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GRAINCORP LIMITED Regulatory Filings 2014

Oct 2, 2014

65001_rns_2014-10-02_89930181-24e8-4d74-9b64-2ff9f6aececa.pdf

Regulatory Filings

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Form 603

Corporations Law Section 671B

Notice of initial substantial holder

To Company Name/Scheme GRAINCORP LIMITED

ACN/ARSN 057 186 035

1. Details of substantial holder (1)

Name PERPETUAL LIMITED and subsidiaries ACN (if applicable) 000 431 827

The holder became a substantial holder on _ 01_ / _10 / 2014_

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 ofsecurities (4) Numberofsecurities Persons’ votes (5) Voting power(6)
Ordinary 11,507,007 11,507,007 5.03%

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 Nature of relevant interest(7) Class and number of securities
Refer annexure1 & 2

4. Details of present registered holders

The persons registered as holders of the securities referred to in paragraph above are as follows:

Holder of relevant interest Registered holder of
securities
Persons entitled to be
registered as holder(8)
Class and number of
securities
Refer annexure 1

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 Date of acquisition Consideration (9) Consideration (9) Class and number of
securities
Refer annexure 3 Cash Non - Cash

Associates

The reasons the persons named in paragraph 3 above are associates of the substantial holder are as follows:

Name and ACN (if applicable) Nature of association Refer to Annexure 1 & 2 6. Addresses The addresses of persons named in this form are as follows: Name Address Refer to Annexure 1

Signature

==> picture [347 x 10] intentionally omitted <==

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

Print name GLENDA CHARLES Capacity DEPUTY COMPANY SECRETARY
----- End of picture text -----

ANNEXURE 1 - Perpetual Investments Account Codes & Details

Perpetual Investments Management Limited (PIML), subsidiary of Perpetual Limited, as Responsible Entity for:

INTERNAL CODE ACCOUNT DETAILS REGISTRATION DETAILS
ALL 'PC' CODES RBC Investor Services Australia Nominees Pty Ltd
ACF: PIML (Select Investments)
RBC Dexia Investor Services Australia Pty Limited
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Limited

GPO Box 5430, Sydney NSW 2001
PCEF RBC Investor Services Australia Nominees Pty Ltd
ACF: Perpetual's Wholesale Concentrated Equity Fund
Account Code: PICEF
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Ltd

GPO Box 5430 Sydney NSW 2001
PIBIAS RBC Investor Services Australia Nominees Pty Ltd
ACF: Perpetual Pure Value Share Fund
Account Code: PIBIAS
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Ltd

GPO Box 5430 Sydney NSW 2001
PIDGPF RBC Investor Services Australia Nominees Pty Ltd
ACF: Perpetual Dynamic Global Property Fund
Account Code: PIDGPF
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Limited

GPO Box 5430 Sydney NSW 2001
PIGPVF RBC Investor Services Australia Nominees Pty Ltd
ACF: Perpetual's Pure Value 2 Share Fund
Account Code: PIGPVF
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Ltd

GPO Box 5430 Sydney NSW 2001
PIGSFP RBC Investor Services Australia Nominees Pty Ltd
ACF: Perpetual's Australian Share Fund
Account Code: PIGSFP
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Ltd

GPO Box 5430 Sydney NSW 2001
PIICAP RBC Investor Services Australia Nominees Pty Ltd
ACF: WealthFocus Investment Advantage Perpetual Australian Share
Fund
Account Code: PIICAP
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Limited A/C>
GPO Box 5430 Sydney NSW 2001
PMISF RBC Investor Services Australia Nominees Pty Ltd
ACF: Perpetual's Industrial Share Fund
Account Code: PMISF
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Ltd

GPO Box 5430 Sydney NSW 2001
PIRAF RBC Investor Services Australia Nominees Pty Ltd
ACF: Perpetual Resources Fund
Account code: PIRAF
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Ltd

GPO Box 5430 Sydney NSW 2001
PISINP RBC Investor Services Australia Nominees Pty Ltd
ACF: WealthFocus Investment Advantage Perpetual Industrial Share
Fund
Account Code: PISINP
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Limited A/C>
GPO Box 5430 Sydney NSW 2001
PISMA1 RBC Investor Services Australia Nominees Pty Ltd
ACF: SMA Equity Imputation Portfolio
Account Code: PISMA1
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Ltd

GPO Box 5430 Sydney NSW 2001
PISMA2 RBC Investor Services Australia Nominees Pty Ltd
ACF: SMA Capital Accumulation Portfolio
Account Code: PISMA2
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Ltd

