 of 3

3. Changes in association

The persons who have become associates (3) of, ceased to be associates of, or have changed the nature of their association (7) 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
J.P. MORGAN SECURITIES AUSTRALIA LIMITED Subsidiary of JPMorgan Chase & Co.
J.P. MORGAN SECURITIES LLC Subsidiary of JPMorgan Chase & Co.
J.P. MORGAN SECURITIES PLC Subsidiary of JPMorgan Chase & Co.
JPMORGAN CHASE BANK, N.A. Subsidiary of JPMorgan Chase & Co.
J.P. MORGAN INVESTMENT MANAGEMENT INC. Subsidiary of JPMorgan Chase & Co.
JPMORGAN ASSET MANAGEMENT (UK) LIMITED Subsidiary of JPMorgan Chase & Co.

4. Addresses

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

Name Address
JPMorgan Chase & Co. 270 Park Avenue, New York, New York, NY, 10017, United States
J.P. MORGAN SECURITIES AUSTRALIA LIMITED LEVEL 18, 83-85 CASTLEREAGH STREET, SYDNEY, NSW 2000, Australia
J.P. MORGAN SECURITIES LLC 270 Park Avenue, New York, New York, NY, 10017, United States
J.P. MORGAN SECURITIES PLC 25 Bank Street, Canary Wharf, London, E14 5JP, England
JPMORGAN CHASE BANK, N.A. 1111 Polaris Parkway, Columbus, Delaware, OH, 43240, United States
J.P. MORGAN INVESTMENT MANAGEMENT INC. 270 Park Avenue, New York, New York, NY, 10017, United States
JPMORGAN ASSET MANAGEMENT (UK) LIMITED 60 Victoria Embankment, London, EC4Y0JP, England

Signature

Print name
Vasim Pathan
Capacity
Compliance Officer

Sign here
VS. Pathan
Date
07/May/2026


605 Page 3 of 3

DIRECTIONS

(1) If there are a number of substantial holders with similar or related relevant interests (e.g. a corporation and its related corporations, or the manager and trustee of an equity trust), the names could be included in an annexure to the form. If the relevant interests of a group of persons are essentially similar, they may be referred to throughout the form as a specifically named group if the membership of each group, with the names and addresses of members is clearly set out in paragraph 4 of the form.

(2) See the definition of "relevant interest" in sections 608 and 671B(7) of the Corporations Act 2001.

(3) See the definition of "associate" in section 9 of the Corporations Act 2001.

(4) Include details of:

(a) any relevant agreement or other circumstances because of which the change in relevant interest occurred. If subsection 671B(4) applies, a copy of any document setting out the terms of any relevant agreement, and a statement by the person giving full and accurate details of any contract, scheme or arrangement, must accompany this form, together with a written statement certifying this contract, scheme or arrangement; and

(b) any qualification of the power of a person to exercise, control the exercise of, or influence the exercise of, the voting powers or disposal of the securities to which the relevant interest relates (indicating clearly the particular securities to which the qualification applies).

See the definition of "relevant agreement" in section 9 of the Corporations Act 2001.

(5) Details of the consideration must include any and all benefits, money and other, that any person from whom a relevant interest was acquired has, or may, become entitled to receive in relation to that acquisition. Details must be included even if the benefit is conditional on the happening or not of a contingency. Details must be included of any benefit paid on behalf of the substantial holder or its associate in relation to the acquisitions, even if they are not paid directly to the person from whom the relevant interest was acquired.

(6) The voting shares of a company constitute one class unless divided into separate classes.

(7) Give details, if appropriate, of the present association and any change in that association since the last substantial holding notice.


