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OOH!MEDIA LIMITED — Major Shareholding Notification 2021
Mar 10, 2021
65498_rns_2021-03-10_d6786679-dc48-4647-b53f-12be73d52f73.pdf
Major Shareholding Notification
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Form 603
Corporations Act 2001
Section 671B
Notice of initial substantial holder
| To Company Name/Scheme | OOH!MEDIA LIMITED |
|---|---|
| ACN/ARSN | ACN 602 195 380 |
1. Details of substantial holder (1)
Name Credit Suisse Holdings (Australia) Limited (on behalf of Credit Suisse Group AG and its associates listed in item 7)
ACN/ARSN (if applicable) 008 496 713 The holder became a substantial holder on 09-Mar-2021
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) | Number of securities | Persons' votes (5) | Voting power (6) |
|---|---|---|---|
| Fully paid ordinary shares (Shares) |
56,758,016 | 56,758,016 | 9.59% |
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 |
|---|---|---|
| Credit Suisse Funds AG (CSF) | CSF has a relevant interest by virtue of sections 608(1)(b) and (c) of the Corporations Act 2001 (Cth) (Corporations Act) |
785,786 Shares |
| Credit Suisse Equities (Australia) Limited (ACN 068 232 708) (CSEAL) |
CSEAL has a relevant interest by virtue of sections 608(1)(b) and (c) of the Corporations Act 2001 (Cth) (Corporations Act) |
3,197,957 Shares |
| Credit Suisse (Australia) Limited ACN 007 016 300 (CSA) |
CSA entered into a Block Trade Agreement with HMI Capital Fund GP, LLC as the general partner of HMI Capital Partners L.P. and HMI Capital Fund GP, LLC as the general partner of Merckx Capital Partners, L.P. on 9 March 2021 to lead manage and underwrite the sale of 49,100,000 Shares in the Company (BTA), a copy of which is attached as Annexure "A". Upon signing the BTA, CSA obtained a technical relevant interest in the shares the subject of the BTA by virtue of section 608(8) of the Corporations Act. |
49,100,000 Shares |
| Credit Suisse AG, Dublin Branch | Holder of securities subject to an obligation to return under securities lending agreement (refer to Annexure C) |
3,482,465 Shares |
| Credit Suisse Securities (Europe) Limited (ARBN 099554131) (CSSEL) |
CSSEL has a relevant interest by virtue of sections 608(1)(b) and (c) of the Corporations Act 2001 (Cth) (Corporations Act) |
191,808 Shares |
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 interest | Registered holder of securities |
Person entitled to be registered as holder (8) |
Class and number of securities |
|---|---|---|---|
| Credit Suisse Funds AG | HSBC Custody Nominees (Australia) Limited (ACN 003 094 568) |
Credit Suisse Funds AG | 785,786 Shares |
| Credit Suisse Equities (Australia) Limited (ACN 068 232 708) |
CS Fourth Nominees Pty Limited (ACN 069 126 432) |
Credit Suisse Equities (Australia) Limited |
3,197,957 Shares |
| Credit Suisse (Australia) Limited |
HMI Capital Fund GP, LLC as the general partner of HMI Capital Partners L.P. |
HMI Capital Fund GP, LLC as the general partner of HMI Capital Partners L.P. |
44,783,666 Shares |
| Credit Suisse (Australia) Limited |
HMI Capital Fund GP, LLC as the general partner of Merckx Capital Partners, L.P. |
HMI Capital Fund GP, LLC as the general partner of Merckx Capital Partners, L.P. |
4,316,334 Shares |
| Credit Suisse AG, Dublin Branch |
CS Third Nominees Pty Limited (ACN 007 053 849) |
Credit Suisse AG, Dublin Branch |
3,482,465 Shares |
| Credit Suisse Securities (Europe) Limited (ARBN 099554131) |
CS Third Nominees Pty Limited (ACN 007 053 849) |
Credit Suisse Securities (Europe) Limited |
191,808 Shares |
5. Consideration
The consideration paid for each relevant interest referred to in paragraph 3 above, and acquired in the 4 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) | Class and number of securities |
|
|---|---|---|---|---|
| Cash | Non-cash | |||
| See Annexure "B" |
6. Associates
The reasons the persons named in paragraph 3 above are associates of the substantial holder are as follows:
| Name and ACN/ARSN (if applicable) | Nature of association |
|---|---|
| Credit Suisse Equities (Australia) Limited (ACN 068 232 708) |
Related Body Corporate |
| Credit Suisse AG, Dublin Branch | Related Body Corporate |
| Credit Suisse Funds AG | Related Body Corporate |
| Credit Suisse Securities (Europe) Limited (ARBN 099554131) |
Related Body Corporate |
7. Addresses
The addresses of persons named in this form are as follows:
| Name | Address |
|---|---|
| Credit Suisse (Australia) Limited | Level 31, Gateway, 1 Macquarie Place, Sydney NSW 2000, Australia |
| Credit Suisse Holdings (Australia) Limited (ACN 008 496 713) |
Level 31, Gateway, 1 Macquarie Place, Sydney NSW 2000, Australia |
| Credit Suisse Equities (Australia) Limited (ACN 068 232 708) |
Level 31, Gateway, 1 Macquarie Place, Sydney NSW 2000, Australia |
| Credit Suisse Fourth Nominees Pty Limited (ACN 069 126 432) |
Level 31, Gateway, 1 Macquarie Place, Sydney NSW 2000, Australia |
| Credit Suisse AG, Dublin Branch | Kilmore House, Park lane, Spencer Dock, Dublin 1, Ireland |
| Credit Suisse Funds AG | Giesshübelstrasse 30,Zurich,8045 |
|---|---|
| Credit Suisse Securities (Europe) Limited (ARBN 099554131) |
One Cabot Square,London,E14 4QJ |
| HMI Capital Fund GP, LLC as the general partner of HMI Capital Partners L.P. |
555 California Street Suite 4900, San Francisco, CA, 94104, United States |
| HMI Capital Fund GP, LLC as the general partner of Merckx Capital Partners, L.P. |
555 California Street Suite 4900, San Francisco, CA, 94104, United States |
Signature
print name Winston Loke capacity Authorised Signatory sign here date 11-Mar-2021
Annexure "A"

Execution version
Block Trade Agreement
HMI Capital Fund GP, LLC as the general partner of HMI Capital Partners, L.P. ("Holder 1")
HMI Capital Fund GP, LLC as the general partner of Merckx Capital Partners, L.P. ("Holder 2")
Credit Suisse (Australia) Limited ("Lead Manager")
Block Trade Agreement Contents
| 1 | Definitions | 3 |
|---|---|---|
| 1.1 | Definitions | 3 |
| 1.2 | Interpretation | 5 |
| 2 | Appointment | 5 |
| 3 | Conduct of Sale | 5 |
| 3.1 | Sale | 5 |
| 3.2 | Purchasers | 5 |
| 3.3 | U.S. Securities Act | 6 |
| 3.4 | Account Opening | 6 |
| 4 | Settlement | 6 |
| 4.1 | Effecting of Sale and settlement | 6 |
| 4.2 | Payment of aggregate price | 7 |
| 5 | Fees | 8 |
| 6 | Representations and Warranties | 8 |
| 6.1 | Representations and warranties by Vendor | 8 |
| 6.2 | Representations and warranties of the Lead Manager | 9 |
| 6.3 | Reliance | 11 |
| 6.4 | Notification | 11 |
| 7 | Undertakings | 11 |
| 7.1 | General undertakings | 11 |
| 7.2 | Escrow restrictions | 11 |
| 7.3 | Takeovers, mergers and reorganisations | 11 |
| 7.4 | Pre-bid arrangements | 12 |
| 7.5 | Other exceptions | 12 |
| 8 | Announcements | 13 |
| 9 | Indemnities | 13 |
| 9.1 | Indemnity | 13 |
| 9.2 | Limited indemnity | 13 |
| 9.3 | Vendor release | 13 |
| 9.4 | Mutual release | 14 |
| 9.5 | Notice of potential action | 14 |
| 9.6 | Settlement of action | 14 |
| 9.7 | Contractual contribution | 14 |
| 9.8 | Proportional contribution | 14 |
| 9.9 | No excess contribution | 15 |
| 9.10 | Reimbursement by Vendor | 15 |
| 9.11 | Reimbursement by Indemnified Party | 15 |
| 9.12 | Benefits of indemnity | 15 |
| 10 | Confidentiality | 15 |
|---|---|---|
| 11 | Events of Termination | 15 |
| 11.1 | Right of termination | 15 |
| 11.2 | Materiality | 16 |
| 11.3 | Effect of termination | 17 |
| 12 | Goods and services tax (GST) | 17 |
| 12.1 | Consideration GST exclusive | 17 |
| 12.2 | Payment of GST | 17 |
| 12.3 | Reimbursements | 17 |
| 12.4 | Calculation of payments | 17 |
| 12.5 | Interpretation | 18 |
| 13 | Conflict and no fiduciary relationship | 18 |
| 14 | Miscellaneous | 18 |
| 14.1 | Entire agreement | 18 |
| 14.2 | Governing law | 18 |
| 14.3 | Severability | 19 |
| 14.4 | Waiver and variation | 19 |
| 14.5 | No merger | 19 |
| 14.6 | No assignment | 19 |
| 14.7 | Notices | 19 |
| 14.8 | Recognition of the U.S. Special Resolution Regime | 19 |
| 14.9 | Counterparts | 20 |
Block Trade Agreement
Details
| Parties | Vendor and the Lead Manager | ||||
|---|---|---|---|---|---|
| Holder 1 | Name | HMI Capital Fund GP, LLC as the general partner of HMI Capital Partners L.P. |
|||
| Address | 555 California Street Suite 4900, San Francisco, CA, 94104, United States |
||||
| Telephone | (415) 391-9500 | ||||
| [email protected] | |||||
| Attention | Mick Hellman | ||||
| Holder 2 | Name | HMI Capital Fund GP, LLC as the general partner of Merckx Capital Partners, L.P. |
|||
| Address | 555 California Street Suite 4900, San Francisco, CA, 94104, United States |
||||
| Telephone | (415) 391-9500 | ||||
| [email protected] | |||||
| Attention | Mick Hellman | ||||
| Lead Manager | Name | Credit Suisse (Australia) Limited | |||
| ABN | 94 007 016 300 | ||||
| Address | Level 31 Gateway, Macquarie Place, Sydney NSW 2000 |
||||
| [email protected] | |||||
| Attention | Head of Equity Capital Markets | ||||
| Recitals | A | Holder 1 wishes to dispose of 44,783,666 fully paid ordinary shares and Holder 2 wishes to dispose of 4,316,334 fully paid ordinary shares (together, the "Sale Shares") in the Company ("Sale"). |
|||
| B | The Lead Manager agrees to procure purchasers for the Sale Shares and underwrite the Sale of the Sale Shares under the terms of this agreement. |
Governing law New South Wales
Date of agreement
Block Trade Agreement
General terms
1 Definitions
1.1 Definitions
The following words have these meanings in this agreement unless the contrary intention appears.
Affiliate means any person that directly, or indirectly through one or more intermediaries, controls, or is controlled by, or is under common control with, a person; "control" (including the terms "controlled by" and "under common control with") means the possession, direct or indirect, of the power to direct or cause the direction of the management and policies of a person, whether through the ownership of securities by contract or agency or otherwise and the term "person" is deemed to include a partnership.
ASIC means the Australian Securities & Investments Commission.
ASX means the Australian Securities Exchange.
Business Day means a day on which:
- (a) ASX is open for trading in securities; and
- (b) banks are open for general banking business in Sydney, Australia.
Claim means any allegation, debt, cause of action, liability, claim, proceeding, suit or demand of any nature howsoever arising and whether present or future, fixed or unascertained, actual or contingent whether at law, in equity, under statute or otherwise.
Company means oOh!media Limited (ACN 602 195 380).
Controlled Entity means any company, fund or other entity under the full and effective control of Vendor.
Corporations Act means the Corporations Act 2001 (Cwlth).
Costs means any costs, charges or expenses.
Deal means:
- (a) sell, assign, transfer or otherwise dispose (including to "dispose" as defined in the ASX Listing Rules) of;
- (b) offer to sell, assign, transfer or otherwise dispose (including to "dispose" as defined in the ASX Listing Rules) of;
- (c) enter into any option which, if exercised, enables or requires the holder to sell, assign, transfer or otherwise dispose of; or
- (d) agree (or agree to offer) to do any of the things in paragraphs (a) to (c) above,
and Dealing has a corresponding meaning.
Eligible U.S. Fund Managers means dealers or other professional fiduciaries organised or incorporated in the United States that are acting for a discretionary or similar account (other than an estate or trust) held for the benefit or account of persons that are not U.S. Persons, for which they have and are exercising investment discretion, within the meaning of Rule 902(k)(2)(i) of Regulation S.
Escrow Period means the period of 180 days from the date of this agreement.
FATA means the Foreign Acquisitions and Takeovers Act 1975 (Cwlth).
Indemnified Parties means the Lead Manager, its Affiliates and Related Bodies Corporate and the respective directors, officers, employees and agents of each of the foregoing.
Losses means all Claims, demands, damages, losses, Costs and liabilities other than any indirect or consequential losses or damages.
QIB means "qualified institutional buyers" as defined in Rule 144A under the U.S. Securities Act.
Regulation S means Regulation S under the U.S. Securities Act.
Related Body Corporate has the meaning given to the term in the Corporations Act.
Remaining Shares means the fully paid ordinary shares held by Vendor in the Company after settlement of the Sale of the Sale Shares pursuant to this agreement.
Respective Proportion means, in respect of Holder 1, 91.2%, and in respect of Holder 2, 8.8%.
Sale has the meaning given to the term in Recital A.
Sale Price means \$1.57 per Sale Share.
Sale Shares has the meaning given to the term in Recital A.
Scheme means a merger or an acquisition of share capital being implemented by way of scheme of arrangement under Part 5.1 of the Corporations Act.
Settlement Date has the meaning given to the term in the Timetable.
Takeover Bid means a takeover bid for some or all of the fully paid ordinary shares in the Company under Chapter 6 of the Corporations Act.
Timetable means the timetable set out in Schedule 1 of this agreement, which may be amended by mutual agreement between the parties.
Trade Date has the meaning given to the term in the Timetable.
U.S. Person has the meaning given to that term in Rule 902(k) under the U.S. Securities Act.
U.S. Securities Act means the U.S. Securities Act of 1933, as amended.
Vendor means each of Holder 1 and Holder 2.
1.2 Interpretation
In this agreement:
- (a) headings and sub-headings are for convenience only and do not affect interpretation;
- (b) a reference to legislation or to a provision of legislation includes a modification or re-enactment of it, a legislative provision substituted for it and a regulation or statutory instrument issued under it;
- (c) a reference to "dollars" and "\$" is to Australian currency;
- (d) a reference to something done (including a supply made) by a party includes a reference to something done by any entity through which that party acts;
- (e) all references to time are to Sydney, New South Wales, Australia time;
- (f) the singular includes the plural and vice versa;
- (g) the word "person" includes an individual, a body corporate, a partnership, a joint venture, an unincorporated body, an association and a government agency;
- (h) an agreement, representation or warranty in favour of two or more persons is for the benefit of them jointly and each of them individually; and
- (i) where a warranty, obligation or liability is expressed to be made or given by Vendor, then that warranty, obligation or liability is imposed on Holder 1 and Holder 2 individually only and not jointly, and each of Holder 1 and Holder 2 is only liable for its Respective Proportion of any liability.
2 Appointment
Vendor agrees to appoint the Lead Manager, and the Lead Manager accepts the appointment, to:
- (a) conduct and manage the Sale of the Sale Shares; and
- (b) underwrite the Sale of the Sale Shares at the Sale Price,
in accordance with the terms and conditions of this agreement.
3 Conduct of Sale
3.1 Sale
The Lead Manager will procure purchasers for the Sale Shares by conducting a bookbuild as to volume alone in accordance with the Timetable.
3.2 Purchasers
- (a) The Lead Manager will conduct the Sale by way of an offer only to persons:
-
(i) if in Australia, who do not need disclosure under Part 6D.2 of the Corporations Act;
-
(ii) if outside Australia, to whom offers for sale of securities may lawfully be made without requiring the preparation, delivery, lodgement or filing of any prospectus or other disclosure document or any other lodgement, registration or filing with, or approval by, a government agency (other than any requirement with which Vendor, in its sole and absolute discretion, is willing to comply); and
- (iii) if in the United States, in accordance with the provisions of clause 3.3.
- (b) Any investor that purchases Sale Shares will be notified in the Bloomberg for the Sale that they will make deemed representations and warranties regarding:
- (i) its status as an investor meeting the requirements of this clause 3.2; and
- (ii) its compliance with all relevant laws and regulations (including the takeover and insider trading provisions of the Corporations Act and the FATA).
- (c) Purchasers may include the Lead Manager's Related Bodies Corporate and Affiliates.
3.3 U.S. Securities Act
The Sale Shares may only be offered and sold:
- (a) to persons that are not in the United States in "offshore transactions" (as defined in Rule 902(h) under the U.S. Securities Act) in reliance on Regulation S; and
- (b) to persons in the United States: (i) whom the Lead Manager reasonably believes to be QIBs, in transactions exempt from the registration requirements of the U.S. Securities Act pursuant to Rule 144A thereunder, or (ii) that are Eligible U.S. Fund Managers, in reliance on Regulation S.