GPO Box 5430 Sydney NSW 2001
PIWGAP UBS Nominee Pty Ltd
ACF: Perpetual Wholesale Geared Australian Share Fund
Account code: A1044169
C/- RBC Investor Services Australia Nominees Pty Ltd
GPO Box 5430 Sydney NSW 2001
UBS Nominee Pty Ltd
Level 16 Chifley Tower
2 Chifley Square
Sydney NSW 2000
PIWCPF UBS Nominee Pty Ltd
ACF: PI Protected Aust Share Fund A
Account code: A1019475
C/- RBC Investor Services Australia Nominees Pty Ltd
GPO Box 5430 Sydney NSW 2001
UBS Nominee Pty Ltd
Level 16, Chifley Tower
2 Chifley Square
Sydney NSW 2000

This is Annexure 1 Page 1 of 5 referred to in Form 603

PIWJPI RBC Investor Services Australia Nominees Pty Ltd
ACF: Perpetual JF Wholesale Prop Income Fund
Account Code: PIWJPI
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Ltd

GPO Box 5430 Sydney NSW 2001
PIWMCX RBC Investor Services Australia Nominees Pty Ltd
ACF: Perpetual Pure Microcap Pool
Account Code: PIWMCX
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Ltd

GPO Box 5430 Sydney NSW 2001
PIWEYX RBC Investor Services Australia Nominees Pty Ltd
ACF: Perpetual Pure Equity Yield Pool
Account Code: PIWEYX
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Ltd

GPO Box 5430 Sydney NSW 2001
PIWARX UBS Nominee Pty Ltd
ACF: Perpetual Pure Equity Alpha Pool
Account code: A1081898/A8081898
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
UBS Nominees Pty Ltd
Level 16 Chifley Tower
2 Chifley Square
Sydney NSW 2000
PIWSPP UBS Nominee Pty Ltd
ACF: Perpetual Wholesale Share Plus Fund
Account code: A111267
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
UBS Nominees Pty Ltd
Level 16 Chifley Tower
2 Chifley Square
Sydney NSW 2000
PIWSRP RBC Investor Services Australia Nominees Pty Ltd
ACF: Perpetual Wholesael Ethical Fund
Account Code: PIWSRP
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Ltd

GPO Box 5430 Sydney NSW 2001
PMWSC RBC Investor Services Australia Nominees Pty Ltd
ACF: Perpetual Wholesale Smaller Company Fund
Account Code: PIWSCS
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Ltd

GPO Box 5430 Sydney NSW 2001
PPSF RBC Investor Services Australia Nominees Pty Ltd
ACF: Perpetual Wholesale Property Securities Fund
Account Code: PPSF
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Ltd

GPO Box 5430 Sydney NSW 2001
PISTIF RBC Investor Services Australia Nominees Pty Ltd
ACF: Perpetual Pure Credit Alpha Fund
Account Code: PISTIF
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Ltd

GPO Box 5430 Sydney NSW 2001
Perpetual Investments Management Limited (PIML), subsidiary of Perpetual Limited, as Trustee for: Perpetual Investments Management Limited (PIML), subsidiary of Perpetual Limited, as Trustee for: Perpetual Investments Management Limited (PIML), subsidiary of Perpetual Limited, as Trustee for:
ALL 'SS' CODES RBC Investor Services Australia Nominees Pty Ltd
ACF: PIML (Select Super)
RBC Dexia Investor Services Australia Pty Limited
GPO Box 5430 Sydney NSW 2001
RBC Investor Services Australia Nominees Pty Ltd
ACF: PIML (Select Super)
RBC Dexia Investor Services Australia Pty Limited
GPO Box 5430 Sydney NSW 2001

Perpetual Investments Management Limited (PIML), subsidiary of Perpetual Limited, under Investment Management Agreements with:

INTERNAL CODE ACCOUNT DETAILS REGISTRATION DETAILS
CBAISF Citicorp Nominees Pty Ltd.
ACF: Commonwealth Aust Shares Fund 4
Account Code:2350910000
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
Citicorp Nominees Pty Ltd
GPO Box 764G
Melbourne VIC 3001
NSWTC BNP Paribas Noms Pty Ltd
ACF: NSW Treasury Corporation
Account Code: 1140474512D
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
BNP Paribas Noms Pty Ltd
P.O. Box R209 Royal Exchange
Sydney NSW 1225
PIACT JPMorgan Nominees Australia Limited
ACF: Australian Capital Territory Treasury
Account Code:32512
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JPMorgan Nominees Australia Limited
Locked Bag 20049
Melbourne VIC 3001