TRADES FOR RELEVANT PERIOD Appendix
Date Date of Sale Project Project Type Type of Transaction Units of Sale Price (AUD) Construction
balance at start of relevant period
8-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Adjustment 13,646 $
8-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Box 14,655 3.45 $ 50,567.08
8-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Box 106,525 3.41 $ 669,828.02
8-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Sell (728,938) 3.39 $ 2,468,210.31
8-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 729,196 3.35 $ 131,330.31
8-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Box 654,147 3.38 $ 2,207,944.99
8-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Box 108,632 3.50 $ 369,903.16
8-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Box 108,632 3.32 $ 369,497.57
8-Apr-26 J.P. HORGAN SECURITIES P.C Equity Box 1,226 3.35 $ 4,107.10
8-Apr-26 J.P. HORGAN SECURITIES P.C Equity Box 409 3.45 $ 1,411.05
8-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Sell (108,632) 3.99 $ 433,441.68
8-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 385,728 3.99 $ 342,054.72
8-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow 5,800 $
8-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow 1,500,000 $
8-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow 146,960 $
8-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow 20,000 $
8-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow 100,000 $
8-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set (115,922) 3.52 $ 407,661.55
8-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 10,479 3.48 $ 36,414.22
8-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 10,479 3.48 $ 36,414.22
8-Apr-26 J.P. HORGAN SECURITIES P.C Equity Set 12,024 3.50 $ 7,083.52
8-Apr-26 J.P. HORGAN SECURITIES P.C Equity Set 12,024 3.50 $ 7,083.52
8-Apr-26 J.P. HORGAN SECURITIES P.C Equity Set 1,226 3.50 $ 7,083.52
9-Apr-26 J.P. HORGAN SECURITIES P.C Equity Set 1,226 3.49 $ 7,111.69
9-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 114,655 3.45 $ 66,599.75
9-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 158,400 3.45 $ 122,460.00
9-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 12,093 3.45 $ 6,536.85
9-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 100,771.05 $ 100,771.05
9-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 189,695 3.50 $ 311,833.50
9-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow 110,000 $
9-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow 138,520 $
9-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow 108,632 $
9-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 1109,795 3.49 $ 382,660.08
10-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 1109,795 3.42 $ 9,479.07
10-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 83,976 3.57 $ 206,642.01
10-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 83,976 3.57 $ 206,642.01
10-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 57,272 3.51 $ 200,569.17
10-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 2,134 3.44 $ 7,341.30
10-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 928 3.44 $ 1,188.96
10-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 1,188.96 3.50 $ 144,882.50
10-Apr-26 J.P. HORGAN SECURITIES P.C Equity Borrow 11,000,000 $
10-Apr-26 J.P. HORGAN SECURITIES L.C Equity Borrow 1,000,000 $
10-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow 12,400,000 $
12-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 1104,060 3.44 $ 357,589.61
12-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 2,014 3.42 $ 6,896.45
12-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 16,838 3.47 $ 23,727.86
12-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 157,272 3.47 $ 199,733.84
12-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Set 3,47 6,988.58
12-Apr-26 J.P. HORGAN SECURITIES L.C Equity Borrow 1,000,000 $
12-Apr-26 J.P. HORGAN SECURITIES P.C Equity Borrow 1,000,000 $
12-Apr-26 J.P. HORGAN SECURITIES P.C Equity Borrow 1,000,000 $
12-Apr-26 J.P. HORGAN SECURITIES P.C Equity Borrow 1,000,000 $

2/3

TRADES FOR RELEVANT PERIOD
17-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Sell
17-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Sell
17-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity 1,154,751
17-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity 3,62,627
17-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity 1,154,751