3.4 Account Opening
On the date of this agreement, the Lead Manager or one of its Affiliates will (where relevant) open an account in the name of Vendor in accordance with their usual practices and do all things necessary to enable them to act as brokers to sell the Sale Share at the Sale Price, in accordance with this agreement.
4 Settlement
4.1 Effecting of Sale and settlement
- (a) Vendor agrees to instruct its custodian to deliver the Sale Shares held by its custodian on its behalf to the Lead Manager or as the Lead Manager directs.
- (b) Subject to clause 4.3, the Lead Manager must procure that the Sale is effected on the Trade Date, by way of one or more special crossings (in accordance with the ASX Operating Rules) at the Sale Price, with settlement to follow on the Settlement Date and, in respect of any Restricted Securities, in accordance with clause 4.3.
4.2 Payment of aggregate price
Subject to clause 11, by no later than 2.00 pm on the Settlement Date, the Lead Manager must arrange for the payment to Vendor, or as Vendor directs, of an amount equal to:
- (a) Vendor's Respective Proportion of the Sale Price multiplied by the aggregate number of Sale Shares (other than any Restricted Shares); and
- (b) In respected of any Restricted Shares, in accordance with 4.3,
less any fees payable under clause 5 by transfer to Vendor's account for value (in cleared funds).
4.3 Restricted Securities
Notwithstanding anything else in this agreement, where the acquisition of some or all of the Sale Shares by the Lead Manager in accordance with this Agreement is prohibited or restricted by the application of the takeover provisions in the Corporations Act 2001 (Cth) (Corporations Act) or would require notification and non-objection by the Treasurer of the Commonwealth of Australia under the Foreign Acquisitions and Takeovers Act 1975 (Cth) (FATA) or related policy, the Vendor and the Lead Manager agree that:
- (a) the Vendor shall retain such number of Sale Shares it is required to retain in order to prevent the breach or occurrence of the notifiable action (as appropriate) (Restricted Securities) and the Lead Manager shall advise the Vendor of the number of Restricted Securities;
- (b) the Lead Manager must still comply with its obligations to pay to the Vendor the amount provided under clause 4.2 but the portion of that amount that is equal to the number of any Restricted Securities multiplied by the Sale Price will be provided to the Vendor in its Respective Proportions as an interest free loan (Advance Amount);
- (c) the Vendor is only required to repay the Advance Amount from and to the extent it receives or is entitled to receive proceeds from the sale of the Restricted Securities under this clause 4.3, and the Vendor is not responsible for any shortfall in repayment from the process of the sale of the Restricted Securities and the Lead Manager will bear the loss arising from any such shortfall;
- (d) the Lead Manager must procure purchasers for any Restricted Securities as agent for the Vendor in the ordinary course of the Lead Manager's business prior to 7.00pm on the date that is 30 Business Days after the date of this agreement (End Date), with settlement of the sale of the Restricted Securities occurring on or before the second Business Day following the Sale of the relevant Restricted Securities;
- (e) the Vendor will transfer Restricted Securities in accordance with the directions of the Lead Manager to settle those sales; and
- (f) the Lead Manager will automatically apply, by way of set off, the proceeds from the purchase of the Restricted Securities against the Advance Amount, immediately upon the Lead Manager's receipt of those proceeds.
The parties acknowledge that the Lead Manager does not acquire any "interest" (including within the meaning of FATA) or "relevant interest" (within the meaning of the Corporations Act) in, or rights in respect of (whether by way of security or
otherwise), any Restricted Securities, except to act as agent for the Vendor in procuring the sale of those securities, and does not have the power to require that any Restricted Securities be transferred to it (or its associates) or to its order as referred to in FATA.
5 Fees
In consideration for performing their obligations under this agreement the Lead Manager is entitled to the fees agreed between the parties.
6 Representations and Warranties
6.1 Representations and warranties by Vendor
As at the date of this agreement and at all times until the later of the Settlement Date and the date of the sale of the last of the Restricted Shares or the End Date, Vendor represents and warrants to the Lead Manager that:
- (a) (body corporate) Vendor is a body corporate validly existing and duly established under the laws of its place of incorporation;
- (b) (capacity) Vendor has full legal capacity and power to enter into this agreement and to carry out the transactions that this agreement contemplates;
- (c) (authority) Vendor has taken, or will have taken by the time required, all corporate action that is necessary or desirable to authorise its entry into this agreement and its carrying out of the transactions that this agreement contemplates;
- (d) (agreement effective) this agreement constitutes Vendor's legal, valid and binding obligation, enforceable against it in accordance with its terms;
- (e) (ownership, encumbrances) Vendor will transfer the full legal and beneficial ownership of the Sale Shares free and clear of all liens, charges, security interests, claims, equities and pre-emptive rights, subject to registration of the transferee(s) in the register of shareholders of the Company;
- (f) (Sale Shares) following sale by Vendor, the Sale Shares will rank equally in all respects with all other outstanding ordinary shares of the Company, and may be offered for sale without disclosure to investors under Part 6D.2 of the Corporations Act;
- (g) (power to sell) Vendor has the corporate authority and power to sell the Sale Shares under this agreement and no person has a conflicting right, whether contingent or otherwise, to purchase or to be offered for purchase the Sale Shares;
-
(h) (no inside information) Vendor does not possess any information that is not generally available and that a reasonable person would expect to have a material effect on the price or value of the Company's ordinary securities (other than knowledge that it proposes to enter into one or more transactions or agreements in relation to the Sale Shares pursuant to this agreement) and the sale of the Sale Shares will not constitute a violation by it of Division 3 of Part 7.10 of the Corporations Act;
-
(i) (control) Vendor does not control the Company within the meaning given to the term in section 50AA of the Corporations Act;
- (j) (wholesale client) it is a "wholesale client" (as the term is defined in section 761G of the Corporations Act);
- (k) (breach of law) it will perform its obligations under this agreement so as to comply in all material respects with the Corporations Act and the FATA and any other applicable law;
- (l) (no general solicitation or general advertising) none of it, any of its Affiliates that it controls or any person acting on behalf of any of them (other than the Lead Manager and its Affiliates and any person acting on behalf of any of them, as to whom Vendor makes no representation) has offered or sold, or will offer or sell, any of the Sale Shares in the United States using any form of "general solicitation" or "general advertising" within the meaning of Rule 502(c) under the U.S. Securities Act or in any manner involving a public offering of the Sale Shares in the United States within the meaning of Section 4(a)(2) of the U.S. Securities Act;
- (m) (no directed selling efforts) with respect to those Sale Shares sold in reliance on Regulation S, none of it, any of its Affiliates that it controls or any person acting on behalf of any of them (other than the Lead Manager and its Affiliates and any person acting on behalf of any of them, as to whom Vendor makes no representation) has engaged or will engage in any "directed selling efforts" (as that term is defined in Rule 902(c) under the U.S. Securities Act);
- (n) (no stabilisation or manipulation) neither it nor any of its Affiliates has taken or will take, directly or indirectly, any action designed to, or that might reasonably be expected to, cause or result in the stabilisation or manipulation of the price of the Sale Shares in violation of any applicable law; and
- (o) (no integrated offers) none of it, any of its Affiliates that it controls or any person acting on behalf of any of them (other than the Lead Manager or its Affiliates or any person acting on behalf of any of them, as to whom no representation or warranty is made), has solicited any offer to buy, offered to sell or sold, and none of them will solicit any offer to buy, offer to sell or sell in the United States any security which could be integrated with the sale of the Sale Shares in a manner that would require the offer and sale of the Sale Shares to be registered under the U.S. Securities Act.
6.2 Representations and warranties of the Lead Manager
As at the date of this agreement and at all times until the later of the Settlement Date and the date of the sale of the last of the Restricted Shares or the End Date, the Lead Manager represents and warrants to Vendor that:
- (a) (body corporate) the Lead Manager is a body corporate validly existing and duly established under the laws of its place of incorporation;
- (b) (capacity) the Lead Manager has full legal capacity and power to enter into this agreement and to carry out the transactions that this agreement contemplates;
-
(c) (authority) the Lead Manager has taken, or will have taken by the time required, all corporate action that is necessary or desirable to authorise its entry into this agreement and its carrying out of the transactions that this agreement contemplates;
-
(d) (agreement effective) this agreement constitutes the Lead Manager's legal, valid and binding obligation, enforceable against it in accordance with its terms;
- (e) (licenses) the Lead Manager holds all licenses, permits and authorities necessary and has complied with the terms and conditions of the same in all material respects, in each case for it to fulfil its obligations under this agreement;
- (f) (soundings) it has not communicated the possible Sale to any potential investor prior to entry into this agreement, and will not do so, other than as specifically pre-notified to Vendor and as agreed with Vendor;
- (g) (status) it is a QIB or is not in the United States;
- (h) (breach of law) it will perform its obligations under this agreement so as to comply in all material respects with the Corporations Act and the FATA and any other applicable law;
- (i) (no general solicitation or general advertising) none of it, any of its Affiliates that it controls or any person acting on behalf of any of them has offered or sold, or will offer or sell, any of the Sale Shares in the United States using any form of "general solicitation" or "general advertising" within the meaning of Rule 502(c) under the U.S. Securities Act or in any manner involving a public offering of the Sale Shares in the United States within the meaning of Section 4(a)(2) of the U.S. Securities Act;
- (j) (no directed selling efforts) with respect to those Sale Shares sold in reliance on Regulation S, none of it, any of its Affiliates that it controls or any person acting on behalf of any of them has engaged or will engage in any "directed selling efforts" (as that term is defined in Rule 902(c) under the U.S. Securities Act);
- (k) (no stabilisation or manipulation) neither it nor any of its Affiliates has taken or will take, directly or indirectly, any action designed to, or that might reasonably be expected to, cause or result in the stabilisation or manipulation of the price of the Sale Shares in violation of any applicable law;
- (l) (broker-dealer requirements) all offers and sales of the Sale Shares in the United States by it and any of its Affiliates will be effected through its registered U.S. broker-dealer affiliate; and
- (m) (U.S. selling restrictions) it, its Affiliates and any person acting on behalf of any of them has offered and sold the Sale Shares, and will offer and sell the Sale Shares:
- (i) in the United States, only to (A) persons whom it reasonably believes are QIBs in transactions exempt from the registration requirements of the U.S Securities Act pursuant to Rule 144A under the U.S. Securities Act, or (B) Eligible U.S. Fund Managers in reliance on Regulation S and has sold, and in each case will only sell the Sale Shares to these persons that have executed an investor representation letter; and
- (ii) to persons that are not in the United States in "offshore transactions" (as defined in Rule 902(h) under the U.S. Securities Act) in accordance with Regulation S.
6.3 Reliance
Each party giving a representation and warranty acknowledges that the other party has relied on the above representations and warranties in entering into this agreement and will continue to rely on them in performing its obligations under this agreement. The representations and warranties continue in full force and effect notwithstanding completion of this agreement.
6.4 Notification
Each party agrees that it will tell the other party as soon as it becomes aware of any of the following occurring prior to the completion of the Sale of the Sale Shares:
- (a) any material change affecting any of the representations and warranties; or
- (b) any of the representations or warranties becoming materially untrue or incorrect.
7 Undertakings
7.1 General undertakings
Vendor undertakes to the Lead Manager:
- (a) prior to settlement on the Settlement Date, not to breach:
- (i) the Corporations Act and any other applicable laws;
- (ii) its constituent documents; and
- (iii) any regulatory regime by which it is bound; and
- (b) not to withdraw the Sale following entry into this agreement.
7.2 Escrow
Vendor represents and warrants that during the Escrow Period it will not, without the consent of the Lead Manager:
- (a) Deal with;
- (b) Deal in any interest (including any legal, beneficial or economic interest) or right in respect of; or
- (c) do, or omit to do, any act if the act or omission would (or would be likely to) have the effect of resulting in a Dealing with, or in any interest (including any legal, beneficial or economic interest) or right in respect of,
any or all of the Remaining Shares, except as permitted by clauses 7.3, 7.4 and 7.5.
7.3 Takeovers, mergers and reorganisations
Vendor will not be in breach of the representation and warranty in clause 7.2 if and to the extent necessary to allow:
- (a) (Takeover Bid) Vendor to accept an offer made under a Takeover Bid for any of the Remaining Shares or to tender any of its Remaining Shares into a bid acceptance facility established in connection with a Takeover Bid; or
- (b) (Scheme) the Remaining Shares to be transferred or cancelled in accordance with a Scheme which has received all necessary approvals, including all such necessary approvals by shareholders of the Company and courts,
provided that, if for any reason, any or all Remaining Shares are not ultimately transferred or cancelled in accordance with the Takeover Bid or Scheme described in clauses 7.3(a) or 7.3(b) (as applicable), then Vendor agrees that the restrictions applying to the Remaining Shares under clause 7.2 will continue to apply.
7.4 Pre-bid arrangements
Vendor will not be in breach of the representation and warranty in clause 7.2 by agreeing or offering to dispose of any Remaining Shares (including by way of a put and/or call option or commitment to accept a Takeover Bid) in favour of a person making a Takeover Bid or proposing (as acquirer) a Scheme, provided that:
- (a) the relevant Takeover Bid or Scheme is publicly announced within 10 Business Days of the disposal or agreement to dispose; and
- (b) if for any reason, any or all of the Remaining Shares are not ultimately transferred or cancelled in accordance with (or in connection with) the relevant Takeover Bid or Scheme, then the representation and warranty in clause 7.2 will continue to apply to the Remaining Shares on and from the relevant time.
7.5 Other exceptions
Vendor will not be in breach of the representation and warranty in clause 7.2 if and to the extent necessary to allow a Dealing in Remaining Shares:
- (a) (applicable laws) pursuant to any applicable laws (including an order of a court of competent jurisdiction);
- (b) (equal buy-backs and capital returns) to allow Vendor to participate in an equal access share buyback or an equal capital return or other similar pro-rata reorganisation in respect of fully paid ordinary shares in the Company; or
- (c) (Controlled Entity) to any Controlled Entity, provided that the transfer is made off-market and the transferee of the Remaining Shares has undertaken to the Lead Manager to be bound by a deed containing restrictions consistent with those contemplated in clause 7.2 in respect of the Remaining Shares (including an undertaking that if the transferee ceases to be a Controlled Entity during the Escrow Period for any reason, then at the Lead Manager's request it will promptly transfer such Remaining Shares back to Vendor or another Controlled Entity nominated by Vendor).
7.6 Acknowledgements
Each party acknowledges that:
- (a) the representation and warranty in clause 7.2 is not intended to and does not give the Lead Manager any power to dispose of, or control the disposal of, the Remaining Shares (Disposal Right);
- (b) if and to the extent that the Lead Manager would, by virtue of having a Disposal Right in the Remaining Shares, be in breach of applicable laws, a breach of the representation and warranty in clause 7.2 by Vendor will only give rise to a right to damages and the Lead Manager will not be entitled to a remedy of specific performance (as damages are an adequate remedy); and
- (c) the representation and warranty in clause 7.2 has been provided only to address the financial consequences of Vendor Dealing with any Remaining Shares in breach of that representation and warranty.
8 Announcements
Vendor and the Lead Manager will consult each other in respect of any material public releases by any of them concerning the Sale of the Sale Shares. The prior written consent of Vendor must be obtained prior to the Lead Manager making any release or announcement or engaging in publicity in relation to the Sale of the Sale Shares and any release, announcement or engagement must be in compliance with all applicable laws, including the securities laws of Australia, the United States and any other relevant jurisdiction.
9 Indemnities
9.1 Indemnity
Subject to clause 9.2 and to the extent permitted by law, Vendor unconditionally and irrevocably undertakes to indemnify each of the Indemnified Parties against, and to hold them harmless from and against, all Losses arising from its role as contemplated under this agreement or as a result of a breach by Vendor of its obligations under this agreement, including any of the representations and warranties by Vendor contained in this agreement not being true and correct.
9.2 Limited indemnity
The indemnity in clause 9.1 does not extend to, and is not to be taken to be an indemnity against, any Losses of an Indemnified Party if those Losses result from:
- (a) any fraud, recklessness, wilful misconduct or gross negligence of that Indemnified Party;
- (b) any penalty or fine which that Indemnified Party is required to pay for any contravention by it of the Corporations Act; or
- (c) any amount in respect of which this indemnity would be illegal, void or unenforceable under any law.
9.3 Vendor release
Vendor agrees that no Claim may be made by it against an Indemnified Party and Vendor unconditionally and irrevocably releases and discharges each Indemnified Party from any Claim that may be made by it, to recover from that Indemnified Party any Losses suffered or incurred by Vendor arising directly or indirectly as a result of the participation of that Indemnified Party in relation to the Sale, except in relation to matters where those Losses result from any fraud, recklessness, wilful misconduct or gross negligence of that Indemnified Party.
9.4 Mutual release
- (a) Without prejudice to any Claim Vendor may have against the Lead Manager, no proceedings may be taken against any director, officer, employee, agent or adviser of the Lead Manager arising out of or in connection with the Sale, except in relation to Losses that result from the fraud, recklessness, wilful misconduct or gross negligence of that director, officer, employee, agent or adviser.