This is Annexure 1 Page 2 of 5 referred to in Form 603

PIAVIV National Nominees Pty Ltd
ACF: NAVIGATOR AUSTRALIA LIMITED
Account Code: M4NIPA
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Nominees Pty Ltd
PO Box 1406
Melbourne VIC 3001
PIACSR BNP Paribas Noms Pty Ltd
ACF: Australian Catholic Superannuation & Retirement Fund
Account code: 1140401985T
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2000
BNP Paribas Nominees Pty Ltd
PO Box R209 Royal Exchange
NSW 1225
PIAVSU BNP Paribas Noms Pty Ltd
ACF: AvSuper Pty Ltd
Account code: 1140421969Z
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2000
BNP Paribas Nominees Pty Ltd
PO Box R209 Royal Exchange
NSW 1225
PICLUB National Nominees Ltd
ACF: Club Plus Superannuation
Account Code: C8PTAE
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Nominees Pty Ltd
PO Box 1406
Melbourne VIC 3001
PIEFM6 BNP Paribas Nominees Pty Ltd
ACF: EFM Australian Share Fund 6
Account Code: 1140429625S
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
BNP Paribas Nominees Pty Ltd
PO Box R209 Royal Exchange
NSW 1225
PIFIRS National Nominees Ltd
ACF: FIRST SUPER MANDATE AUSTRALIA
Account Code: TIPTAE
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Nominees Pty Ltd
PO Box 1406
Melbourne VIC 3001
PIHEST JPMorgan Nominees Australia Limited
ACF: HEST Australia Limited
Account Code: 33112
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JPMorgan Nominees Australia Limited
Locked Bag 20049
Melbourne VIC 3001
PIMEDA BNP Paribas Nominees Pty Ltd
ACF: MEDIA SUPER SMALLER COMPANIES FUND
Account code: 1140489689B
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2000
BNP Paribas Nominees Pty Ltd
PO Box R209 Royal Exchange
NSW 1225
PINGSS State Street Australia Limited
ACF: NGS SUPER PTY LTD
Account code: SDA7
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2000
HSBC Custody Nominees (Australia) Limited
Level 13 580 George St
Sydney NSW 2000
PIRAEO State Street Australia Limited
ACF: RUSSELL AUSTRALIAN OPPORTUNITIES FUND
Account code: BT7B
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2000
HSBC Custody Nominees (Australia) Limited
Level 13 580 George St
Sydney NSW 2000
PITWUS National Nominees Ltd
ACF: TWU SUPERANNUATION
Account Code: TUPPAE
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Nominees Pty Ltd
PO Box 1406
Melbourne VIC 3001
PIVISI National Nominees Ltd
ACF: TWU SUPERANNUATION
Account Code: VTPTSC
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Nominees Pty Ltd
PO Box 1406
Melbourne VIC 3001
PMCBUS JPMorgan Nominees Australia Limited
ACF: Construction and Building Union Superannuation Fund
Account Code: AEQ76
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JPMorgan Nominees Australia Limited
Locked Bag 20049
Melbourne VIC 3001
PMCGSF Citicorp Nominees Pty Ltd
ACF: Commonwealth Aust Shares Fund 11
Account Code: 123696
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
Citicorp Nominees Pty Ltd
GPO Box 764G
Melbourne VIC 3001
PMCPSF Citicorp Nominees Pty Ltd
ACF:Commonwealth Property Fund 3
Account Code: 1165084027
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
Citicorp Nominees Pty Ltd
GPO Box 764G
Melbourne VIC 3001