3/3

TRADES FOR RELEVANT PERIOD
28-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 3,100 3.69 $ 11,439.00
28-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 7,264 3.69 $ 26,795.09
28-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus (126,117) 3.78 $ 676,722.26
28-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bike (7,558) 3.78 $ 79,350.69
28-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Self (920) 3.78 $ 1,477.60
28-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Self (15,863) 3.78 $ 59,962.14
28-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 3,451 3.70 $ 12,754.90
28-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow 34,300 - $ -
28-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return (302,379) - $ -
28-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return - - $ -
28-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return (124,200) - $ -
28-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return (224,000) - $ -
29-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 35,791 3.63 $ 129,817.43
29-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 3,471 3.62 $ 8,938.07
29-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus (30,738) 3.62 $ 111,373.13
29-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 30,738 3.64 $ 111,827.21
29-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 9,800 3.62 $ 35,482.00
29-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 185,422 3.62 $ 671,287.26
29-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 664 3.65 $ 2,420.88
29-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 1,177 3.58 $ 31,889.49
29-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 8,926 3.58 $ 31,947.05
29-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 3,958 3.63 $ 7,108.52
29-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 21,150 3.63 $ 76,785.08
29-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Self 1,959 3.58 $ 7,003.92
29-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Self (70,652) 3.62 $ 255,760.24
29-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus (3,507) 3.62 $ 12,695.34
29-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bike 1,800 3.62 $ 25,476.06
29-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Self 664 3.62 $ 2,465.68
29-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return (39,505) - $ -
29-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return - - $ -
29-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return 164,993 - $ -
29-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return (50,000) - $ -
29-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return 36,759 - $ -
30-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 164,937 3.53 $ 581,817.41
30-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Self (155,786) 3.54 $ 551,255.57
30-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 1,946 3.53 $ 59,355.21
30-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 181,708 3.53 $ 641,419.43
30-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bike 152,793 3.63 $ 191,638.99
30-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Self (25,579) 3.63 $ 92,851.77
30-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Self 14,073 3.63 $ 51,084.99
30-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return (225,000) - $ -
30-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return (33,224) - $ -
30-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return (385,419) - $ -
30-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return (250,000) - $ -
30-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return - - $ -
30-Apr-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return - - $ -
30-Apr-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 3,492 3.60 $ 8,958.74
1-Pay-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Self (16,684) 3.62 $ 60,396.08
1-Pay-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bike 15,632 3.62 $ 68,851.11
1-Pay-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 15,632 3.62 $ 68,851.11
1-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Self (129) 3.60 $ 464.40
1-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Bus 126,020 3.54 $ 67,330.89
1-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Bike 1,129 3.60 $ 464.40
1-Pay-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return (310,000) - $ -
1-Pay-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return (174,991) - $ -
1-Pay-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return 4,200 - $ -
1-Pay-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return 22,200 - $ -
1-Pay-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return 22,200 - $ -
1-Pay-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return (243,711) - $ -
1-Pay-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return (129,593) - $ -
1-Pay-26 J.P. HORGAN CHASE BANK, N.A. Equity Borrow Return (100,000) - $ -
4-Pay-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 109,484 3.69 $ 404,314.56
4-Pay-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 13,440 3.74 $ 50,347.92
4-Pay-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Self (7,000) 3.59 $ 25,130.00
4-Pay-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bus 24,389 3.72 $ 90,718.79
4-Pay-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bike 786 3.74 $ 2,939.64
4-Pay-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Self (786) 3.61 $ 1,837.46
4-Pay-26 J.P. HORGAN SECURITIES AUSTRALIA LIMITED Equity Bike 112,480 3.61 $ 45,052.80
4-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Borrow Return 287,000 - $ -
4-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Borrow Return (2,765) - $ -
4-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Borrow Return (149,072) - $ -
4-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Borrow Return (30,350) - $ -
5-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Adjustment 761 - $ -
5-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Borrow Return 1,183,740 3.83 $ 454,700.82
5-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Bus 56 3.86 $ 216.10
5-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Bike 7,410 3.83 $ 26,385.35
5-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Bus 4 3.83 $ 15.32
5-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Bike 17,746 3.83 $ 68,028.67
5-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Self (2,257) 3.85 $ 8,689.06
5-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Bike 124,385 3.75 $ 91,458.75
5-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Bike (786) 3.75 $ 2,947.50
5-Pay-26 J.P. HORGAN SECURITIES A.U.C. Equity Cullateral In 16.35 - $ -
5-Pay-26 J.P. HORGAN HOSPITAL MANAGEMENT Equity Cullateral In 2,02 - $ -
5-Pay-26 J.P. HORGAN HOSPITAL MANAGEMENT Equity Borrow Return 15.52 - $ -
5-Pay-26 J.P. HORGAN HOSPITAL MANAGEMENT Equity Borrow Return 29.82 - $ -
5-Pay-26 J.P. HORGAN HOSPITAL MANAGEMENT Equity Cullateral In 15.52 - $ -

Appendix: Prescribed information pursuant to securities lending arrangement disclosed under the substantial shareholding notice filed with ASX.

Date: 07-May-2026
Company's name: DRONESHIELD LTD
ISIN: AU000000DRO2
Date of change of relevant interests: 05-May-2026
Schedule
Type of agreement Overseas Securities Lending Agreement ("OSLA")
Parties to agreement JPMorgan Chase Bank, N.A. (acting as agent) ("lender") and Barclays Capital Securities Limited ("Borrower")
Transfer date Settlement date
27-Feb-2026
10-Mar-2026
Holder of voting rights Borrower
Are there any restriction on voting rights Yes
If yes, detail The borrower undertakes to use its best endeavors to arrange for the voting rights to be exercised in accordance with the instructions of the lender, provided that the lender uses its best endeavors to notify the borrower of its instructions in writing no later than 7 business days prior to the date upon which such votes are exercisable or as otherwise agreed between the parties. This undertaking is set out in clause 4(B)(vi) of the standard form OSLA.
Scheduled return date (if any) None
Does the borrower have the right to return early? Yes
If yes, detail Borrower has right to return all and any equivalent securities early at any time in accordance with the lender's instructions.
Does the lender have the right to recall early? Yes
If yes, detail Lender has right to recall all or any equivalent securities at any time by giving notice on any business day of not less than the standard settlement time for such equivalent securities on the exchange or in the clearing organisation through which the relevant borrowed securities were originally delivered (and where there is a difference between the settlement time for sales and purchases on the relevant exchange or clearing organisation, the standard settlement time shall be the shorter of the two times). The borrower must return the securities not later than the expiry of such notice in accordance with the lender's instructions.
Will the securities be returned on settlement? Yes
If yes, detail any exceptions No exceptions
Statement If requested by the company to whom the prescribed form must be given, or if requested by ASIC, a copy of the agreement will be given to that company or ASIC.