- (b) Without prejudice to any Claim the Indemnified Parties may have against Vendor, no proceedings may be taken against any director, officer, employee, agent or adviser of Vendor arising out of or in connection with the Sale, except in relation to Losses that result from the fraud, recklessness, wilful misconduct or gross negligence of that director, officer, employee, agent or adviser.
9.5 Notice of potential action
If any Indemnified Party becomes aware of any act, matter or thing which in its opinion will give rise to an action or proceeding against it and in relation to which Vendor would be required to indemnify it under clause 9.1, then that Indemnified Party must notify Vendor giving full details so far as is practicable within 20 Business Days of becoming aware of the act, matter or thing. Failure on the part of an Indemnified Party to notify Vendor in accordance with this clause 9.5 does not affect the right of that Indemnified Party to be indemnified under this clause 9, except that Vendor's liability to that Indemnified Party as a result of the failure to notify will be reduced to the extent to which:
- (a) Vendor has suffered material loss or damage; or
- (b) the amount the subject of the indemnity under clause 9 has increased.
9.6 Settlement of action
Each of Vendor and the Lead Manager must not settle any action, demand or claim to which the indemnity in clause 9.1 relates without the prior written consent of Vendor, or the Lead Manager (as applicable), and that consent must not be unreasonably withheld.
9.7 Contractual contribution
If for any reason the indemnities contained in this clause 9 are unavailable or insufficient to indemnify any Indemnified Party fully against any Loss against which the Indemnified Party is stated to be indemnified under this clause 9 (other than as a result of the operation of clause 9.2 or 9.5), then Vendor agrees to contribute to the relevant Loss in accordance with this clause 9.7 to clause 9.11, in all cases to the maximum extent permitted by law.
9.8 Proportional contribution
The respective proportional contribution of Vendor and the Indemnified Parties in relation to the relevant Loss contemplated under clause 9.7 will be as agreed by Vendor and the Indemnified Parties. Failing agreement, the contributions will be determined by a court of competent jurisdiction. The matters to be considered in deciding the contributions are:
- (a) the participation in, instigation of or other involvement of Vendor on the one hand and the Indemnified Parties on the other hand in the act complained of; and
- (b) the Indemnified Parties' and Vendor's relative intent, knowledge, access to information and opportunity to correct any untrue statement or omission.
9.9 No excess contribution
Vendor agrees with the Indemnified Parties that the Indemnified Parties will not be required to contribute under clause 9.8 to any Claim or Loss an aggregate amount exceeding the aggregate fees paid to the Lead Manager by Vendor as contemplated under clause 5 of this agreement.
9.10 Reimbursement by Vendor
If an Indemnified Party pays an amount in relation to a Loss where it is entitled to contribution from Vendor under this clause 9, Vendor agrees promptly to reimburse the Indemnified Party for that amount.
9.11 Reimbursement by Indemnified Party
If Vendor pays an amount in relation to a Loss where it is entitled to contribution from the Indemnified Parties under this clause 9, the Indemnified Parties must promptly reimburse or the Lead Manager must procure that the relevant Indemnified Parties promptly reimburse Vendor for that amount.
9.12 Benefits of indemnity
Each Indemnified Party, whether or not a party to this agreement, will be entitled to the benefit of this clause 9 and this clause 9 is entered into and may be enforced on that Indemnified Party's behalf by the Lead Manager.
10 Confidentiality
Each party agrees to keep the terms and subject matter of this agreement confidential, except:
- (a) where disclosure is required by applicable law, a legal or regulatory authority or the rules of a relevant securities exchange;
- (b) disclosure is made to an adviser or to a person who must know for the purposes of this agreement, on the basis that the adviser or person keeps the information confidential; and
- (c) to a person to the extent reasonably necessary in connection with any actual or potential claim or judicial or administrative process involving that party in relation to the Sale.
11 Events of Termination
11.1 Right of termination
If any of the following events occur at any time during the period commencing after execution of this agreement and ending at 7.00pm on the Business Day prior to the Settlement Date ("Risk Period"), then the Lead Manager may
terminate its obligations under this agreement without cost or liability to itself at any time before the expiry of the Risk Period by giving written notice to Vendor:
- (a) (ASX actions) ASX does any of the following:
- (i) announces that the Company will be removed from the official list of ASX or ordinary shares in the Company will be suspended from quotation;
- (ii) removes the Company from the official list; or
- (iii) suspends the trading of ordinary shares in the Company for any period of time.
- (b) (ASIC inquiry) ASIC issues or threatens to issue proceedings in relation to the Sale or commences, or threatens to commence any inquiry or investigation in relation to the Sale, other than in relation to the Lead Manager's ability to perform its obligations under this agreement.
- (c) (Other termination events) Subject to clause 11.2, any of the following occurs:
- (i) (Banking moratorium) A general moratorium on commercial banking activities in Australia, United States or the United Kingdom is declared by the relevant central banking authority in any of those countries, or there is a material disruption in commercial banking or security settlement or clearance services in any of those countries.
- (ii) (Breach of Agreement) Vendor is in default of any of the terms and conditions of this agreement or breaches any representation or warranty given or made by it under this agreement.
- (iii) (Change in law) There is introduced, or there is a public announcement of a proposal to introduce, into the Parliament of the Commonwealth of Australia or any State or Territory of Australia a new law, or the Government of Australia, any State or Territory of Australia, the Reserve Bank of Australia or any Minister or other governmental authority of Australia or any State or Territory of Australia, adopts or announces a proposal to adopt a new policy (other than a law or policy which has been announced before the date of this agreement).
11.2 Materiality
No event listed in clause 11.1(c) entitles the Lead Manager to exercise its termination rights unless, in the reasonable opinion of the Lead Manager, it:
- (a) has, or would reasonably be expected to have, a material adverse effect on:
- (i) the willingness of persons to purchase the Sale Shares; or
- (ii) the price at which ordinary shares in the Company are sold on ASX; or
- (b) would reasonably be expected to give rise to a material liability of the Lead Manager under the Corporations Act or any other applicable law.
11.3 Effect of termination
Where, in accordance with this clause 11, the Lead Manager terminates its obligations under this agreement:
- (a) the obligations of the Lead Manager under this agreement immediately end;
- (b) any entitlements of the Lead Manager, including the right to be indemnified, which has accrued under this agreement up to the date of termination, survive; and
- (c) no fees will be payable to the Lead Manager in respect of this agreement.
12 Goods and services tax (GST)
12.1 Consideration GST exclusive
Unless expressly stated otherwise in this agreement, all amounts payable or consideration to be provided under this agreement are exclusive of GST.
12.2 Payment of GST
If GST is payable on any supply made under this agreement, for which the consideration is not expressly stated to include GST, the recipient agrees to pay to the supplier an additional amount equal to the GST payable at the same time that the consideration for the supply, or the first part of the consideration for the supply (as the case may be), is to be provided. However:
- (a) the recipient need not pay the additional amount until the supplier gives the recipient a tax invoice or an adjustment note;
- (b) if an adjustment event arises in respect of the supply, the additional amount must be adjusted to reflect the adjustment event and the recipient or the supplier (as the case may be) must make any payments necessary to reflect the adjustment; and
- (c) this clause 12.2 does not apply to the extent that the GST on the supply is payable by the recipient under Division 84 of the GST Act.
12.3 Reimbursements
If a party is required under this agreement to indemnify another party, or pay or reimburse costs of another party, that party agrees to pay the relevant amount less any input tax credits to which the other party (or to which the representative member for a GST group of which the other party is a member) is entitled.
12.4 Calculation of payments
If an amount payable under this agreement is to be calculated by reference to:
- (a) the price to be received for a taxable supply then, for the purposes of that calculation, the price is reduced to the extent that it includes any amount on account of GST; and
- (b) the price to be paid or provided for an acquisition then, for the purposes of that calculation, the price is reduced to the extent that an input tax credit is available for the acquisition.
12.5 Interpretation
For the purposes of this clause 12:
- (a) a term which has a defined meaning in the GST Act has the same meaning when used in this clause 12;
- (b) "GST Act" means the A New Tax System (Goods and Services Tax) Act 1999 (Cwlth); and
- (c) each periodic or progressive component of a supply to which section 156-5(1) of the GST Act applies will be treated as though it is a separate supply.
13 Conflict and no fiduciary relationship
Vendor acknowledges that:
- (a) the Lead Manager is not obliged to disclose to Vendor or utilise for the benefit of Vendor, any non-public information which the Lead Manager obtains in the normal course of their business where that disclosure or use would result in a breach of any obligation of confidentiality or any internal 'information barrier' policies of the Lead Manager;
- (b) it is contracting with the Lead Manager on an arm's length basis to provide the services described in this agreement and the Lead Manager has not and is not assuming any duties or obligations (fiduciary or otherwise) in respect of it other than those expressly set out in this agreement; and
- (c) the Lead Manager is a full-service securities and corporate advisory firm and it and its Affiliates and Related Bodies Corporate are engaged in various activities, including writing research, securities trading, investment management, financing and brokerage activities and financial planning and benefits counselling for both companies and individuals. In the ordinary course of these activities, the Lead Manager, its Affiliates and Related Bodies Corporate and their respective directors, officers and employees may be providing, or may in the future provide, financial or other services to other parties with conflicting interests to the Vendor and may receive fees for those services and may actively trade the debt and equity securities (or related derivative securities) for their own account and for the account of their customers and may at any time hold long and short positions in such securities.
14 Miscellaneous
14.1 Entire agreement
This agreement and any agreement in relation to fees under clause 5 constitute the entire agreement of the parties about its subject matter and supersede all previous agreements, understandings and negotiations on that matter.
14.2 Governing law
This agreement is governed by the laws of New South Wales, Australia. Each party submits to the non-exclusive jurisdiction of courts exercising jurisdiction in New South Wales, and waives any right to claim that those courts are an inconvenient forum.
14.3 Severability
Any provision of this agreement which is prohibited or unenforceable in any jurisdiction will be ineffective as to that jurisdiction to the extent of the prohibition or unenforceability. That will not invalidate the remaining provisions of this agreement nor affect the validity or enforceability of that provision in any other jurisdiction.
14.4 Waiver and variation
A provision of or right vested under this agreement may not be:
- (a) waived except in writing signed by the party granting the waiver; or
- (b) varied except in writing signed by the parties.
14.5 No merger
The rights and obligations of the parties will not merge on the termination or expiration of this agreement. Any provision of this agreement remaining to be performed or observed by a party, or having effect after the termination of this agreement for whatever reason remains in full force and effect and is binding on that party.
14.6 No assignment
No party may assign its rights or obligations under this agreement without the prior written consent of the other parties. Notwithstanding the foregoing sentence, Vendor may assign its rights or obligations under this agreement to its Affiliates.
14.7 Notices
Notices and other communications in connection with this agreement must be in writing. They must be sent to the address or email address referred to in the Details and (except in the case of email) marked for the attention of the person referred to in the Details. If the intended recipient has notified changed contact details, then communications must be sent to the changed contact details. Where a notice or other written communication is sent to Vendor, a copy must be sent to:
Adam Lennen / Stephen Friesenecker Credit Suisse (Australia) Limited Level 31 Gateway, Macquarie Place Sydney NSW 2000 Email: [email protected] / [email protected]
14.8 Recognition of the U.S. Special Resolution Regime
- (a) In the event that the Lead Manager is a Covered Entity and becomes subject to a proceeding under a U.S. Special Resolution Regime, the transfer from the Lead Manager of this agreement, and any interest and obligation in or under this agreement, will be effective to the same extent as the transfer would be effective under the U.S. Special Resolution Regime if this agreement, and any interest and obligation in or under this agreement, were governed by the laws of the United States or a state of the United States.
- (b) In the event that the Lead Manager is a Covered Entity or a Covered Affiliate of the Lead Manager becomes subject to a proceeding under a U.S. Special Resolution Regime, Default Rights under this agreement
that may be exercised against the Lead Manager are permitted to be exercised to no greater extent than such Default Rights could be exercised under the U.S. Special Resolution Regime if this agreement were governed by the laws of the United States or a state of the United States.
- (c) For the purposes of this clause 14.8, the following definitions apply:
- (i) Covered Affiliate has the meaning assigned to the term "affiliate" in, and shall be interpreted in accordance with, 12 United States Code §1841(k).
- (ii) Covered Entity means any of the following: (i) a "covered entity" as that term is defined in, and interpreted in accordance with, 12 U.S. Code of Federal Regulations §252.82(b); (ii) a "covered bank" as that term is defined in, and interpreted in accordance with, 12 U.S. Code of Federal Regulations §47.3(b); or (iii) a "covered FSI" as that term is defined in, and interpreted in accordance with, 12 U.S. Code of Federal Regulations §382.2(b).
- (iii) Default Right has the meaning assigned to that term in, and shall be interpreted in accordance with, 12 U.S. Code of Federal Regulations §§252.81, 47.2 or 382.1, as applicable.
- (iv) U.S. Special Resolution Regime means each of:
- (A) the U.S. Federal Deposit Insurance Act and the regulations promulgated thereunder; and
- (B) Title II of the U.S. Dodd-Frank Wall Street Reform and Consumer Protection Act and the regulations promulgated thereunder.
14.9 Counterparts
This agreement may be executed in any number of counterparts. All counterparts together will be taken to constitute one agreement.