This is Annexure 1 Page 3 of 5 referred to in Form 603

PIAUST JPMorgan Nominees Australia Limited
ACF: Australian Super Ethical SRI Fund
Account Code: 36018
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JPMorgan Nominees Australia Limited
Locked Bag 20049
Melbourne VIC 3001
PMSTA JPMorgan Nominees Australia Limited
ACF: Super Trust of Australia
Account Code:40909
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JPMorgan Nominees Australia Limited
Locked Bag 20049
Melbourne VIC 3001
T2 Perpetual Trustee Company Limited
(Private Client Division)
Perpetual Trustee Company Limited
GPO Box 4172 Sydney NSW 2001
T3 The Trust Company Limited
(Personal Client Services)
The Trust Company Limited
GPO Box 4270 Sydney NSW 2001
T4 Perpetual Trustees Queensland Limited
(Private Client Division)
Perpetual Trustee Company Limited
GPO Box 4172 Sydney NSW 2001
T6 Perpetual Trustees WA Limited
(Private Client Division)
Perpetual Trustee Company Limited
GPO Box 4172 Sydney NSW 2001
T7 Perpetual Trustee Company Canberra Limited
(Private Client Division)
Perpetual Trustee Company Limited
GPO Box 4172 Sydney NSW 2001
TEL National Nominees Pty Ltd
ACF: Telstra Superannuation Pty Limited
Account Code: TSPPAE
C/- RBC Investor Services Australia nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Nominees Pty Ltd
PO Box 1406
Melbourne VIC 3001
PIVICS National Nominees Pty Ltd
ACF: Vic Super Pty Limited
Account Code: VSPSAS
C/- RBC Investor Services Australia nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Nominees Pty Ltd
PO Box 1406
Melbourne VIC 3001
PICATH National Nominees Pty Ltd
ACF: CATHOLIC SUPER FUND PTY LTD
Account Code: CDPRDE
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Nominees Pty Ltd
PO Box 1406
Melbourne VIC 3001
PIHEAL JPMorgan Nominees Australia Limited
ACF: HEALTH SUPER PTY LTD
Account Code: PIHEAL
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JPMorgan Nominees Australia Limited
Locked Bag 20049
Melbourne VIC 3001
PILGSS JPMorgan Nominees Australia Limited
ACF: HEST Australia Limited
Account Code: 56566
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2002
JPMorgan Nominees Australia Limited
Locked Bag 20049
Melbourne VIC 3001
PILUCR JPMorgan Nominees Australia Limited
ACF: LUCRF PTY LTD MANDATE
Account code: PILUCR
C/- RBC Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2000
JPMorgan Nominees Australia Limited
Locked Bag 20049
Melbourne VIC 3001
PIPAEQ National Australia Bank Ltd via Asset Servicing
ACF: The Trust Company Australian Share Fund
Account Code : TCPAEQ
C/- RBC Investor & Treasury Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Nominees Pty Ltd
PO Box 1406
Melbourne VIC 3001
PIIMPF National Australia Bank Ltd via Asset Servicing
ACF: The Trust Company Share Imputation Fund
Account Code : TCIMPF
C/- RBC Investor & Treasury Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Nominees Pty Ltd
PO Box 1406
Melbourne VIC 3001

This is Annexure 1 Page 4 of 5 referred to in Form 603

PIPICF National Australia Bank Ltd via Asset Servicing
ACF: The Trust Company Income Fund
Account Code : TCPICF
C/- RBC Investor & Treasury Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Nominees Pty Ltd
PO Box 1406
Melbourne VIC 3001
PIDVPF National Australia Bank Ltd via Asset Servicing
ACF: The Trust Company Diversified Property Fund
Account Code : TCDVPF
C/- RBC Investor & Treasury Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Nominees Pty Ltd
PO Box 1406
Melbourne VIC 3001
PISTCF JPMorgan Nominees Australia Limited
ACF: SAS Trustee Corporation
Account code: 34893
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JPMorgan Nominees Australia Limited
Locked Bag 20049
Melbourne VIC 3001
PMHOST JPMorgan Nominees Australia Limited
ACF: Host - Plus Pty Ltd
Account Code: PIHOST
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JPMorgan Nominees Australia Limited
Locked Bag 20049
Melbourne VIC 3001
PIWQLS UBS Nominees Pty Ltd
ACF: Perpetual QI Long Short Fund
Account code: A1025745
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
UBS Nominees Pty Ltd
Level 16 Chifley Tower
2 Chifley Square
Sydney NSW 2000
QITE2 RBC Investor Services Australia Nominees Pty Ltd
ACF: Quantitative Investments TE 2 Equity Fund
Account Code: PIQTE2
GPO Box 5430 Sydney NSW 2001