Appendix: Prescribed information pursuant to securities lending arrangement disclosed under the substantial shareholding notice filed with ASX.

Date: 07-May-2026
Company's name: DRONESHIELD LTD
ISIN: AU000000DRO2
Date of change of relevant interests: 05-May-2026
Schedule
Type of agreement Master Securities Lending Agreement ("MSLA")
Parties to agreement JPMorgan Chase Bank, N.A. (acting as agent) ("lender") and Bofa Securities, Inc. ("Borrower")
Transfer date Settlement date
09-Apr-2026
Holder of voting rights Borrower
Are there any restriction on voting rights Yes
If yes, detail The borrower undertakes to use its best endeavors to arrange for the voting rights to be exercised in accordance with the instructions of the lender, provided that the lender uses its best endeavors to notify the borrower of its instructions in writing no later than 7 business days prior to the date upon which such votes are exercisable or as otherwise agreed between the parties. This undertaking is set out as per the rights of the borrower as stated in the MSLA.
Scheduled return date (if any) None
Does the borrower have the right to return early? Yes
If yes, detail Borrower has right to return all and any equivalent securities early at any time in accordance with the lender's instructions.
Does the lender have the right to recall early? Yes
If yes, detail Lender has right to recall all or any equivalent securities at any time by giving notice on any business day of not less than the standard settlement time for such equivalent securities on the exchange or in the clearing organisation through which the relevant borrowed securities were originally delivered (and where there is a difference between the settlement time for sales and purchases on the relevant exchange or clearing organisation, the standard settlement time shall be the shorter of the two times). The borrower must return the securities not later than the expiry of such notice in accordance with the lender's instructions.
Will the securities be returned on settlement? Yes
If yes, detail any exceptions No exceptions
Statement If requested by the company to whom the prescribed form must be given, or if requested by ASIC, a copy of the agreement will be given to that company or ASIC.

Appendix: Prescribed information pursuant to securities lending transaction disclosed under the substantial shareholding notice filed with ASX.

Appendix: Prescribed information pursuant to securities lending transaction disclosed under the substantial shareholding notice filed with ASX.

Will the securities be returned on settlement? Yes
If yes, detail any exceptions No exceptions
Statement If requested by the company to whom the prescribed form must be given, or if requested by ASIC, a copy of the agreement will be given to that company or ASIC.
Does the lender have the right to recall early? Yes
If yes, detail Lender has right to recall all or any equivalent securities at any time by giving notice on any business day of not less than the standard settlement time for such equivalent securities on the exchange or in the clearing organisation through which the relevant borrowed securities were originally delivered (and where there is a difference between the settlement time for sales and purchases on the relevant exchange or clearing organisation, the standard settlement time shall be the shorter of the two times). The borrower must return the securities not later than the expiry of such notice in accordance with the lender's instructions.
Will the securities be returned on settlement? Yes
If yes, detail any exceptions No exceptions
Statement If requested by the company to whom the prescribed form must be given, or if requested by ASIC, a copy of the agreement will be given to that company or ASIC.
If yes, detail Lender has right to recall all or any equivalent securities at any time by giving notice on any business day of not less than the standard settlement time for such equivalent securities on the exchange or in the clearing organisation through which the relevant borrowed securities were originally delivered. The borrower must return the securities not later than the expiry of such notice in accordance with the lender's instructions.
Will the securities be returned on settlement? Yes
If yes, detail any exceptions No exceptions
Statement If requested by the company to whom the prescribed form must be given, or if requested by ASIC, a copy of the agreement will be given to that company or ASIC.