EXECUTED as an agreement
Block Trade Agreement
Schedule 1 - Timetable
| Date (2021) | |
|---|---|
| Lead Manager commences discussions with potential investors at or after 4.10 pm |
9 March 2021 |
| Trade Date (T) | 10 March 2021 |
| Settlement Date (T + 2) | 12 March 2021 |
| 50824978_7 | Block Trade Agreement | |||
|---|---|---|---|---|
Executed by Credit Suisse (Australia) Limited by its authorised representatives:
Signature
Name: Adam Lennen
Signature Name: Ian Arnold
Annexure "B"
5. Consideration
The consideration paid for each relevant interest referred to in paragraph 3 above, and acquired in the 4 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) | Class and number of securities |
|
|---|---|---|---|---|
| Cash | Non-cash | |||
| Credit Suisse (Australia) Limited |
9-Mar-21 | TBC | 49,100,000 Shares | |
| Credit Suisse Funds AG | 30-Nov-20 | 209,555.0 AUD | 125,477 Shares | |
| Credit Suisse Funds AG | 31-Dec-20 | 60,052.23 AUD | 35,925 Shares | |
| Credit Suisse Equities (Australia) Limited |
10-Nov-20 | 58,934.86 AUD | 38,323 Shares | |
| Credit Suisse Equities (Australia) Limited |
10-Nov-20 | 6,599.97 AUD | 4,139 Shares | |
| Credit Suisse Equities (Australia) Limited |
10-Nov-20 | 419.24 AUD | 268 Shares | |
| Credit Suisse Equities (Australia) Limited |
10-Nov-20 | 301.36 AUD | -217 Shares | |
| Credit Suisse Equities (Australia) Limited |
10-Nov-20 | 8,906.52 AUD | -6,454 Shares | |
| Credit Suisse Equities (Australia) Limited |
10-Nov-20 | 1,582.90 AUD | -1,143 Shares | |
| Credit Suisse Equities (Australia) Limited |
10-Nov-20 | 3,172.46 AUD | -2,288 Shares | |
| Credit Suisse Equities (Australia) Limited |
10-Nov-20 | 6,711.46 AUD | -4,801 Shares | |
| Credit Suisse Equities (Australia) Limited |
10-Nov-20 | 14,862.0 AUD | 9,403 Shares | |
| Credit Suisse Equities (Australia) Limited |
10-Nov-20 | 5,605.17 AUD | -4,048 Shares | |
| Credit Suisse Equities (Australia) Limited |
10-Nov-20 | 4,708.53 AUD | -3,400 Shares | |
| Credit Suisse Equities (Australia) Limited |
10-Nov-20 | 1,050.0 AUD | -750 Shares | |
| Credit Suisse Equities (Australia) Limited |
10-Nov-20 | 6,919.40 AUD | -4,997 Shares | |
| Credit Suisse Equities (Australia) Limited |
10-Nov-20 | 16,294.0 AUD | 10,400 Shares | |
| Credit Suisse Equities (Australia) Limited |
10-Nov-20 | 3,786.68 AUD | -2,764 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Nov -20 |
10,646.50 AUD | -7,690 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
10 -Nov -20 |
611.02 AUD | -446 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Nov -20 |
160,152.81 AUD | 102,228 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Nov -20 |
12,184.21 AUD | 7,639 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Nov -20 |
63,717.38 AUD | 40,215 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Nov -20 |
7,903.20 AUD | -5,617 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Nov -20 |
52,599.48 AUD | 32,519 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Nov -20 |
28,964.25 AUD | -20,643 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Nov -20 |
54,975.33 AUD | -38,814 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Nov -20 |
4,593.85 AUD | -3,250 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Nov -20 |
3,136.0 AUD | 1,960 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Nov -20 |
897.66 AUD | -630 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Nov -20 |
3,603.96 AUD | -2,538 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Nov -20 |
3,998.66 AUD | 2,486 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Nov -20 |
34,603.64 AUD | 21,984 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Nov -20 |
10,361.66 AUD | -7,334 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Nov -20 |
19,021.61 AUD | -13,416 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Nov -20 |
2,801.47 AUD | -1,985 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Nov -20 |
123,982.36 AUD | 76,928 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Nov -20 |
1,679.62 AUD | 1,052 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Nov -20 |
23,587.52 AUD | -14,853 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Nov -20 |
1,226.80 AUD | -779 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Nov -20 |
4,351.26 AUD | -2,744 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Nov -20 |
8,864.61 AUD | -5,581 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Nov -20 |
17,371.88 AUD | -11,150 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
12 -Nov -20 |
11,046.20 AUD | 6,949 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Nov -20 |
1,435.29 AUD | -913 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Nov -20 |
22,429.56 AUD | -14,239 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Nov -20 |
322,027.37 AUD | -203,373 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Nov -20 |
56,553.57 AUD | -35,960 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Nov -20 |
271,552.56 AUD | -170,782 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Nov -20 |
1,109.70 AUD | -689 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Nov -20 |
32,811.82 AUD | -20,416 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Nov -20 |
20,301.17 AUD | -12,575 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Nov -20 |
1,695.58 AUD | -1,050 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Nov -20 |
2,241.92 AUD | -1,395 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Nov -20 |
10,020.0 AUD | 6,300 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Nov -20 |
267,423.86 AUD | -167,014 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Nov -20 |
29,016.99 AUD | 18,164 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Nov -20 |
84.23 AUD | 53 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Nov -20 |
10,448.44 AUD | -6,466 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Nov -20 |
61,316.80 AUD | -38,323 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Nov -20 |
88,200.69 AUD | -54,659 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Nov -20 |
37,645.51 AUD | -23,397 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Nov -20 |
6,021.38 AUD | 3,811 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Nov -20 |
1,899.20 AUD | -1,187 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Nov -20 |
3,321.60 AUD | -2,076 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Nov -20 |
276,172.02 AUD | -172,733 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Nov -20 |
1.61 AUD | 1 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
16 -Nov -20 |
7,806.33 AUD | -4,897 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Nov -20 |
4,309.12 AUD | -2,689 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Nov -20 |
464,376.0 AUD | -290,235 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Nov -20 |
14,790.22 AUD | -9,264 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Nov -20 |
23,790.23 AUD | -14,859 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Nov -20 |
18,861.34 AUD | -11,807 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Nov -20 |
2,804.81 AUD | -1,759 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Nov -20 |
11,386.28 AUD | -7,139 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
6,131.20 AUD | -3,832 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
44,061.40 AUD | -27,719 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
5,911.62 AUD | -3,718 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
26,384.32 AUD | -16,633 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
51,532.55 AUD | -32,457 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
20,040.30 AUD | 12,182 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
27,939.16 AUD | -17,587 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
119,977.40 AUD | -75,478 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
2,274.96 AUD | 1,389 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
11,622.90 AUD | -7,310 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
9,623.25 AUD | 5,922 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
445,006.02 AUD | -279,878 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
10,597.73 AUD | 6,327 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
21,742.22 AUD | -13,673 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
5,386.78 AUD | -3,387 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
3,454.72 AUD | -2,173 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
17 -Nov -20 |
30,549.79 AUD | 18,625 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Nov -20 |
30,633.67 AUD | 18,283 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Nov -20 |
9,550.73 AUD | 5,719 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Nov -20 |
54,966.17 AUD | -34,424 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Nov -20 |
62.20 AUD | -39 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Nov -20 |
4,137.70 AUD | -2,570 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Nov -20 |
4.94 AUD | 3 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Nov -20 |
25,249.71 AUD | 15,151 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Nov -20 |
1,633.30 AUD | 963 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
35,955.81 AUD | -21,883 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
896.58 AUD | 525 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
9,948.29 AUD | -6,100 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
25,744.03 AUD | 15,090 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
13,084.35 AUD | -7,888 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
57,231.38 AUD | -34,635 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
11,807.60 AUD | -7,229 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
3,060.0 AUD | 1,800 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
217,358.63 AUD | 126,005 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
458,236.45 AUD | -273,574 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
157.62 AUD | 92 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
2,245.95 AUD | 1,302 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
24,372.57 AUD | -14,993 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
11.99 AUD | 7 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
47,324.74 AUD | -28,565 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
292.19 AUD | -179 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
68,443.63 AUD | -41,693 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
17,808.46 AUD | -10,809 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Nov -20 |
14,673.47 AUD | -8,907 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Nov -20 |
50,957.84 AUD | -30,978 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Nov -20 |
1,058.70 AUD | -621 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Nov -20 |
28,407.54 AUD | 16,902 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Nov -20 |
302.12 AUD | -182 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Nov -20 |
2,691.66 AUD | 1,588 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Nov -20 |
62,927.09 AUD | -37,356 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Nov -20 |
9,018.92 AUD | -5,429 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Nov -20 |
3,680.61 AUD | -2,168 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Nov -20 |
21,342.33 AUD | -12,804 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Nov -20 |
8,626.03 AUD | 5,138 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Nov -20 |
82,496.01 AUD | -49,104 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Nov -20 |
28,793.40 AUD | -17,335 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Nov -20 |
14,792.18 AUD | 8,750 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Nov -20 |
90,330.50 AUD | 53,450 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Nov -20 |
860.78 AUD | -499 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Nov -20 |
17,435.63 AUD | -10,156 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Nov -20 |
9,851.11 AUD | -5,775 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Nov -20 |
4,914.01 AUD | 2,921 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Nov -20 |
3,251.63 AUD | -1,875 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Nov -20 |
16,652.53 AUD | 9,852 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
23 -Nov -20 |
383,615.0 AUD | 226,955 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Nov -20 |
148,900.63 AUD | -87,094 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Nov -20 |
108,893.49 AUD | -63,268 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Nov -20 |
115.18 AUD | -67 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Nov -20 |
16,067.71 AUD | -9,407 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Nov -20 |
3,341.35 AUD | -1,952 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Nov -20 |
109.53 AUD | 65 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
11,643.89 AUD | -6,970 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
3,024.05 AUD | 1,744 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
142.38 AUD | -84 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
84,425.20 AUD | -50,073 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
12,503.35 AUD | 7,104 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
451.93 AUD | 258 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
3,835.04 AUD | 2,179 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
2,271.29 AUD | -1,355 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
22,903.50 AUD | -13,736 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
1,897.52 AUD | -1,128 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
4,567.20 AUD | -2,751 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
2,209.56 AUD | -1,333 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
17,542.68 AUD | 10,082 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
19,980.0 AUD | -12,000 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
95,010.08 AUD | 53,983 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
5,248.54 AUD | 2,978 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
161.99 AUD | 92 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
246.25 AUD | 140 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
5,358.04 AUD | 3,063 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
84,568.08 AUD | -50,511 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
69,809.77 AUD | 40,260 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Nov -20 |
4,328.05 AUD | -2,583 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
2,557.64 AUD | 1,487 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
740.88 AUD | -441 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
143.22 AUD | 84 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
3,290.0 AUD | 2,000 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
74.25 AUD | 45 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
486,314.52 AUD | 282,741 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
4,042.41 AUD | -2,377 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
4,045.28 AUD | -2,401 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
12,625.99 AUD | -7,461 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
437.71 AUD | -259 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
52,704.62 AUD | 30,280 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
42,916.18 AUD | 25,104 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
3,260.01 AUD | -1,929 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
3,787.29 AUD | -2,244 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
1,004.76 AUD | -596 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
6,050.05 AUD | 3,520 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
287.24 AUD | 167 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Nov -20 |
88,586.98 AUD | -52,720 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Nov -20 |
3,202.68 AUD | 1,931 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
26 -Nov -20 |
57,415.47 AUD | -32,805 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Nov -20 |
81.65 AUD | 49 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Nov -20 |
125.12 AUD | -72 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Nov -20 |
134.57 AUD | 81 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Nov -20 |
473,936.40 AUD | 282,105 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Nov -20 |
56.15 AUD | -32 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Nov -20 |
8,439.61 AUD | -4,781 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Nov -20 |
16,521.64 AUD | 9,906 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Nov -20 |
17,273.42 AUD | -9,789 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Nov -20 |
5,463.26 AUD | -3,103 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Nov -20 |
16,980.72 AUD | 10,172 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Nov -20 |
25.20 AUD | -15 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Nov -20 |
20,298.91 AUD | -11,969 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Nov -20 |
140.13 AUD | -81 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Nov -20 |
10,222.84 AUD | -6,049 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Nov -20 |
6,495.46 AUD | -3,931 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Nov -20 |
40.08 AUD | 24 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Nov -20 |
1,351,603.43 AUD | -817,444 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Nov -20 |
2,905.45 AUD | 1,756 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Nov -20 |
37,173.22 AUD | -21,583 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Nov -20 |
938.35 AUD | 565 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Nov -20 |
442.20 AUD | 268 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Nov -20 |
66,272.28 AUD | 39,684 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Nov -20 |
658.76 AUD | -383 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
27 -Nov -20 |
6,493.27 AUD | -3,790 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Nov -20 |
3.41 AUD | -2 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Nov -20 |
45,888.06 AUD | -27,436 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Nov -20 |
3.36 AUD | 2 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Nov -20 |
12,791.51 AUD | -7,688 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Nov -20 |
4,119.36 AUD | -2,452 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Nov -20 |
5,843.87 AUD | -3,513 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Nov -20 |
142.76 AUD | -86 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Nov -20 |
13,010.86 AUD | 7,631 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Nov -20 |
3,508.29 AUD | -2,113 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Nov -20 |
2,867.39 AUD | 1,717 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Dec -20 |
1,137.52 AUD | -683 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Dec -20 |
823.04 AUD | -500 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Dec -20 |
61,067.38 AUD | 35,994 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Dec -20 |
45,487.92 AUD | 27,213 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Dec -20 |
19.86 AUD | 12 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Dec -20 |
11,812.68 AUD | 6,908 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Dec -20 |
7,413.71 AUD | -4,492 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Dec -20 |
20,218.47 AUD | -12,155 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Dec -20 |
299.54 AUD | 177 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Dec -20 |
584.36 AUD | 356 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Dec -20 |
5,741.53 AUD | 3,387 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Dec -20 |
1,177.35 AUD | -705 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Dec -20 |
29.95 AUD | -18 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
2 -Dec -20 |
304.30 AUD | 179 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Dec -20 |
1,279.73 AUD | -771 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Dec -20 |
10,529.61 AUD | -6,285 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Dec -20 |
50,757.82 AUD | -30,577 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Dec -20 |
35.83 AUD | 21 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Dec -20 |
668.09 AUD | -402 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Dec -20 |
65,150.60 AUD | 38,290 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Dec -20 |
13.36 AUD | -8 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Dec -20 |
435.22 AUD | -263 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Dec -20 |
1,355.86 AUD | -800 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Dec -20 |
10.14 AUD | 6 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Dec -20 |
10,995.47 AUD | -6,487 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Dec -20 |
255.19 AUD | 151 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Dec -20 |
14.89 AUD | -9 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Dec -20 |
585.22 AUD | -356 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Dec -20 |
7,317.79 AUD | -4,320 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Dec -20 |
5,791.77 AUD | -3,387 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Dec -20 |
8,085.83 AUD | -4,808 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Dec -20 |
270.83 AUD | 160 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Dec -20 |
17,598.80 AUD | 10,330 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Dec -20 |
98,427.41 AUD | 57,091 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Dec -20 |
6,301.32 AUD | -3,703 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Dec -20 |
1,016.73 AUD | -597 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Dec -20 |
4,218.29 AUD | 2,337 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
4 -Dec -20 |
4,562.50 AUD | 2,500 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Dec -20 |
5,260.86 AUD | -3,087 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Dec -20 |
5,370.18 AUD | 2,977 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Dec -20 |
10,021.19 AUD | -5,900 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Dec -20 |
3,765.12 AUD | -2,215 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Dec -20 |
289.71 AUD | -169 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Dec -20 |
18.75 AUD | -11 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Dec -20 |
2,012.43 AUD | 1,165 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Dec -20 |
5,443.49 AUD | -3,193 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Dec -20 |
168.58 AUD | 94 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Dec -20 |
359,443.92 AUD | 204,117 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Dec -20 |
99,542.35 AUD | 55,074 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Dec -20 |
244,814.70 AUD | 133,611 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Dec -20 |
153.95 AUD | 86 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Dec -20 |
104,813.0 AUD | 57,383 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Dec -20 |
1.69 AUD | -1 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Dec -20 |
8,286.13 AUD | -4,891 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Dec -20 |
59,464.14 AUD | 32,090 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Dec -20 |
4,044.16 AUD | -2,391 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Dec -20 |
64,684.22 AUD | -38,198 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Dec -20 |
12,641.81 AUD | 6,724 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Dec -20 |
17,078.85 AUD | -10,069 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Dec -20 |
4,312.56 AUD | 2,416 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Dec -20 |
3,630.24 AUD | 1,986 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
8 -Dec -20 |
12.60 AUD | 7 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Dec -20 |
17,236.38 AUD | -9,739 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Dec -20 |
62,618.18 AUD | 35,020 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Dec -20 |
33,253.31 AUD | 18,702 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Dec -20 |
4,525.0 AUD | -2,500 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Dec -20 |
310.91 AUD | -172 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Dec -20 |
3,293.89 AUD | -1,815 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Dec -20 |