RBC Investor Services Australia Nominees Pty Ltd

GPO Box 5430 Sydney NSW 2001

Perpetual Limited GPO BOX 4172 Sydney NSW 2001

This is Annexure 1 Page 5 of 5 referred to in Form 603

ANNEXURE 2

PRESENT RELEVANT INTERESTS

==> picture [375 x 247] intentionally omitted <==

This is annexure 2 Page 1 of 1 referred to in Form 603

ANNEXURE 3

CHANGES IN RELEVANT INTERESTS

Account Security Volume Value Price AsAtDate
CBAISF GNC 8,369 71,511 $ 8.53
01/10/2014
CBAISF GNC 3,677 31,410 $ 8.53
01/10/2014
CBAISF GNC 4,901 41,973 $ 8.55
30/09/2014
CBAISF GNC 7,642 65,249 $ 8.52
30/09/2014
CBAISF GNC 1,893 16,210 $ 8.55
26/09/2014
CBAISF GNC 141,609 1,226,939 $ 8.65
24/09/2014
CBAISF GNC 14,244 122,917 $ 8.62
22/09/2014
CBAISF GNC 131,842 1,153,910 $ 8.74
12/09/2014
CBAISF GNC 26,140 230,137 $ 8.79
11/09/2014
CBAISF GNC 37,270 331,555 $ 8.88
10/09/2014
CBAISF GNC 3,793 33,755 $ 8.88
09/09/2014
CBAISF GNC 23,247 208,013 $ 8.93
08/09/2014
CBAISF GNC 7,556 67,760 $ 8.95
05/09/2014
CBAISF GNC 28,542 256,158 $ 8.96
05/09/2014
CBAISF GNC 6,690 59,956 $ 8.95
02/09/2014
CBAISF GNC 8,217 73,901 $ 8.98
01/09/2014
CBAISF GNC 25,048 224,299 $ 8.94
28/08/2014
CBAISF GNC - 48,792
406,937 $ 9.19
25/08/2014
CBAISF GNC - 9,758
81,384 $ 9.20
25/08/2014
CBAISF GNC 10,460 89,993 $ 8.59
13/08/2014
CBAISF GNC 14,797 127,464 $ 8.60
12/08/2014
CBAISF GNC 923 7,937 $ 8.58
11/08/2014
CBAISF GNC 44,319 382,216 $ 8.61
07/08/2014
CBAISF GNC 925 7,968 $ 8.60
07/08/2014
CBAISF GNC 14,529 125,134 $ 8.60
05/08/2014
CBAISF GNC 20,142 175,523 $ 8.70
31/07/2014
CBAISF GNC - 23,069
191,494 $ 8.87
24/07/2014
CBAISF GNC - 15,380
127,668 $ 8.89
24/07/2014
CBAISF GNC 96,362 809,811 $ 8.39
11/07/2014
CBAISF GNC 13,620 114,445 $ 8.39
11/07/2014
CBAISF GNC 207,169 1,732,715 $ 8.35
08/07/2014
CBAISF GNC 207 1,732 $ 8.35
08/07/2014
CBAISF GNC 31,873 267,255 $ 8.39
03/07/2014
CBAISF GNC 22,005 182,646 $ 8.28
16/06/2014
CBAISF GNC 21,844 180,774 $ 8.26
13/06/2014
CBAISF GNC 16,108 133,928 $ 8.30
12/06/2014
CBAISF GNC 59,441 494,118 $ 8.29
11/06/2014
CBAISF GNC 7,081 59,488 $ 8.39
05/06/2014
CBAISF GNC 68,127 580,929 $ 8.51
04/06/2014
CBAISF GNC - 309,646
2,524,256 $ 8.83
19/05/2014
CBAISF GNC 12,152 106,490 $ 8.75
13/05/2014
CBAISF GNC - 1,412
11,493 $ 8.98
06/05/2014
CBAISF GNC - 15,788
128,506 $ 8.98
06/05/2014
CBAISF GNC - 23,048
187,599 $ 8.98
05/05/2014
PCAEPR GNC - 82,573
785,435 $ 8.59
13/08/2014
PCAEPR GNC - 50,361
620,454 $ 8.85
20/05/2014
PIAUST GNC 10,867 92,856 $ 8.53
01/10/2014
PIAUST GNC 4,774 40,781 $ 8.53
01/10/2014
PIAUST GNC 7,602 65,104 $ 8.55
30/09/2014
PIAUST GNC 11,855 101,221 $ 8.52
30/09/2014

