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GDI PROPERTY GROUP Director's Dealing 2015

Nov 19, 2015

64974_rns_2015-11-19_abf6d1d2-e96a-4b4b-beaa-acadaf7f870b.pdf

Director's Dealing

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Appendix 3Y Change of Director’s Interest Notice

Rule 3.19A.2

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.

Introduced 30/09/01 Amended 01/01/11

Name of entity GDI Property Group Limited
GDI Property Trust
ACN 166 479 189
ARSN 166 598 161

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.

We (the entity) give ASX the followingthe director for the purposes of section information under listing rule 3.19A.2 and as agent for205G of the Corporations Act.
Name of Director Mr Steven Neville Gillard
Date of last notice 22 December 2014

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

Note: In the case of a company, interests which come within paragraph (i) of the definition of “notifiable interest of a director” should be disclosed in this part.

Direct or indirect interest Direct and indirect
Nature of indirect interest HSBC Nominees Australia
(including registered holder)
Note: Provide details of the circumstances giving rise to the relevantinterest. Gillard Ventures Pty Ltd as trustee for
Gillard GDI Trust (Mr Gillard is the sole
director of Gillard Ventures Pty Ltd and a
beneficiary of Gillard GDI Trust)
Flanard Investments Pty Ltd (Mr Gillard is
the sole director of Flanard Investments
Pty Ltd)
Gillard Superannuation Pty Ltd as trustee
for Gillard Superannuation Fund (Mr
GillardisadirectorofGillard
Superannuation Pty Ltd and a beneficiary
of Gillard Superannuation Fund)
Date of change 20 November 2015
  • See chapter 19 for defined terms.

01/01/2011 Appendix 3Y Page 1

Appendix 3Y Change of Director’s Interest Notice

No. of securities held prior to change 30,300,000 securities held as follows:HSBC Nominees Australia – 20,003,848Steven Gillard – 277,801Gillard Ventures Pty Ltd – 9,163,784Flanard Investments Pty Ltd – 86,216Gillard Superannuation Pty Ltd – 768,351286,874 Performance Rights held asfollows:Steven Gillard – 286,874
Class Performance Rights
Number acquired 1,304,143 Performance Rights
Number disposed Nil
Value/ConsiderationNote: If consideration is non‐cash, provide details and estimatedvaluation Nil
No. of securities held after change 30,300,000 securities held as follows:HSBC Nominees Australia – 20,003,848Steven Gillard – 277,801Gillard Ventures Pty Ltd – 9,163,784Flanard Investments Pty Ltd – 86,216Gillard Superannuation Pty Ltd – 768,3511,591,017 Performance Rights held asfollows:Steven Gillard – 1,591,017
Nature of changeExample: on‐market trade, off‐market trade, exercise of options,issue of securities under dividend reinvestment plan, participation inbuy‐back Performance Rights issued as part of GDIProperty Group’s STI and LTI plan(approved at the 2015 AGM)

Part 2 – Change of director’s interests in contracts

Note: In the case of a company, interests which come within paragraph (ii) of the definition of “notifiable interest of a director” should be disclosed in this part.

Detail of contract Nature of interest Name of registered holder (if issued securities)

  • See chapter 19 for defined terms.

Appendix 3Y Page 2

01/01/2011

Appendix 3Y Change of Director’s Interest Notice

Date of change No. and class of securities to which interest related prior to change Note: Details are only required for a contract in relation to which the interest has changed Interest acquired Interest disposed Value/Consideration Note: If consideration is non‐cash, provide details and an estimated valuation Interest after change

Part 3 –[+] Closed period

Part 3 –+Closed period
Were the interests in the securities or contracts detailedabove traded during a+closed period where prior writtenclearance was required? No
If so, was prior written clearance provided to allow the tradeto proceed during this period? N/A
If prior written clearance was provided, on what date was thisprovided? N/A
  • See chapter 19 for defined terms.

01/01/2011 Appendix 3Y Page 3