4,855.51 AUD | 2,723 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Dec -20 |
34,166.86 AUD | -19,001 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Dec -20 |
25.11 AUD | -14 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Dec -20 |
77,533.68 AUD | 43,108 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Dec -20 |
36,128.87 AUD | -19,851 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Dec -20 |
3.54 AUD | -2 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Dec -20 |
1,939.54 AUD | -1,099 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Dec -20 |
12.66 AUD | 7 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Dec -20 |
3,992.54 AUD | -2,259 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Dec -20 |
13,427.47 AUD | 7,537 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Dec -20 |
9,023.08 AUD | -4,926 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Dec -20 |
8,523.36 AUD | -4,670 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Dec -20 |
1,166.56 AUD | -633 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Dec -20 |
29,496.85 AUD | 16,567 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Dec -20 |
7,717.08 AUD | -4,100 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Dec -20 |
5,150.50 AUD | -2,824 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Dec -20 |
31,614.37 AUD | 17,878 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
9 -Dec -20 |
57,280.65 AUD | -32,090 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Dec -20 |
57,280.65 AUD | 32,090 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Dec -20 |
132.22 AUD | -70 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Dec -20 |
1,077.0 AUD | 600 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Dec -20 |
167,878.14 AUD | -94,073 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Dec -20 |
580.36 AUD | -325 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Dec -20 |
5.46 AUD | 3 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Dec -20 |
27.38 AUD | -15 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Dec -20 |
66,107.90 AUD | -36,416 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Dec -20 |
22,843.98 AUD | 12,893 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Dec -20 |
778.29 AUD | 437 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Dec -20 |
37,755.58 AUD | 21,211 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Dec -20 |
24.26 AUD | 14 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Dec -20 |
141.69 AUD | -78 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Dec -20 |
4,675.33 AUD | -2,620 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Dec -20 |
26,234.54 AUD | 14,645 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Dec -20 |
353,826.62 AUD | 198,779 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Dec -20 |
857,983.14 AUD | 482,013 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Dec -20 |
2,665.62 AUD | -1,506 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Dec -20 |
13,528.77 AUD | -7,634 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Dec -20 |
69,170.35 AUD | 38,166 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Dec -20 |
2,226.60 AUD | 1,237 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Dec -20 |
3,650.90 AUD | 2,005 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Dec -20 |
146.03 AUD | -83 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
11 -Dec -20 |
123.93 AUD | -70 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Dec -20 |
1,045.50 AUD | -600 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Dec -20 |
40,060.93 AUD | 21,893 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Dec -20 |
1,079.93 AUD | -605 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Dec -20 |
14,091.77 AUD | -7,990 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Dec -20 |
251,975.49 AUD | 139,118 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Dec -20 |
84,356.10 AUD | 45,854 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Dec -20 |
135,038.78 AUD | -76,440 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Dec -20 |
2,416.41 AUD | 1,358 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Dec -20 |
25,899.76 AUD | 14,524 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Dec -20 |
5,090.63 AUD | 2,790 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Dec -20 |
678,321.42 AUD | 380,012 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Dec -20 |
184.03 AUD | -106 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Dec -20 |
1,397.22 AUD | -803 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Dec -20 |
98,463.90 AUD | -56,327 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Dec -20 |
175,634.60 AUD | 98,134 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Dec -20 |
123.74 AUD | -69 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Dec -20 |
3,936.33 AUD | 2,205 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Dec -20 |
9,419.48 AUD | -5,348 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Dec -20 |
91,763.0 AUD | 51,100 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Dec -20 |
29,445.36 AUD | 16,496 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Dec -20 |
601.73 AUD | -339 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Dec -20 |
96,797.77 AUD | -54,422 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Dec -20 |
2,570.32 AUD | 1,444 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
15 -Dec -20 |
2,216.36 AUD | -1,221 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Dec -20 |
39,154.77 AUD | -21,884 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Dec -20 |
134.16 AUD | 76 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Dec -20 |
44,098.15 AUD | -24,744 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Dec -20 |
1.77 AUD | 1 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Dec -20 |
929.48 AUD | -515 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Dec -20 |
6,304.27 AUD | -3,516 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Dec -20 |
66,552.95 AUD | -36,815 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Dec -20 |
9,624.38 AUD | -5,348 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Dec -20 |
22,642.89 AUD | -12,516 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Dec -20 |
12.32 AUD | 7 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Dec -20 |
51,450.34 AUD | -28,723 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Dec -20 |
169,466.69 AUD | -94,293 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Dec -20 |
43,910.19 AUD | -24,751 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Dec -20 |
537.0 AUD | 300 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Dec -20 |
4,800.95 AUD | 2,680 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Dec -20 |
9,868.77 AUD | -5,567 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Dec -20 |
1,679.03 AUD | -941 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Dec -20 |
115,240.33 AUD | -64,595 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Dec -20 |
53,534.91 AUD | 29,748 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Dec -20 |
4,642.81 AUD | -2,630 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Dec -20 |
840.15 AUD | 469 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Dec -20 |
123,219.10 AUD | -69,392 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Dec -20 |
97,102.66 AUD | -54,100 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
16 -Dec -20 |
788.54 AUD | -443 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Dec -20 |
12,928.67 AUD | 7,165 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Dec -20 |
118,470.22 AUD | 65,802 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Dec -20 |
119,224.32 AUD | -67,416 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Dec -20 |
4,243.37 AUD | 2,364 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Dec -20 |
194.02 AUD | 109 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Dec -20 |
142.0 AUD | 80 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Dec -20 |
299.13 AUD | -169 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Dec -20 |
2,993.44 AUD | -1,696 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Dec -20 |
28,908.18 AUD | -16,386 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Dec -20 |
128.94 AUD | -73 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Dec -20 |
39,557.27 AUD | -22,399 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Dec -20 |
10,206.13 AUD | 5,986 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Dec -20 |
87,890.23 AUD | -49,086 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Dec -20 |
22,041.74 AUD | -12,383 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Dec -20 |
4,882.19 AUD | -2,718 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Dec -20 |
4,927.88 AUD | -2,746 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Dec -20 |
2,538.75 AUD | 1,489 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Dec -20 |
14,315.72 AUD | 8,426 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Dec -20 |
4,143.72 AUD | -2,313 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Dec -20 |
3,057.86 AUD | 1,802 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Dec -20 |
186.68 AUD | -104 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Dec -20 |
369.89 AUD | 218 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Dec -20 |
7,160.0 AUD | -4,000 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
18 -Dec -20 |
6,840.77 AUD | 4,019 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Dec -20 |
8,540.01 AUD | -4,774 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
5,577.78 AUD | -3,108 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
94.34 AUD | -53 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
7,796.33 AUD | -4,378 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
7,913.14 AUD | -4,445 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
1,944.27 AUD | 1,137 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
53,278.96 AUD | -29,932 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
62.36 AUD | -35 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
78,225.50 AUD | -43,667 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
14,997.93 AUD | 9,018 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
88,057.86 AUD | -49,327 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
4,193.68 AUD | -2,356 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
156.60 AUD | 96 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
10,236.06 AUD | 5,986 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
36,352.45 AUD | -20,390 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
17,254.41 AUD | 10,489 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
1,803.09 AUD | 1,086 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
10,695.24 AUD | -5,986 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Dec -20 |
21,786.09 AUD | -12,171 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Dec -20 |
30,614.58 AUD | 18,247 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Dec -20 |
1,183.75 AUD | -700 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Dec -20 |
283.03 AUD | -166 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Dec -20 |
10,086.41 AUD | 5,986 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
22 -Dec -20 |
42,401.46 AUD | 25,341 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Dec -20 |
2,300.05 AUD | -1,343 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Dec -20 |
975.46 AUD | -575 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Dec -20 |
27,361.51 AUD | -15,935 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Dec -20 |
1,774.07 AUD | -1,043 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Dec -20 |
170,016.24 AUD | -100,218 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Dec -20 |
46,193.32 AUD | -27,184 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Dec -20 |
1.68 AUD | 1 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Dec -20 |
6.80 AUD | -4 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Dec -20 |
16.85 AUD | 10 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Dec -20 |
11,046.70 AUD | -6,479 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Dec -20 |
10,222.52 AUD | -5,986 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
10,176.20 AUD | 5,986 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
11,783.88 AUD | -6,993 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
94.38 AUD | -56 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
88,277.88 AUD | -52,496 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
27.20 AUD | 16 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
1.69 AUD | -1 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
17,227.44 AUD | -10,189 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
37,757.44 AUD | 22,293 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
35,123.44 AUD | -20,961 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
43,291.49 AUD | -25,521 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
15,199.55 AUD | 8,902 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
2,346.97 AUD | -1,393 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
2,345.29 AUD | -1,392 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
2,857.02 AUD | -1,699 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
9,997.40 AUD | -5,986 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
964.44 AUD | -564 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
4,994.76 AUD | -2,969 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Dec -20 |
16,772.68 AUD | 9,812 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Dec -20 |
235,242.04 AUD | -140,648 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Dec -20 |
6,153.12 AUD | -3,677 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Dec -20 |
26,305.71 AUD | -15,684 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Dec -20 |
10,359.24 AUD | 5,988 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Dec -20 |
387,903.23 AUD | 227,181 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Dec -20 |
37.29 AUD | -22 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Dec -20 |
10,048.65 AUD | -5,986 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Dec -20 |
29,142.29 AUD | 17,088 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Dec -20 |
45,031.49 AUD | -26,854 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Dec -20 |
1,747.35 AUD | -1,037 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Dec -20 |
4,638.42 AUD | 2,692 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Dec -20 |
1.68 AUD | -1 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Dec -20 |
2,784.06 AUD | 1,634 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Dec -20 |
1.71 AUD | 1 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Dec -20 |
485,857.95 AUD | 283,398 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Dec -20 |
17,233.48 AUD | -10,008 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Dec -20 |
90.82 AUD | 53 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Dec -20 |
34,556.43 AUD | -20,265 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
29 -Dec -20 |
55,868.38 AUD | -32,828 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Dec -20 |
26,947.53 AUD | -15,804 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Dec -20 |
150,202.60 AUD | 87,961 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Dec -20 |
29.41 AUD | -17 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Dec -20 |
10,195.87 AUD | -5,986 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Dec -20 |
12,137.56 AUD | -7,105 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Dec -20 |
14,941.95 AUD | 8,797 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Dec -20 |
966.68 AUD | 572 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Dec -20 |
985.40 AUD | -577 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Dec -20 |
64,707.14 AUD | 37,476 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Dec -20 |
4,944.45 AUD | -2,905 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Dec -20 |
43,034.02 AUD | 25,347 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Dec -20 |
2,577.96 AUD | -1,512 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Dec -20 |
5,749.21 AUD | -3,365 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Dec -20 |
10,202.71 AUD | -5,988 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Dec -20 |
43,454.83 AUD | 25,656 Shares |
| Credit Suisse Equities (Australia) Limited |
30 -Dec -20 |
262.78 AUD | 156 Shares |
| Credit Suisse Equities (Australia) Limited |
31 -Dec -20 |
315.63 AUD | 188 Shares |
| Credit Suisse Equities (Australia) Limited |
31 -Dec -20 |
2,303.27 AUD | -1,359 Shares |
| Credit Suisse Equities (Australia) Limited |
31 -Dec -20 |
21,886.75 AUD | -12,828 Shares |
| Credit Suisse Equities (Australia) Limited |
31 -Dec -20 |
27,350.13 AUD | 16,407 Shares |
| Credit Suisse Equities (Australia) Limited |
31 -Dec -20 |
10,395.03 AUD | 6,281 Shares |
| Credit Suisse Equities (Australia) Limited |
31 -Dec -20 |
14,704.76 AUD | 8,875 Shares |
| Credit Suisse Equities (Australia) Limited |
31 -Dec -20 |
1,640.21 AUD | -962 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
31 -Dec -20 |
2,209.78 AUD | -1,300 Shares |
| Credit Suisse Equities (Australia) Limited |
31 -Dec -20 |
6.96 AUD | -4 Shares |
| Credit Suisse Equities (Australia) Limited |
31 -Dec -20 |
391.80 AUD | 236 Shares |
| Credit Suisse Equities (Australia) Limited |
31 -Dec -20 |
25,445.71 AUD | -14,843 Shares |
| Credit Suisse Equities (Australia) Limited |
31 -Dec -20 |
92.34 AUD | -54 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Jan -21 |
90.11 AUD | -53 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Jan -21 |
166,070.39 AUD | 102,089 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Jan -21 |
40,263.60 AUD | -23,527 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Jan -21 |
375.18 AUD | -222 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Jan -21 |
881,364.25 AUD | -521,726 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Jan -21 |
63,451.23 AUD | -37,476 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Jan -21 |
227,446.69 AUD | 139,084 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Jan -21 |
27,981.96 AUD | -16,564 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Jan -21 |
27,304.98 AUD | 16,741 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Jan -21 |
50.53 AUD | 31 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Jan -21 |
3,847.44 AUD | -2,271 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Jan -21 |
21,931.39 AUD | -13,213 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Jan -21 |
31,201.20 AUD | 19,380 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Jan -21 |
8,756.48 AUD | -5,223 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Jan -21 |
4,405.46 AUD | -2,638 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Jan -21 |
45.36 AUD | 28 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Jan -21 |
27,514.20 AUD | -16,407 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Jan -21 |
3,689.78 AUD | 2,283 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Jan -21 |
124,786.35 AUD | 77,159 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
5 -Jan -21 |
43.16 AUD | -26 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Jan -21 |
473.02 AUD | 293 Shares |
| Credit Suisse Equities (Australia) Limited |
6 -Jan -21 |
848.76 AUD | 509 Shares |
| Credit Suisse Equities (Australia) Limited |
6 -Jan -21 |
109.51 AUD | 66 Shares |
| Credit Suisse Equities (Australia) Limited |
6 -Jan -21 |
5,197.53 AUD | 3,103 Shares |
| Credit Suisse Equities (Australia) Limited |
6 -Jan -21 |
24,031.68 AUD | 14,433 Shares |
| Credit Suisse Equities (Australia) Limited |
6 -Jan -21 |
4.94 AUD | 3 Shares |
| Credit Suisse Equities (Australia) Limited |
6 -Jan -21 |
7,590.82 AUD | 4,566 Shares |
| Credit Suisse Equities (Australia) Limited |
6 -Jan -21 |
14,408.89 AUD | 8,667 Shares |
| Credit Suisse Equities (Australia) Limited |
6 -Jan -21 |
1,503.23 AUD | -918 Shares |
| Credit Suisse Equities (Australia) Limited |
6 -Jan -21 |
19,376.50 AUD | -11,924 Shares |
| Credit Suisse Equities (Australia) Limited |
6 -Jan -21 |
2,172.70 AUD | -1,329 Shares |
| Credit Suisse Equities (Australia) Limited |
6 -Jan -21 |
3,717.90 AUD | -2,295 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Jan -21 |
51,604.72 AUD | 30,515 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Jan -21 |
3,487.95 AUD | 2,070 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Jan -21 |
93.23 AUD | 55 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Jan -21 |
131.43 AUD | 78 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Jan -21 |
2,355.43 AUD | -1,453 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Jan -21 |
139,353.52 AUD | -86,009 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Jan -21 |
56.70 AUD | -35 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Jan -21 |
106,550.42 AUD | -65,972 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Jan -21 |
2,414.76 AUD | -1,500 Shares |
| Credit Suisse Equities (Australia) Limited |
7 -Jan -21 |
2,437.26 AUD | -1,500 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Jan -21 |
63,937.15 AUD | -38,415 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
8 -Jan -21 |
92,289.04 AUD | -55,656 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Jan -21 |
45.36 AUD | -27 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Jan -21 |
47,172.82 AUD | -28,402 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Jan -21 |
45,996.05 AUD | 28,196 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Jan -21 |
9,015.74 AUD | 5,520 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Jan -21 |
352.80 AUD | 216 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Jan -21 |
41.50 AUD | 25 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Jan -21 |
47.88 AUD | -28 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Jan -21 |
57,592.31 AUD | -34,013 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Jan -21 |
21,916.65 AUD | -12,956 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Jan -21 |
37,673.48 AUD | -22,292 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Jan -21 |
2,521.48 AUD | 1,564 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Jan -21 |
88.76 AUD | 56 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Jan -21 |
13,707.64 AUD | 8,664 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Jan -21 |
7,273.81 AUD | 4,633 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Jan -21 |
18,551.93 AUD | 11,779 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Jan -21 |
143,183.89 AUD | 90,702 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Jan -21 |
16,751.14 AUD | -10,191 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Jan -21 |
2,305.89 AUD | -1,412 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Jan -21 |
1,615.25 AUD | -994 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Jan -21 |
9,969.61 AUD | -6,040 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Jan -21 |
2,315.78 AUD | 1,463 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Jan -21 |
231,977.45 AUD | 146,186 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Jan -21 |
193.73 AUD | 123 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
13 -Jan -21 |
126.80 AUD | -80 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Jan -21 |
6,200.78 AUD | -3,941 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Jan -21 |
85.32 AUD | -54 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Jan -21 |
5,956.40 AUD | -3,775 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Jan -21 |
2,251.38 AUD | -1,434 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Jan -21 |
8,816.40 AUD | -5,580 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Jan -21 |
180.80 AUD | 113 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Jan -21 |
2,645.23 AUD | 1,643 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Jan -21 |
9,910.01 AUD | 6,195 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Jan -21 |
180,434.84 AUD | 112,810 Shares |
| Credit Suisse Equities (Australia) Limited |
13 -Jan -21 |
97,695.02 AUD | 61,171 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Jan -21 |
120.47 AUD | -76 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Jan -21 |
85,326.52 AUD | -53,833 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Jan -21 |
2,481.76 AUD | 1,548 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Jan -21 |