This is annexure 3 Page 1 of 5 referred to in Form 603

PIAUST GNC 250,000 2,166,068 $ 8.65
24/09/2014
PIAUST GNC 37,384 334,764 $ 8.94
28/08/2014
PIAUST GNC - 6,494
57,342 $ 9.22
27/08/2014
PIAUST GNC - 10,164
89,748 $ 9.22
26/08/2014
PIAUST GNC - 50,000
441,500 $ 9.20
25/08/2014
PIAUST GNC - 250,000
2,207,500 $ 9.19
25/08/2014
PIAUST GNC 66,709 574,283 $ 8.59
08/08/2014
PIAUST GNC 64,503 556,287 $ 8.61
07/08/2014
PIAUST GNC 1,346 11,595 $ 8.60
07/08/2014
PIAUST GNC 3,564 30,701 $ 8.60
06/08/2014
PIAUST GNC 21,940 188,965 $ 8.60
05/08/2014
PIAUST GNC 47,500 412,457 $ 8.67
01/08/2014
PIAUST GNC 26,452 230,509 $ 8.70
31/07/2014
PIAUST GNC - 28,215
249,138 $ 8.87
24/07/2014
PIAUST GNC - 18,810
166,092 $ 8.89
24/07/2014
PIAUST GNC - 150,000
1,324,500 $ 8.79
22/07/2014
PIAUST GNC - 150,000
1,324,500 $ 8.70
21/07/2014
PIAUST GNC 27,622 228,590 $ 8.26
13/06/2014
PIAUST GNC 42,803 360,134 $ 8.40
10/06/2014
PIAUST GNC 201,756 1,688,998 $ 8.36
06/06/2014
PIAUST GNC 100,000 852,715 $ 8.51
04/06/2014
PIAUST GNC 158,671 1,395,589 $ 8.78
28/05/2014
PIAUST GNC 60,626 533,563 $ 8.79
27/05/2014
PIAUST GNC 86,960 765,587 $ 8.79
26/05/2014
PIAUST GNC 118,927 1,046,879 $ 8.79
23/05/2014
PIAUST GNC 31,895 280,631 $ 8.78
21/05/2014
PIAUST GNC 24,420 214,739 $ 8.78
20/05/2014
PIAUST GNC 1,791,230 15,816,561 $ 8.83
19/05/2014
PIAUST GNC 39,903 347,681 $ 8.70
12/05/2014
PIAUST GNC - 1,789
14,891 $ 8.98
06/05/2014
PIAUST GNC - 19,995
166,253 $ 8.98
06/05/2014
PIAUST GNC - 29,353
244,326 $ 8.98
05/05/2014
PIAUST GNC - 10,327
85,959 $ 8.98
02/05/2014
PIEFM6 GNC 20,164 169,075 $ 8.39
03/07/2014
PIEFM6 GNC 13,392 111,157 $ 8.28
16/06/2014
PIEFM6 GNC 13,276 109,868 $ 8.26
13/06/2014
PIEFM6 GNC 9,092 75,594 $ 8.30
12/06/2014
PIEFM6 GNC 36,141 300,431 $ 8.29
11/06/2014
PIEFM6 GNC 4,277 35,932 $ 8.39
05/06/2014
PIEFM6 GNC 41,316 352,308 $ 8.51
04/06/2014
PIEFM6 GNC - 187,178
1,509,562 $ 8.83
19/05/2014
PIEFM6 GNC 9,688 84,897 $ 8.75
13/05/2014
PIEFM6 GNC - 846
6,580 $ 8.98
06/05/2014
PIEFM6 GNC - 9,457
73,558 $ 8.98
06/05/2014
PIEFM6 GNC - 12,658
98,456 $ 8.98
05/05/2014
PIEFM6 GNC 5,228 44,672 $ 8.53
01/10/2014
PIEFM6 GNC 2,297 19,622 $ 8.53
01/10/2014
PIEFM6 GNC 3,203 27,431 $ 8.55
30/09/2014
PIEFM6 GNC 4,994 42,640 $ 8.52
30/09/2014
PIEFM6 GNC 1,096 9,385 $ 8.55
26/09/2014
PIEFM6 GNC 86,126 746,219 $ 8.65
24/09/2014
PIEFM6 GNC 9,040 78,010 $ 8.62
22/09/2014
PIEFM6 GNC 79,980 700,002 $ 8.74
12/09/2014
PIEFM6 GNC 15,945 140,380 $ 8.79
11/09/2014
PIEFM6 GNC 23,051 205,062 $ 8.88
10/09/2014
PIEFM6 GNC 2,182 19,418 $ 8.88
09/09/2014