79,930.69 AUD | 49,977 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Jan -21 |
127.19 AUD | 79 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Jan -21 |
13,070.34 AUD | 8,192 Shares |
| Credit Suisse Equities (Australia) Limited |
14 -Jan -21 |
1,965.31 AUD | 1,236 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Jan -21 |
30.12 AUD | -19 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Jan -21 |
39,964.19 AUD | -25,028 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Jan -21 |
13,730.20 AUD | -8,690 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Jan -21 |
1,423.98 AUD | 879 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Jan -21 |
12,491.28 AUD | 7,710 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Jan -21 |
1,832.40 AUD | 1,131 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
15 -Jan -21 |
5,321.63 AUD | 3,282 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Jan -21 |
70,147.44 AUD | 43,266 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Jan -21 |
13,025.37 AUD | -8,194 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Jan -21 |
29,910.40 AUD | -18,694 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Jan -21 |
450.14 AUD | -284 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Jan -21 |
17,447.71 AUD | 10,939 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Jan -21 |
2,758.93 AUD | 1,735 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Jan -21 |
98.89 AUD | 62 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Jan -21 |
2,937.25 AUD | 1,844 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Jan -21 |
35,223.87 AUD | 22,150 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Jan -21 |
24,301.01 AUD | -14,991 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Jan -21 |
18,251.82 AUD | -11,253 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Jan -21 |
1,944.0 AUD | -1,200 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Jan -21 |
20,503.91 AUD | -12,658 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Jan -21 |
1,453.65 AUD | 900 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Jan -21 |
72,979.47 AUD | 44,869 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Jan -21 |
87,572.35 AUD | 54,025 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Jan -21 |
29,870.46 AUD | 18,400 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Jan -21 |
1,950.20 AUD | 1,200 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Jan -21 |
38.28 AUD | -24 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Jan -21 |
861.78 AUD | -542 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Jan -21 |
255.20 AUD | -160 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Jan -21 |
122,848.65 AUD | -76,947 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Jan -21 |
37.15 AUD | -23 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
20 -Jan -21 |
84,272.86 AUD | 50,682 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Jan -21 |
3,576.38 AUD | 2,181 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Jan -21 |
11,565.88 AUD | 6,997 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Jan -21 |
2,298.15 AUD | 1,376 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Jan -21 |
2,904.53 AUD | 1,755 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Jan -21 |
1,045.96 AUD | 632 Shares |
| Credit Suisse Equities (Australia) Limited |
20 -Jan -21 |
31,856.39 AUD | 19,208 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Jan -21 |
61.56 AUD | -38 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Jan -21 |
196.63 AUD | -121 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Jan -21 |
2,538.29 AUD | -1,563 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Jan -21 |
22.47 AUD | -14 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Jan -21 |
94.83 AUD | 58 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Jan -21 |
13,632.02 AUD | 8,392 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Jan -21 |
28,749.11 AUD | 17,595 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Jan -21 |
164,962.98 AUD | 100,369 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Jan -21 |
815.75 AUD | 513 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Jan -21 |
2,460.25 AUD | 1,500 Shares |
| Credit Suisse Equities (Australia) Limited |
21 -Jan -21 |
31,364.98 AUD | 19,078 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Jan -21 |
21,813.08 AUD | -13,378 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Jan -21 |
78,530.58 AUD | -47,205 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Jan -21 |
332.63 AUD | -203 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Jan -21 |
3,513.61 AUD | -2,123 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Jan -21 |
2,016.39 AUD | -1,224 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Jan -21 |
1,109.69 AUD | -678 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
22 -Jan -21 |
6,198.12 AUD | 3,700 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Jan -21 |
5,659.12 AUD | 3,399 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Jan -21 |
61,615.84 AUD | 37,068 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Jan -21 |
1,509.63 AUD | 903 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Jan -21 |
16,535.73 AUD | 9,933 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Jan -21 |
928.31 AUD | 558 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Jan -21 |
3,152.12 AUD | 1,896 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Jan -21 |
337.01 AUD | 203 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Jan -21 |
266.45 AUD | -163 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Jan -21 |
1,082.35 AUD | -658 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Jan -21 |
9,775.51 AUD | -6,035 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Jan -21 |
10,266.19 AUD | -6,248 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Jan -21 |
18,962.05 AUD | -11,767 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Jan -21 |
8,036.81 AUD | 4,994 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Jan -21 |
14,447.28 AUD | 8,989 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Jan -21 |
19,842.21 AUD | 12,272 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Jan -21 |
1,992.10 AUD | 1,230 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Jan -21 |
41,084.49 AUD | 25,151 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Jan -21 |
21,743.68 AUD | 13,453 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Jan -21 |
59,459.35 AUD | -36,065 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Jan -21 |
82.50 AUD | -50 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Jan -21 |
7,058.80 AUD | -4,235 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Jan -21 |
4,870.77 AUD | -2,934 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Jan -21 |
11,713.32 AUD | 7,408 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
27 -Jan -21 |
6,144.57 AUD | 3,886 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Jan -21 |
31,292.35 AUD | 19,776 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Jan -21 |
1,049.03 AUD | 666 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Jan -21 |
150,717.41 AUD | 95,216 Shares |
| Credit Suisse Equities (Australia) Limited |
27 -Jan -21 |
4,142.47 AUD | 2,633 Shares |
| Credit Suisse Equities (Australia) Limited |
28 -Jan -21 |
29,827.06 AUD | -18,215 Shares |
| Credit Suisse Equities (Australia) Limited |
28 -Jan -21 |
1,176.47 AUD | -733 Shares |
| Credit Suisse Equities (Australia) Limited |
28 -Jan -21 |
36,982.72 AUD | -22,916 Shares |
| Credit Suisse Equities (Australia) Limited |
28 -Jan -21 |
4,310.04 AUD | -2,656 Shares |
| Credit Suisse Equities (Australia) Limited |
28 -Jan -21 |
144,612.85 AUD | -89,608 Shares |
| Credit Suisse Equities (Australia) Limited |
28 -Jan -21 |
7,786.77 AUD | -4,825 Shares |
| Credit Suisse Equities (Australia) Limited |
28 -Jan -21 |
10,325.61 AUD | -6,345 Shares |
| Credit Suisse Equities (Australia) Limited |
28 -Jan -21 |
3,486.20 AUD | -2,129 Shares |
| Credit Suisse Equities (Australia) Limited |
28 -Jan -21 |
14,145.11 AUD | 9,133 Shares |
| Credit Suisse Equities (Australia) Limited |
28 -Jan -21 |
13,965.29 AUD | 9,068 Shares |
| Credit Suisse Equities (Australia) Limited |
28 -Jan -21 |
37,655.0 AUD | 24,329 Shares |
| Credit Suisse Equities (Australia) Limited |
28 -Jan -21 |
5,969.0 AUD | 3,875 Shares |
| Credit Suisse Equities (Australia) Limited |
28 -Jan -21 |
31,435.46 AUD | 20,126 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Jan -21 |
26,694.47 AUD | -16,850 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Jan -21 |
17,222.50 AUD | -10,885 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Jan -21 |
162,652.49 AUD | -102,669 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Jan -21 |
7,037.20 AUD | -4,442 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Jan -21 |
1,784.26 AUD | -1,126 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Jan -21 |
4,184.11 AUD | -2,643 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
29 -Jan -21 |
1,782.24 AUD | -1,128 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Jan -21 |
1.58 AUD | 1 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Jan -21 |
1,431.14 AUD | 900 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Jan -21 |
771.90 AUD | 487 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Jan -21 |
21,041.96 AUD | 13,286 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Jan -21 |
14,825.32 AUD | 9,292 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Jan -21 |
8,707.25 AUD | 5,554 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Jan -21 |
28,207.26 AUD | 17,708 Shares |
| Credit Suisse Equities (Australia) Limited |
29 -Jan -21 |
53,695.68 AUD | 33,915 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Feb -21 |
44,125.51 AUD | -28,576 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Feb -21 |
11,647.49 AUD | -7,543 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Feb -21 |
131,866.82 AUD | -86,123 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Feb -21 |
6,781.27 AUD | -4,398 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Feb -21 |
19,367.01 AUD | -12,534 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Feb -21 |
9,671.48 AUD | -6,284 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Feb -21 |
287,150.85 AUD | -185,961 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Feb -21 |
14,723.05 AUD | -9,493 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Feb -21 |
1,940.60 AUD | -1,252 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Feb -21 |
647.17 AUD | 411 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Feb -21 |
491.81 AUD | 314 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Feb -21 |
13,545.23 AUD | 8,606 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Feb -21 |
44,328.34 AUD | 28,171 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Feb -21 |
52,595.75 AUD | 33,628 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Feb -21 |
855.90 AUD | 540 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
408,272.18 AUD | -257,006 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
15,357.38 AUD | -9,677 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
630.83 AUD | -398 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
5,647.42 AUD | -3,566 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
18.98 AUD | -12 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
58,179.62 AUD | -36,567 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
41,435.68 AUD | -26,145 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
444.89 AUD | -282 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
2,677.92 AUD | 1,696 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
54,662.30 AUD | 34,864 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
10,069.10 AUD | 6,434 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
2,340.23 AUD | 1,500 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
65,632.59 AUD | 41,933 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
241,156.97 AUD | 154,064 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
206,842.21 AUD | 131,823 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
255.10 AUD | 163 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Feb -21 |
29,898.86 AUD | 19,100 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Feb -21 |
13,263.92 AUD | -8,578 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Feb -21 |
17,396.10 AUD | -11,370 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Feb -21 |
19,597.99 AUD | -12,619 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Feb -21 |
17,478.40 AUD | -11,278 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Feb -21 |
2,616.21 AUD | -1,671 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Feb -21 |
29,830.49 AUD | -18,927 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Feb -21 |
5,577.06 AUD | -3,602 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
3 -Feb -21 |
8,511.09 AUD | 5,222 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Feb -21 |
36,261.08 AUD | 22,335 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Feb -21 |
236,192.55 AUD | 145,461 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Feb -21 |
76,801.02 AUD | 47,362 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Feb -21 |
2,221.53 AUD | 1,380 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Feb -21 |
5,651.74 AUD | 3,526 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Feb -21 |
8,075.06 AUD | 4,954 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Feb -21 |
841.35 AUD | 525 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Feb -21 |
1,861.40 AUD | 1,135 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Feb -21 |
8,690.22 AUD | -5,518 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Feb -21 |
8,167.53 AUD | -5,215 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Feb -21 |
1,363.58 AUD | -872 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Feb -21 |
594.70 AUD | -380 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Feb -21 |
68.56 AUD | -44 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Feb -21 |
41,815.80 AUD | 25,525 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Feb -21 |
114,079.67 AUD | 69,494 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Feb -21 |
11,269.93 AUD | 6,872 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Feb -21 |
11,483.88 AUD | 6,918 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Feb -21 |
30,242.21 AUD | 18,456 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Feb -21 |
167,137.29 AUD | 102,120 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Feb -21 |
1,470.06 AUD | 896 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Feb -21 |
5,757.22 AUD | -3,586 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Feb -21 |
71,672.36 AUD | -44,406 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Feb -21 |
82.25 AUD | -51 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
5 -Feb -21 |
815.67 AUD | -513 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Feb -21 |
6,364.97 AUD | 3,863 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Feb -21 |
64,135.39 AUD | 38,771 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Feb -21 |
44,243.31 AUD | 26,710 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Feb -21 |
23,708.13 AUD | 14,287 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Feb -21 |
6,252.71 AUD | 3,798 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Feb -21 |
111,232.65 AUD | 67,168 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Feb -21 |
198,331.02 AUD | 119,944 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Feb -21 |
359,279.45 AUD | 216,678 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Feb -21 |
12,518.13 AUD | 7,556 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Feb -21 |
19,808.42 AUD | -12,194 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Feb -21 |
23,064.95 AUD | -14,107 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Feb -21 |
8,714.01 AUD | -5,315 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Feb -21 |
18,553.85 AUD | -11,418 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Feb -21 |
1,003.20 AUD | -608 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Feb -21 |
1,846.46 AUD | -1,126 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Feb -21 |
2,505.80 AUD | 1,474 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Feb -21 |
24,028.20 AUD | 14,134 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Feb -21 |
52,093.76 AUD | 30,112 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Feb -21 |
5,361.27 AUD | 3,099 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Feb -21 |
160,493.82 AUD | 94,436 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Feb -21 |
48,017.77 AUD | 28,164 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Feb -21 |
112,210.29 AUD | 65,705 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Feb -21 |
41,074.37 AUD | 24,006 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
8 -Feb -21 |
623.79 AUD | 365 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Feb -21 |
7,196.22 AUD | -4,352 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Feb -21 |
11,808.0 AUD | -7,200 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Feb -21 |
547.79 AUD | -333 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Feb -21 |
3,799.33 AUD | -2,294 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Feb -21 |
50,405.47 AUD | -30,413 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Feb -21 |
86,045.25 AUD | -51,684 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Feb -21 |
35,282.34 AUD | 20,849 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Feb -21 |
24,681.97 AUD | 14,649 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Feb -21 |
15,197.79 AUD | 8,981 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Feb -21 |
226.10 AUD | 133 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Feb -21 |
10,663.66 AUD | 6,323 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Feb -21 |
4,384.17 AUD | -2,537 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Feb -21 |
3,572.36 AUD | -2,085 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Feb -21 |
113,917.51 AUD | -66,634 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Feb -21 |
6,315.32 AUD | -3,722 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Feb -21 |
3,150.79 AUD | 1,933 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Feb -21 |
40,438.69 AUD | 24,823 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Feb -21 |
26,762.28 AUD | 16,360 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Feb -21 |
11,880.80 AUD | 7,249 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Feb -21 |
703.50 AUD | 420 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Feb -21 |
64,754.42 AUD | 39,963 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Feb -21 |
223,308.76 AUD | 136,610 Shares |
| Credit Suisse Equities (Australia) Limited |
10 -Feb -21 |
40,046.93 AUD | 24,466 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
11 -Feb -21 |
27,406.44 AUD | -16,206 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Feb -21 |
30,872.16 AUD | -18,329 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Feb -21 |
1,617.63 AUD | -960 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Feb -21 |
20.31 AUD | -12 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Feb -21 |
1,685.08 AUD | -1,003 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Feb -21 |
1,689.83 AUD | -1,000 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Feb -21 |
87,173.76 AUD | 54,419 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Feb -21 |
127.58 AUD | 81 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Feb -21 |
11,951.96 AUD | 7,474 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Feb -21 |
11,601.47 AUD | 7,389 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Feb -21 |
138,610.25 AUD | 87,007 Shares |
| Credit Suisse Equities (Australia) Limited |
11 -Feb -21 |
70,538.72 AUD | 44,126 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Feb -21 |
267.61 AUD | -163 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Feb -21 |
16,951.69 AUD | -10,529 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Feb -21 |
13,270.50 AUD | -8,175 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Feb -21 |
2,265.27 AUD | -1,407 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Feb -21 |
10,383.32 AUD | -6,355 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Feb -21 |
18,272.67 AUD | -11,198 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Feb -21 |
45,407.29 AUD | -27,877 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Feb -21 |
348.54 AUD | 222 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Feb -21 |
28,312.20 AUD | 17,976 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Feb -21 |
125,696.22 AUD | 80,073 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Feb -21 |
85,023.36 AUD | 54,418 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Feb -21 |
85,711.87 AUD | 54,323 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
12 -Feb -21 |
26,846.55 AUD | 17,118 Shares |
| Credit Suisse Equities (Australia) Limited |
12 -Feb -21 |
1,394.16 AUD | 888 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
5,993.65 AUD | -3,770 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
3.15 AUD | -2 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
2,197.43 AUD | -1,369 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
14,324.63 AUD | -9,095 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
3,006.43 AUD | -1,900 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
55,666.48 AUD | -35,031 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
638.42 AUD | -401 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
76,046.62 AUD | -47,899 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
13,324.92 AUD | -8,389 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
1,516.73 AUD | -963 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
10,878.08 AUD | -6,795 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
1,514.86 AUD | -941 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
15,415.29 AUD | 9,697 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
37,628.59 AUD | 23,767 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
1.58 AUD | 1 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
909.03 AUD | 579 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
9,586.90 AUD | 6,035 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
90,042.03 AUD | 56,623 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
1,626.04 AUD | 1,029 Shares |
| Credit Suisse Equities (Australia) Limited |
15 -Feb -21 |
216,393.55 AUD | 136,347 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Feb -21 |
28,549.15 AUD | -18,114 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Feb -21 |
1,641.18 AUD | -1,045 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
16 -Feb -21 |
55,795.21 AUD | -35,585 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Feb -21 |
102.04 AUD | -65 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Feb -21 |
147.41 AUD | -93 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Feb -21 |
645.27 AUD | -411 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Feb -21 |
228,692.0 AUD | -145,643 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Feb -21 |
75,281.49 AUD | 47,571 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Feb -21 |
157,388.69 AUD | 99,492 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Feb -21 |
1,647.97 AUD | 1,048 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Feb -21 |
318.19 AUD | 202 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Feb -21 |
50,536.02 AUD | 31,942 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Feb -21 |
26,995.39 AUD | 17,102 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Feb -21 |
628.0 AUD | 400 Shares |
| Credit Suisse Equities (Australia) Limited |
16 -Feb -21 |
18,252.63 AUD | 11,494 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Feb -21 |
41,116.54 AUD | -25,863 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Feb -21 |
4,488.76 AUD | -2,850 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Feb -21 |
2,033.38 AUD | 1,307 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Feb -21 |
51,565.80 AUD | 33,055 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Feb -21 |
52,702.16 AUD | 33,874 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Feb -21 |
37,993.51 AUD | 24,372 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Feb -21 |
3,207.17 AUD | 2,059 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Feb -21 |
2,421.12 AUD | 1,552 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Feb -21 |
4,440.08 AUD | 2,846 Shares |
| Credit Suisse Equities (Australia) Limited |
17 -Feb -21 |
162,636.01 AUD | 104,424 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Feb -21 |
47,586.06 AUD | -30,094 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
18 -Feb -21 |
4,019.42 AUD | -2,550 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Feb -21 |
612.29 AUD | -390 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Feb -21 |
6,823.67 AUD | -4,300 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Feb -21 |
3,762.31 AUD | -2,389 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Feb -21 |
3,816.67 AUD | -2,431 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Feb -21 |
734.47 AUD | 480 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Feb -21 |
5,612.38 AUD | 3,669 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Feb -21 |
250.21 AUD | 163 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Feb -21 |
25,615.08 AUD | 16,669 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Feb -21 |
41,603.31 AUD | 27,192 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Feb -21 |
1,892.24 AUD | 1,249 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Feb -21 |
9,160.59 AUD | 5,957 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Feb -21 |
113,923.12 AUD | 74,432 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Feb -21 |
8,450.11 AUD | 5,494 Shares |
| Credit Suisse Equities (Australia) Limited |
18 -Feb -21 |
24,483.74 AUD | 16,044 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Feb -21 |
3,964.16 AUD | -2,540 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Feb -21 |
1,257.57 AUD | -801 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Feb -21 |
26.47 AUD | -17 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Feb -21 |
39,002.94 AUD | -24,993 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Feb -21 |
2,096.67 AUD | -1,345 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Feb -21 |
48,506.65 AUD | -31,210 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Feb -21 |
9,533.80 AUD | 6,419 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Feb -21 |
6,631.72 AUD | 4,466 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Feb -21 |
15,274.85 AUD | 10,418 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
19 -Feb -21 |
46,044.73 AUD | 30,964 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Feb -21 |
208,938.23 AUD | 140,578 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Feb -21 |
7,349.05 AUD | 4,950 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Feb -21 |
131,887.67 AUD | 88,807 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Feb -21 |
46,739.99 AUD | 31,786 Shares |
| Credit Suisse Equities (Australia) Limited |
19 -Feb -21 |
13,208.54 AUD | 8,862 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
1,131.90 AUD | -735 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
39.74 AUD | -26 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
255,434.17 AUD | -166,504 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
61,723.96 AUD | -40,208 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
3,393.04 AUD | -2,211 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
949.91 AUD | -627 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
3,921.69 AUD | -2,552 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
1,300.58 AUD | -848 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
106,596.51 AUD | 64,305 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
2,739.60 AUD | 1,631 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
83,116.26 AUD | 52,436 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
87,419.63 AUD | 52,507 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
5,941.84 AUD | 3,552 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
5,310.34 AUD | 3,199 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
145,834.20 AUD | 86,937 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
279,343.85 AUD | 166,400 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
9,962.0 AUD | 5,860 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
91,856.50 AUD | 55,483 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
73,397.71 AUD | 44,065 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
319,025.76 AUD | 193,662 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
5,725.80 AUD | 3,411 Shares |
| Credit Suisse Equities (Australia) Limited |
22 -Feb -21 |
46,899.60 AUD | 27,588 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
621.60 AUD | -420 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
26,148.31 AUD | -17,640 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
9,197.31 AUD | -6,201 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
113,857.06 AUD | -76,578 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
1,125.63 AUD | -758 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
13,162.64 AUD | -8,862 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
203,390.65 AUD | -136,920 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
143.49 AUD | -96 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
2,670.42 AUD | 1,560 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
79,789.39 AUD | 47,090 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
4,015.80 AUD | 2,328 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
2,610.44 AUD | 1,534 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
32,840.56 AUD | 19,316 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
897.21 AUD | 534 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
77,221.90 AUD | 45,275 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
50,683.20 AUD | 30,200 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
30,296.07 AUD | 17,742 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
3,678.32 AUD | 2,162 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
171,695.73 AUD | 101,261 Shares |
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
4,999.92 AUD | 3,012 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
23 -Feb -21 |
19,431.31 AUD | 11,426 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
335.61 AUD | -198 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
30,630.23 AUD | -18,302 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
76,468.37 AUD | -45,964 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
88,939.63 AUD | -53,770 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
87,042.16 AUD | -53,931 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
171,349.38 AUD | -103,087 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
32,380.37 AUD | -19,316 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
5,310.34 AUD | -3,199 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
68,949.61 AUD | -42,082 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
257,545.97 AUD | 142,972 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
256,911.94 AUD | 144,088 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
4,871.86 AUD | 2,737 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
36,407.19 AUD | 20,477 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
20,913.03 AUD | 11,749 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
5,951.02 AUD | 3,346 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
5,266.65 AUD | 2,961 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
6,144.86 AUD | 3,450 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
21,961.64 AUD | 12,338 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
39,859.72 AUD | 22,119 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
19,488.08 AUD | 10,843 Shares |
| Credit Suisse Equities (Australia) Limited |
24 -Feb -21 |
209,041.22 AUD | 116,970 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
55,353.10 AUD | -32,680 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
170,667.38 AUD | -100,890 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
139,172.30 AUD | -81,480 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
63,238.92 AUD | -36,978 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
244,764.85 AUD | -143,000 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
129,246.32 AUD | -75,745 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
76,777.94 AUD | -45,221 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
44,115.47 AUD | -26,659 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
95.75 AUD | -56 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
41,346.53 AUD | -23,969 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
129,374.73 AUD | 71,616 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
119,148.80 AUD | 65,815 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
2,700.0 AUD | 1,500 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
48.47 AUD | 27 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
4,165.20 AUD | 2,314 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
6,149.10 AUD | 3,412 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
45,715.33 AUD | 25,414 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
8,098.07 AUD | 4,487 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
4,863.96 AUD | 2,693 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
4,438.59 AUD | 2,459 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
22,275.10 AUD | 12,336 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
158,559.66 AUD | 87,903 Shares |
| Credit Suisse Equities (Australia) Limited |
25 -Feb -21 |
32,642.08 AUD | 18,185 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
306,007.51 AUD | -171,554 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
19,347.49 AUD | -10,874 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
24,073.33 AUD | -13,547 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
61,651.69 AUD | -34,733 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
4,999.79 AUD | -2,801 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
23.13 AUD | -13 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
4,853.75 AUD | -2,750 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
137,121.28 AUD | -77,856 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
133.25 AUD | -75 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
133.49 AUD | -75 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
6,587.27 AUD | 3,751 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
14,332.40 AUD | 8,098 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
59,366.79 AUD | 33,737 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
1,559.40 AUD | 891 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
35,536.12 AUD | 20,243 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
11,976.34 AUD | 6,769 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
23,285.23 AUD | 13,302 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
2,166.50 AUD | 1,238 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
130,481.76 AUD | 74,398 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
4,979.42 AUD | 2,805 Shares |
| Credit Suisse Equities (Australia) Limited |
26 -Feb -21 |
9,494.04 AUD | 5,322 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
135,490.56 AUD | -75,395 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
1,776.89 AUD | -979 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
48.60 AUD | -27 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
95,370.02 AUD | -52,777 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
26.96 AUD | -15 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
9,997.68 AUD | -5,562 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
7,969.36 AUD | -4,415 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
21,988.43 AUD | -12,214 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
2,657.65 AUD | 1,578 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
5,829.92 AUD | 3,463 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
4,074.85 AUD | 2,415 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
33,828.31 AUD | 19,987 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
25,731.35 AUD | 15,139 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
169.02 AUD | 100 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
4,464.11 AUD | 2,647 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
35,921.69 AUD | 21,250 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
15,583.06 AUD | 9,280 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
56,887.45 AUD | 33,496 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
1,361.82 AUD | 819 Shares |
| Credit Suisse Equities (Australia) Limited |
1 -Mar -21 |
59,992.36 AUD | 35,703 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
9,998.45 AUD | -5,738 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
93,765.88 AUD | -53,250 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
5,827.50 AUD | -3,330 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
8,254.30 AUD | -4,691 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
65,939.15 AUD | -37,570 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
205,349.46 AUD | -116,879 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
2,796.30 AUD | -1,588 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
24,547.30 AUD | -14,033 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
4,789.82 AUD | -2,719 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
9,623.83 AUD | 5,717 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
140.25 AUD | 85 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
22,402.18 AUD | 13,552 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
8,290.80 AUD | 4,968 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
652.99 AUD | 381 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
821.45 AUD | 479 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
1,250.30 AUD | 727 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
7,890.78 AUD | 4,696 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
100,377.72 AUD | 59,958 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
119,754.69 AUD | 70,746 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
4,491.41 AUD | 2,635 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
105,662.56 AUD | 61,687 Shares |
| Credit Suisse Equities (Australia) Limited |
2 -Mar -21 |
44,056.65 AUD | 26,701 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
106,875.21 AUD | -63,214 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
3,180.58 AUD | -1,900 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
147,219.95 AUD | -87,270 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
4,617.08 AUD | -2,732 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
70,855.18 AUD | -42,088 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
3,685.0 AUD | -2,200 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
65,984.36 AUD | -39,044 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
4,403.06 AUD | -2,619 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
15.07 AUD | -9 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
169,420.95 AUD | 100,379 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
11,549.11 AUD | 6,835 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
104,375.70 AUD | 62,282 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
5,475.12 AUD | 3,259 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
26,236.46 AUD | 15,491 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
479,126.08 AUD | 284,033 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
1,558.78 AUD | 925 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
4,960.08 AUD | 2,988 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
10,179.62 AUD | 6,021 Shares |
| Credit Suisse Equities (Australia) Limited |
3 -Mar -21 |
3,613.07 AUD | 2,198 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Mar -21 |
9,041.99 AUD | -5,350 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Mar -21 |
1,465.20 AUD | -888 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Mar -21 |
108,420.63 AUD | -64,583 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Mar -21 |
16,370.21 AUD | -9,513 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Mar -21 |
593,266.16 AUD | -357,145 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Mar -21 |
25,814.04 AUD | -15,540 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Mar -21 |
38,119.60 AUD | -22,644 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Mar -21 |
4,003.61 AUD | -2,316 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Mar -21 |
17,604.25 AUD | 10,624 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Mar -21 |
17,589.24 AUD | 10,539 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Mar -21 |
6,564.91 AUD | 3,923 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Mar -21 |
2,433.75 AUD | 1,475 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Mar -21 |
14,248.39 AUD | 8,464 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Mar -21 |
28,204.57 AUD | 16,844 Shares |
| Credit Suisse Equities (Australia) Limited |
4 -Mar -21 |
24,515.02 AUD | 14,536 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Mar -21 |
257,436.13 AUD | -153,431 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Mar -21 |
29,997.22 AUD | -17,753 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
5 -Mar -21 |
5,654.60 AUD | -3,353 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Mar -21 |
2,706.92 AUD | -1,597 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Mar -21 |
59.33 AUD | -35 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Mar -21 |
2,125.53 AUD | -1,254 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Mar -21 |
101,975.17 AUD | -60,771 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Mar -21 |
4,900.32 AUD | -2,988 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Mar -21 |
179,446.19 AUD | -106,344 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Mar -21 |
2,106.85 AUD | 1,286 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Mar -21 |
4,005.97 AUD | 2,478 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Mar -21 |
65,562.94 AUD | 40,078 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Mar -21 |
3,963.82 AUD | 2,462 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Mar -21 |
50,192.56 AUD | 30,868 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Mar -21 |
30,070.85 AUD | 18,488 Shares |
| Credit Suisse Equities (Australia) Limited |
5 -Mar -21 |
26,451.93 AUD | 16,452 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Mar -21 |
20,318.91 AUD | -12,189 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Mar -21 |
2,284.89 AUD | -1,366 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Mar -21 |
1,455.83 AUD | -885 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Mar -21 |
5,573.60 AUD | -3,331 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Mar -21 |
29,998.05 AUD | -17,946 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Mar -21 |
4,387.22 AUD | -2,667 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Mar -21 |
11,303.55 AUD | -6,750 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Mar -21 |
75.44 AUD | 46 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Mar -21 |
6,254.90 AUD | 3,873 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Mar -21 |
23,694.73 AUD | 14,615 Shares |
|---|---|---|---|
| Credit Suisse Equities (Australia) Limited |
8 -Mar -21 |
7,303.02 AUD | 4,519 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Mar -21 |
49,861.26 AUD | 30,446 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Mar -21 |
30,802.98 AUD | 19,021 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Mar -21 |
2,311.50 AUD | 1,419 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Mar -21 |
4,768.51 AUD | 2,913 Shares |
| Credit Suisse Equities (Australia) Limited |
8 -Mar -21 |
3,968.84 AUD | 2,431 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Mar -21 |
581,163.68 AUD | -355,672 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Mar -21 |
19,073.99 AUD | -11,723 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Mar -21 |
65.60 AUD | -40 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Mar -21 |
1,455.30 AUD | -882 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Mar -21 |
29,952.45 AUD | -18,153 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Mar -21 |
1,506.74 AUD | -937 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Mar -21 |
58,398.16 AUD | -35,837 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Mar -21 |
5,395.79 AUD | -3,331 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Mar -21 |
21,004.70 AUD | 12,647 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Mar -21 |
1,188.93 AUD | 714 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Mar -21 |
34.07 AUD | 21 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Mar -21 |
25,059.15 AUD | 15,093 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Mar -21 |
11,499.98 AUD | 6,937 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Mar -21 |
33,107.17 AUD | 19,966 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Mar -21 |
21,813.17 AUD | 13,101 Shares |
| Credit Suisse Equities (Australia) Limited |
9 -Mar -21 |
64.94 AUD | 39 Shares |
| Credit Suisse Securities (Europe) Limited |
12 -Nov -20 |
70,665.60 AUD | 44,166 Shares |
| Credit Suisse Securities (Europe) Limited |
30 -Nov -20 |
31,601.41 AUD | 18,923 Shares | |
|---|---|---|---|---|
| Credit Suisse Securities (Europe) Limited |
4 -Dec -20 |
25,094.92 AUD | 13,903 Shares | |
| Credit Suisse Securities (Europe) Limited |
5 -Mar -21 |
217,994.70 AUD | 132,118 Shares | |
| Credit Suisse AG, Dublin branch |
10 -Nov -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
35,000 Shares |
| Credit Suisse AG, Dublin branch |
11 -Nov -20 |
Refer to Annexure C of Notice |
Stock borrowed under OSLA |
35,000 Shares |
| Credit Suisse AG, Dublin branch |
12 -Nov -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-35,000 Shares |
| Credit Suisse AG, Dublin branch |
12 -Nov -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
70,000 Shares |
| Credit Suisse AG, Dublin branch |
13 -Nov -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
108,323 Shares |
| Credit Suisse AG, Dublin branch |
13 -Nov -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
278,609 Shares |
| Credit Suisse AG, Dublin branch |
16 -Nov -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-70,000 Shares |
| Credit Suisse AG, Dublin branch |
16 -Nov -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-24,313 Shares |
| Credit Suisse AG, Dublin branch |
16 -Nov -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-108,323 Shares |
| Credit Suisse AG, Dublin branch |
16 -Nov -20 |
Refer to Annexure C of Notice |
Stock borrowed under OSLA |
13,000 Shares |
| Credit Suisse AG, Dublin branch |
16 -Nov -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
108,323 Shares |
| Credit Suisse AG, Dublin branch |
17 -Nov -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-108,323 Shares |
| Credit Suisse AG, Dublin branch |
17 -Nov -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
121,323 Shares |
| Credit Suisse AG, Dublin branch |
17 -Nov -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
121,323 Shares |
| Credit Suisse AG, Dublin branch |
18 -Nov -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-121,323 Shares |
| Credit Suisse AG, Dublin branch |
18 -Nov -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
48,963 Shares |
| Credit Suisse AG, Dublin branch |
18 -Nov -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
72,360 Shares |
| Credit Suisse AG, Dublin branch |
19 -Nov -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-121,323 Shares |
| Credit Suisse AG, Dublin branch |
19 -Nov -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-55,407 Shares |
| Credit Suisse AG, Dublin branch |
19 -Nov -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-48,963 Shares |
| Credit Suisse AG, Dublin branch |
19 -Nov -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-72,360 Shares |