This is annexure 3 Page 2 of 5 referred to in Form 603

PIEFM6 GNC 14,208 127,132 $ 8.93
08/09/2014
PIEFM6 GNC 4,520 40,534 $ 8.95
05/09/2014
PIEFM6 GNC 17,072 153,218 $ 8.96
05/09/2014
PIEFM6 GNC 4,548 40,759 $ 8.95
02/09/2014
PIEFM6 GNC 588 5,288 $ 8.98
01/09/2014
PIEFM6 GNC 15,809 141,566 $ 8.94
28/08/2014
PIEFM6 GNC - 29,209
241,590 $ 9.19
25/08/2014
PIEFM6 GNC - 5,842
48,887 $ 9.20
25/08/2014
PIEFM6 GNC 6,964 59,915 $ 8.59
13/08/2014
PIEFM6 GNC 9,197 79,225 $ 8.60
12/08/2014
PIEFM6 GNC 708 6,088 $ 8.58
11/08/2014
PIEFM6 GNC 27,124 233,923 $ 8.61
07/08/2014
PIEFM6 GNC 566 4,876 $ 8.60
07/08/2014
PIEFM6 GNC 9,086 78,255 $ 8.60
05/08/2014
PIEFM6 GNC 9,963 86,820 $ 8.70
31/07/2014
PIEFM6 GNC - 14,105
115,428 $ 8.87
24/07/2014
PIEFM6 GNC - 9,404
76,957 $ 8.89
24/07/2014
PIEFM6 GNC 59,641 501,214 $ 8.39
11/07/2014
PIEFM6 GNC 8,430 70,835 $ 8.39
11/07/2014
PIEFM6 GNC 126,618 1,059,005 $ 8.35
08/07/2014
PIEFM6 GNC 127 1,063 $ 8.35
08/07/2014
PIMEDA GNC - 7,196
61,954 $ 8.82
19/08/2014
PIMEDA GNC 3,134 26,964 $ 8.59
13/08/2014
PIMEDA GNC 4,062 34,991 $ 8.60
12/08/2014
PISINP GNC - 194,374
1,567,994 $ 8.83
19/05/2014
PISINP GNC 8,352 73,181 $ 8.75
13/05/2014
PISINP GNC - 883
6,867 $ 8.98
06/05/2014
PISINP GNC - 9,873
76,782 $ 8.98
06/05/2014
PISINP GNC - 14,721
114,485 $ 8.98
05/05/2014
PISINP GNC 4,961 42,386 $ 8.53
01/10/2014
PISINP GNC 2,179 18,612 $ 8.53
01/10/2014
PISINP GNC 2,761 23,643 $ 8.55
30/09/2014
PISINP GNC 4,305 36,753 $ 8.52
30/09/2014
PISINP GNC 86,928 753,083 $ 8.65
24/09/2014
PISINP GNC 7,619 65,740 $ 8.62
22/09/2014
PISINP GNC 81,287 711,362 $ 8.74
12/09/2014
PISINP GNC 16,010 140,936 $ 8.79
11/09/2014
PISINP GNC 23,372 207,887 $ 8.88
10/09/2014
PISINP GNC 2,055 18,285 $ 8.88
09/09/2014
PISINP GNC 13,371 119,629 $ 8.93
08/09/2014
PISINP GNC 4,427 39,696 $ 8.95
05/09/2014
PISINP GNC 16,721 150,051 $ 8.96
05/09/2014
PISINP GNC 5,255 47,090 $ 8.95
02/09/2014
PISINP GNC 4,941 44,432 $ 8.98
01/09/2014
PISINP GNC 14,338 128,379 $ 8.94
28/08/2014
PISINP GNC - 29,076
242,055 $ 9.19
25/08/2014
PISINP GNC - 5,815
48,397 $ 9.20
25/08/2014
PISINP GNC 6,975 60,003 $ 8.59
13/08/2014
PISINP GNC 8,647 74,479 $ 8.60
12/08/2014
PISINP GNC 27,202 234,569 $ 8.61
07/08/2014
PISINP GNC 568 4,892 $ 8.60
07/08/2014
PISINP GNC 9,090 78,281 $ 8.60
05/08/2014
PISINP GNC 11,246 97,990 $ 8.70
31/07/2014
PISINP GNC - 14,247
116,577 $ 8.87
24/07/2014
PISINP GNC - 9,498
77,718 $ 8.89
24/07/2014
PISINP GNC 52,972 445,118 $ 8.39
11/07/2014

This is annexure 3 Page 3 of 5 referred to in Form 603

PISINP GNC 7,487 62,904 $ 8.39
11/07/2014
PISINP GNC - 10,796
88,339 $ 8.52
08/07/2014
PISINP GNC 132,435 1,107,532 $ 8.35
08/07/2014
PISINP GNC 132 1,104 $ 8.35
08/07/2014
PISINP GNC 21,450 179,858 $ 8.39
03/07/2014
PISINP GNC 13,968 115,920 $ 8.28
16/06/2014
PISINP GNC 13,859 114,675 $ 8.26
13/06/2014
PISINP GNC 4,802 39,920 $ 8.30
12/06/2014
PISINP GNC 4,678 38,889 $ 8.30
12/06/2014
PISINP GNC 37,783 314,034 $ 8.29
11/06/2014
PISINP GNC 4,227 35,508 $ 8.39
05/06/2014
PISINP GNC 43,539 371,222 $ 8.51
04/06/2014
PISMA2 GNC - 4,947
37,849 $ 8.57
01/10/2014
PISMA2 GNC - 3,810
30,090 $ 8.78
28/05/2014
PIVISI GNC - 2,665
22,942 $ 8.82
19/08/2014
PIVISI GNC 1,186 10,203 $ 8.59
13/08/2014
PIVISI GNC 1,479 12,739 $ 8.60
12/08/2014
PIWSRP GNC 42,500 363,457 $ 8.54
29/09/2014
PIWSRP GNC 500,000 4,331,650 $ 8.65
24/09/2014
PIWSRP GNC 200,000 1,728,534 $ 8.63
19/09/2014
PIWSRP GNC 102,844 890,093 $ 8.64
17/09/2014
PIWSRP GNC 200,000 1,750,247 $ 8.74
12/09/2014
PIWSRP GNC 61,577 530,043 $ 8.59
08/08/2014
PIWSRP GNC 20,661 177,929 $ 8.60
05/08/2014
PMISF GNC 10,942 93,460 $ 8.53
01/10/2014
PMISF GNC 24,909 212,818 $ 8.53
01/10/2014
PMISF GNC 16,533 141,574 $ 8.55
30/09/2014
PMISF GNC 25,785 220,134 $ 8.52
30/09/2014
PMISF GNC 5,850 50,090 $ 8.55
26/09/2014
PMISF GNC 438,055 3,795,002 $ 8.65
24/09/2014
PMISF GNC 43,699 377,054 $ 8.62
22/09/2014
PMISF GNC 406,891 3,560,799 $ 8.74
12/09/2014
PMISF GNC 81,462 717,111 $ 8.79
11/09/2014
PMISF GNC 116,307 1,034,516 $ 8.88
10/09/2014
PMISF GNC 11,260 100,192 $ 8.88
09/09/2014
PMISF GNC 72,504 648,689 $ 8.93
08/09/2014
PMISF GNC 23,761 213,059 $ 8.95
05/09/2014
PMISF GNC 89,760 805,486 $ 8.96
05/09/2014
PMISF GNC 19,913 178,442 $ 8.95
02/09/2014
PMISF GNC 26,671 239,842 $ 8.98
01/09/2014
PMISF GNC 81,301 727,948 $ 8.94
28/08/2014
PMISF GNC - 142,923
1,189,354 $ 9.19
25/08/2014
PMISF GNC - 28,585
237,620 $ 9.20
25/08/2014
PMISF GNC 35,132 302,227 $ 8.59
13/08/2014
PMISF GNC 45,011 387,690 $ 8.60
12/08/2014
PMISF GNC 7,526 64,705 $ 8.58
11/08/2014
PMISF GNC 136,866 1,180,228 $ 8.61
07/08/2014
PMISF GNC 2,857 24,608 $ 8.60
07/08/2014
PMISF GNC 46,412 399,687 $ 8.60
05/08/2014
PMISF GNC 56,561 492,832 $ 8.70
31/07/2014
PMISF GNC - 70,364
575,758 $ 8.87
24/07/2014
PMISF GNC - 46,908
383,828 $ 8.89
24/07/2014
PMISF GNC 291,025 2,445,454 $ 8.39
11/07/2014
PMISF GNC 41,134 345,600 $ 8.39
11/07/2014
PMISF GNC 533,778 4,463,899 $ 8.35
08/07/2014
PMISF GNC 534 4,468 $ 8.35
08/07/2014

This is annexure 3 Page 4 of 5 referred to in Form 603

PMISF GNC - 73,487
601,312 $ 8.39
03/07/2014
PMISF GNC 78,962 655,304 $ 8.28
16/06/2014
PMISF GNC 76,855 635,931 $ 8.26
13/06/2014
PMISF GNC 27,984 232,634 $ 8.30
12/06/2014
PMISF GNC 28,087 233,490 $ 8.30
12/06/2014
PMISF GNC 215,540 1,791,462 $ 8.29
11/06/2014
PMISF GNC 23,420 196,733 $ 8.39
05/06/2014
PMISF GNC 247,018 2,106,122 $ 8.51
04/06/2014
PMISF GNC - 1,100,032
8,877,566 $ 8.83
19/05/2014
PMISF GNC 233 2,042 $ 8.75
15/05/2014
PMISF GNC 45,991 402,980 $ 8.75
13/05/2014
PMISF GNC - 5,006
38,932 $ 8.98
06/05/2014
PMISF GNC - 55,972
435,295 $ 8.98
06/05/2014
PMISF GNC - 83,292
647,763 $ 8.98
05/05/2014
PMWSC GNC - 35,867
308,766 $ 8.82
19/08/2014
PMWSC GNC 15,524 133,547 $ 8.59
13/08/2014
PMWSC GNC 20,343 175,219 $ 8.60
12/08/2014
T3 GNC 2,037 17,702 $ 8.69
29/07/2014

This is annexure 3 Page 5 of 5 referred to in Form 603