| Credit Suisse AG, Dublin Refer to Annexure C of Stock borrowed under 19 -Nov -20 4,000 Shares branch Notice OSLA Stock borrowed under Credit Suisse AG, Dublin Refer to Annexure C of 19 -Nov -20 Master prime brokerage 92,004 Shares branch Notice agreement Stock borrowed under Credit Suisse AG, Dublin Refer to Annexure C of 19 -Nov -20 Master prime brokerage 29,319 Shares branch Notice agreement Stock borrowed under Credit Suisse AG, Dublin Refer to Annexure C of 19 -Nov -20 Master prime brokerage 35,096 Shares branch Notice agreement Stock returned under Credit Suisse AG, Dublin Refer to Annexure C of 20 -Nov -20 Master prime brokerage -48,593 Shares branch Notice agreement Stock returned under Credit Suisse AG, Dublin Refer to Annexure C of 20 -Nov -20 Master prime brokerage -92,004 Shares branch Notice agreement Stock returned under Credit Suisse AG, Dublin Refer to Annexure C of 20 -Nov -20 Master prime brokerage -29,319 Shares branch Notice agreement Stock borrowed under Credit Suisse AG, Dublin Refer to Annexure C of 20 -Nov -20 Master prime brokerage 35,096 Shares branch Notice agreement Stock returned under Credit Suisse AG, Dublin Refer to Annexure C of 23 -Nov -20 Master prime brokerage -35,096 Shares branch Notice agreement Stock borrowed under Credit Suisse AG, Dublin Refer to Annexure C of 23 -Nov -20 Master prime brokerage 85,000 Shares branch Notice agreement Credit Suisse AG, Dublin Refer to Annexure C of Stock borrowed under 24 -Nov -20 1,000 Shares branch Notice OSLA Stock borrowed under Credit Suisse AG, Dublin Refer to Annexure C of 24 -Nov -20 Master prime brokerage 85,000 Shares branch Notice agreement Stock borrowed under Credit Suisse AG, Dublin Refer to Annexure C of 24 -Nov -20 Master prime brokerage 35,096 Shares branch Notice agreement Stock returned under Credit Suisse AG, Dublin Refer to Annexure C of 26 -Nov -20 Master prime brokerage -35,096 Shares branch Notice agreement Stock returned under Credit Suisse AG, Dublin Refer to Annexure C of 26 -Nov -20 Master prime brokerage -85,000 Shares branch Notice agreement Stock returned under Credit Suisse AG, Dublin Refer to Annexure C of 26 -Nov -20 Master prime brokerage -35,096 Shares branch Notice agreement Stock returned under Credit Suisse AG, Dublin Refer to Annexure C of 26 -Nov -20 Master prime brokerage -29,319 Shares branch Notice agreement Stock returned under Credit Suisse AG, Dublin Refer to Annexure C of 26 -Nov -20 Master prime brokerage -54,454 Shares branch Notice agreement Credit Suisse AG, Dublin Refer to Annexure C of Stock borrowed under 26 -Nov -20 10,000 Shares branch Notice OSLA Credit Suisse AG, Dublin Refer to Annexure C of Stock borrowed under 1 -Dec -20 15,000 Shares branch Notice OSLA Stock borrowed under Credit Suisse AG, Dublin Refer to Annexure C of 1 -Dec -20 Master prime brokerage 118,000 Shares branch Notice agreement Stock borrowed under Credit Suisse AG, Dublin Refer to Annexure C of 3 -Dec -20 Master prime brokerage 118,000 Shares branch Notice agreement Stock returned under Credit Suisse AG, Dublin Refer to Annexure C of 7 -Dec -20 Master prime brokerage -118,000 Shares branch Notice agreement |
Credit Suisse AG, Dublin branch |
19 -Nov -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-86,323 Shares |
|---|---|---|---|---|---|
| Credit Suisse AG, Dublin branch |
7 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-35,000 Shares |
|---|---|---|---|---|
| Credit Suisse AG, Dublin branch |
7 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-66,869 Shares |
| Credit Suisse AG, Dublin branch |
7 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-14,035 Shares |
| Credit Suisse AG, Dublin branch |
7 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
116,000 Shares |
| Credit Suisse AG, Dublin branch |
7 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
85,000 Shares |
| Credit Suisse AG, Dublin branch |
8 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
35,323 Shares |
| Credit Suisse AG, Dublin branch |
8 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
116,000 Shares |
| Credit Suisse AG, Dublin branch |
10 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-116,000 Shares |
| Credit Suisse AG, Dublin branch |
10 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-35,323 Shares |
| Credit Suisse AG, Dublin branch |
10 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-35,096 Shares |
| Credit Suisse AG, Dublin branch |
10 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-7,939 Shares |
| Credit Suisse AG, Dublin branch |
10 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-70,965 Shares |
| Credit Suisse AG, Dublin branch |
10 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-34,154 Shares |
| Credit Suisse AG, Dublin branch |
10 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under OSLA |
4,000 Shares |
| Credit Suisse AG, Dublin branch |
11 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
73,200 Shares |
| Credit Suisse AG, Dublin branch |
15 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
73,200 Shares |
| Credit Suisse AG, Dublin branch |
15 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
15,523 Shares |
| Credit Suisse AG, Dublin branch |
16 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
146,400 Shares |
| Credit Suisse AG, Dublin branch |
16 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
378,000 Shares |
| Credit Suisse AG, Dublin branch |
16 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
400,000 Shares |
| Credit Suisse AG, Dublin branch |
16 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
446,000 Shares |
| Credit Suisse AG, Dublin branch |
17 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-73,200 Shares |
| Credit Suisse AG, Dublin branch |
17 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
76,000 Shares |
| Credit Suisse AG, Dublin branch |
17 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
155,323 Shares |
| Credit Suisse AG, Dublin branch |
17 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-15,523 Shares |
|---|---|---|---|---|
| Credit Suisse AG, Dublin branch |
21 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-155,323 Shares |
| Credit Suisse AG, Dublin branch |
21 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-4,319 Shares |
| Credit Suisse AG, Dublin branch |
21 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-146,400 Shares |
| Credit Suisse AG, Dublin branch |
22 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
155,323 Shares |
| Credit Suisse AG, Dublin branch |
23 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
123,000 Shares |
| Credit Suisse AG, Dublin branch |
23 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
4,453 Shares |
| Credit Suisse AG, Dublin branch |
23 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
1,493 Shares |
| Credit Suisse AG, Dublin branch |
23 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
1,391 Shares |
| Credit Suisse AG, Dublin branch |
23 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
35,323 Shares |
| Credit Suisse AG, Dublin branch |
24 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-155,323 Shares |
| Credit Suisse AG, Dublin branch |
24 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-92,004 Shares |
| Credit Suisse AG, Dublin branch |
24 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-72,360 Shares |
| Credit Suisse AG, Dublin branch |
24 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-108,323 Shares |
| Credit Suisse AG, Dublin branch |
24 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-70,000 Shares |
| Credit Suisse AG, Dublin branch |
24 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-35,000 Shares |
| Credit Suisse AG, Dublin branch |
24 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-155,323 Shares |
| Credit Suisse AG, Dublin branch |
24 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-131,035 Shares |
| Credit Suisse AG, Dublin branch |
24 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-35,000 Shares |
| Credit Suisse AG, Dublin branch |
29 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-155,323 Shares |
| Credit Suisse AG, Dublin branch |
29 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
155,323 Shares |
| Credit Suisse AG, Dublin branch |
30 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-123,000 Shares |
| Credit Suisse AG, Dublin branch |
30 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-1,391 Shares |
| Credit Suisse AG, Dublin branch |
30 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
121,000 Shares |
| Credit Suisse AG, Dublin branch |
31 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-155,323 Shares |
|---|---|---|---|---|
| Credit Suisse AG, Dublin branch |
31 -Dec -20 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-155,323 Shares |
| Credit Suisse AG, Dublin branch |
31 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
153,000 Shares |
| Credit Suisse AG, Dublin branch |
31 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
3,554 Shares |
| Credit Suisse AG, Dublin branch |
31 -Dec -20 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
899 Shares |
| Credit Suisse AG, Dublin branch |
4 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-378,000 Shares |
| Credit Suisse AG, Dublin branch |
4 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-4,453 Shares |
| Credit Suisse AG, Dublin branch |
4 -Jan -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
2,462 Shares |
| Credit Suisse AG, Dublin branch |
4 -Jan -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
1,556 Shares |
| Credit Suisse AG, Dublin branch |
5 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-1,231 Shares |
| Credit Suisse AG, Dublin branch |
5 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-1,231 Shares |
| Credit Suisse AG, Dublin branch |
5 -Jan -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
121,000 Shares |
| Credit Suisse AG, Dublin branch |
5 -Jan -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
785 Shares |
| Credit Suisse AG, Dublin branch |
5 -Jan -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
2,462 Shares |
| Credit Suisse AG, Dublin branch |
5 -Jan -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
152,861 Shares |
| Credit Suisse AG, Dublin branch |
5 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-2,555 Shares |
| Credit Suisse AG, Dublin branch |
5 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-2,555 Shares |
| Credit Suisse AG, Dublin branch |
5 -Jan -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
2,555 Shares |
| Credit Suisse AG, Dublin branch |
6 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-121,000 Shares |
| Credit Suisse AG, Dublin branch |
6 -Jan -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
307,738 Shares |
| Credit Suisse AG, Dublin branch |
6 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-3,650 Shares |
| Credit Suisse AG, Dublin branch |
7 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-2,462 Shares |
| Credit Suisse AG, Dublin branch |
7 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-152,861 Shares |
| Credit Suisse AG, Dublin branch |
7 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-64,292 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-88,123 Shares |
|---|---|---|---|---|
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-73,200 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-104,685 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under OSLA |
-13,000 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under OSLA |
-4,000 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under OSLA |
-4,000 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under OSLA |
-5,000 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under OSLA |
-10,000 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under OSLA |
-1,000 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-2,765 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under OSLA |
-1,000 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under OSLA |
-2,000 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-785 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-3,554 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-103,213 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under OSLA |
-35,000 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under OSLA |
-15,000 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-1,493 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under OSLA |
-2,000 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under OSLA |
-8,000 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-899 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-15,523 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under OSLA |
-17,000 Shares |
| Credit Suisse AG, Dublin branch |
7-Jan-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-2,555 Shares |
| Credit Suisse AG, Dublin branch |
7 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-1,556 Shares |
|---|---|---|---|---|
| Credit Suisse AG, Dublin branch |
7 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-35,000 Shares |
| Credit Suisse AG, Dublin branch |
7 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-35,323 Shares |
| Credit Suisse AG, Dublin branch |
7 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-48,963 Shares |
| Credit Suisse AG, Dublin branch |
7 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-35,323 Shares |
| Credit Suisse AG, Dublin branch |
7 -Jan -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
2,567 Shares |
| Credit Suisse AG, Dublin branch |
8 -Jan -21 |
Refer to Annexure C of Notice |
Stock borrowed under OSLA |
47,000 Shares |
| Credit Suisse AG, Dublin branch |
8 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-2,775 Shares |
| Credit Suisse AG, Dublin branch |
11 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-2,462 Shares |
| Credit Suisse AG, Dublin branch |
12 -Jan -21 |
Refer to Annexure C of Notice |
Stock borrowed under OSLA |
13,000 Shares |
| Credit Suisse AG, Dublin branch |
12 -Jan -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
98,000 Shares |
| Credit Suisse AG, Dublin branch |
13 -Jan -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
98,000 Shares |
| Credit Suisse AG, Dublin branch |
14 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-98,000 Shares |
| Credit Suisse AG, Dublin branch |
14 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-5,376 Shares |
| Credit Suisse AG, Dublin branch |
14 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under OSLA |
-47,000 Shares |
| Credit Suisse AG, Dublin branch |
14 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under OSLA |
-13,000 Shares |
| Credit Suisse AG, Dublin branch |
14 -Jan -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
51,000 Shares |
| Credit Suisse AG, Dublin branch |
14 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-2,567 Shares |
| Credit Suisse AG, Dublin branch |
15 -Jan -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
51,000 Shares |
| Credit Suisse AG, Dublin branch |
18 -Jan -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-51,000 Shares |
| Credit Suisse AG, Dublin branch |
8 -Feb -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
123,000 Shares |
| Credit Suisse AG, Dublin branch |
8 -Feb -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
362,000 Shares |
| Credit Suisse AG, Dublin branch |
8 -Feb -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
1,324,000 Shares |
| Credit Suisse AG, Dublin branch |
8 -Feb -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
233,000 Shares |
| Credit Suisse AG, Dublin branch |
11 -Feb -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
396,662 Shares |
|---|---|---|---|---|
| Credit Suisse AG, Dublin branch |
12 -Feb -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
418,000 Shares |
| Credit Suisse AG, Dublin branch |
19 -Feb -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-418,000 Shares |
| Credit Suisse AG, Dublin branch |
19 -Feb -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-396,662 Shares |
| Credit Suisse AG, Dublin branch |
23 -Feb -21 |
Refer to Annexure C of Notice |
Stock borrowed under OSLA |
7,000 Shares |
| Credit Suisse AG, Dublin branch |
24 -Feb -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-139 Shares |
| Credit Suisse AG, Dublin branch |
24 -Feb -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-21,753 Shares |
| Credit Suisse AG, Dublin branch |
24 -Feb -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-10,477 Shares |
| Credit Suisse AG, Dublin branch |
1 -Mar -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-121,000 Shares |
| Credit Suisse AG, Dublin branch |
1 -Mar -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-158,738 Shares |
| Credit Suisse AG, Dublin branch |
1 -Mar -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-98,000 Shares |
| Credit Suisse AG, Dublin branch |
1 -Mar -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-51,000 Shares |
| Credit Suisse AG, Dublin branch |
1 -Mar -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-1,324,000 Shares |
| Credit Suisse AG, Dublin branch |
1 -Mar -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-340,247 Shares |
| Credit Suisse AG, Dublin branch |
1 -Mar -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-123,000 Shares |
| Credit Suisse AG, Dublin branch |
1 -Mar -21 |
Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-233,000 Shares |
| Credit Suisse AG, Dublin branch |
3 -Mar -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
738,000 Shares |
| Credit Suisse AG, Dublin branch |
3 -Mar -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
372,000 Shares |
| Credit Suisse AG, Dublin branch |
3 -Mar -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
1,748,000 Shares |
| Credit Suisse AG, Dublin branch |
3 -Mar -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
8,227 Shares |
| Credit Suisse AG, Dublin branch |
3 -Mar -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
4,506 Shares |
| Credit Suisse AG, Dublin branch |
3 -Mar -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
18,528 Shares |
| Credit Suisse AG, Dublin branch |
4 -Mar -21 |
Refer to Annexure C of Notice |
Stock returned under OSLA |
-7,000 Shares |
| Credit Suisse AG, Dublin branch |
4 -Mar -21 |
Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
123,000 Shares |
| Credit Suisse AG, Dublin branch |
4-Mar-21 | Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
122,000 Shares |
|---|---|---|---|---|
| Credit Suisse AG, Dublin branch |
4-Mar-21 | Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
1,391 Shares |
| Credit Suisse AG, Dublin branch |
4-Mar-21 | Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
2,064 Shares |
| Credit Suisse AG, Dublin branch |
4-Mar-21 | Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
240,000 Shares |
| Credit Suisse AG, Dublin branch |
4-Mar-21 | Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
3,033 Shares |
| Credit Suisse AG, Dublin branch |
5-Mar-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-155,323 Shares |
| Credit Suisse AG, Dublin branch |
5-Mar-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-152,861 Shares |
| Credit Suisse AG, Dublin branch |
5-Mar-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-51,000 Shares |
| Credit Suisse AG, Dublin branch |
5-Mar-21 | Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
145,614 Shares |
| Credit Suisse AG, Dublin branch |
8-Mar-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-3,033 Shares |
| Credit Suisse AG, Dublin branch |
8-Mar-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-1,391 Shares |
| Credit Suisse AG, Dublin branch |
8-Mar-21 | Refer to Annexure C of Notice |
Stock borrowed under Master prime brokerage agreement |
101,716 Shares |
| Credit Suisse AG, Dublin branch |
8-Mar-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-18,190 Shares |
| Credit Suisse AG, Dublin branch |
9-Mar-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-116,000 Shares |
| Credit Suisse AG, Dublin branch |
9-Mar-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-98,000 Shares |
| Credit Suisse AG, Dublin branch |
9-Mar-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-123,000 Shares |
| Credit Suisse AG, Dublin branch |
9-Mar-21 | Refer to Annexure C of Notice |
Stock returned under Master prime brokerage agreement |
-112,133 Shares |
This is Annexure "A" referred to in the Form 603 "Notice of initial substantial holder"
Signature Credit Suisse Holdings (Australia) Limited (ACN 008 496 713)
print name Winston Loke capacity Authorised Signatory sign here date 11-Mar-2021
Annexure "C"
This is Annexure "C" referred to in the Form 603 "Notice of initial substantial holder"
| Signature | Credit Suisse Holdings (Australia) Limited (ACN 008 496 713) | |||
|---|---|---|---|---|
| print name | Winston Loke | capacity | Authorised Signatory | |
| sign here | date | 11-Mar-2021 | ||
| Prescribed information | |
|---|---|
| Schedule | |
| Type of agreement | Overseas Securities Lending Agreement |
| Parties to agreement | Credit Suisse AG, Dublin Branch and JP Morgan Chase |
| Transfer date | 4-Mar-2021 |
| Holder of voting rights | Borrower |
| Are there any restrictions on voting rights? | No |
| If yes, detail | N/A |
| Scheduled return date (if any) | N/A |
| Does the borrower have the right to return early? | Yes |
| If yes, detail | At Will |
| Does the lender have the right to recall early? | Yes |
| If yes, detail | With 4 business days prior notice or earlier upon agreement. |
| Will the securities be returned on settlement? | Yes |
| If yes, detail any exceptions | If an event of default occurs in respect of either the lender or the borrower, the obligation of the borrower to deliver the securities to the lender will be netted off against the obligation of the lender to return securities or cash held by the lender as collateral. |
| Prescribed information | |
|---|---|
| Schedule | |
| Type of agreement | Master Prime Brokerage Securities Lending Agreement |
| Parties to agreement | Credit Suisse AG, Dublin Branch and L1 Capital LS (Master) Fund |
| Transfer date | 9-Mar-2021 |
| Holder of voting rights | Borrower |
| Are there any restrictions on voting rights? | No |
| If yes, detail | N/A |
| Scheduled return date (if any) | N/A |
| Does the borrower have the right to return early? | Yes |
| If yes, detail | At Will |
| Does the lender have the right to recall early? | Yes |
| If yes, detail | With 4 business days prior notice or earlier upon agreement. |
| Will the securities be returned on settlement? | Yes |
| If yes, detail any exceptions | If an event of default occurs in respect of either the lender or the borrower, the obligation of the borrower to deliver the securities to the lender will be netted off against the obligation of the lender to return securities or cash held by the lender as collateral. |
| Prescribed information | |
|---|---|
| Schedule | |
| Type of agreement | Master Prime Brokerage Securities Lending Agreement |
| Parties to agreement | Credit Suisse AG, Dublin Branch and Tasman Market Neutral Fund |
| Transfer date | 3-Mar-2021 |
| Holder of voting rights | Borrower |
| Are there any restrictions on voting rights? | No |
| If yes, detail | N/A |
| Scheduled return date (if any) | N/A |
| Does the borrower have the right to return early? | Yes |
| If yes, detail | At Will |
| Does the lender have the right to recall early? | Yes |
| If yes, detail | With 4 business days prior notice or earlier upon agreement. |
| Will the securities be returned on settlement? | Yes |
| If yes, detail any exceptions | If an event of default occurs in respect of either the lender or the borrower, the obligation of the borrower to deliver the securities to the lender will be netted off against the obligation of the lender to return securities or cash held by the lender as collateral. |
| Prescribed information | |
|---|---|
| Schedule | |
| Type of agreement | Master Prime Brokerage Securities Lending Agreement |
| Parties to agreement | Credit Suisse AG, Dublin Branch and Regal Investment Fund |
| Transfer date | 9-Mar-2021 |
| Holder of voting rights | Borrower |
| Are there any restrictions on voting rights? | No |
| If yes, detail | N/A |
| Scheduled return date (if any) | N/A |
| Does the borrower have the right to return early? | Yes |
| If yes, detail | At Will |
| Does the lender have the right to recall early? | Yes |
| If yes, detail | With 4 business days prior notice or earlier upon agreement. |
| Will the securities be returned on settlement? | Yes |
| If yes, detail any exceptions | If an event of default occurs in respect of either the lender or the borrower, the obligation of the borrower to deliver the securities to the lender will be netted off against the obligation of the lender to return securities or cash held by the lender as collateral. |
| Prescribed information | |
|---|---|
| Schedule | |
| Type of agreement | Master Prime Brokerage Securities Lending Agreement |
| Parties to agreement | Credit Suisse AG, Dublin Branch and L1 Long Short Fund Limited |
| Transfer date | 9-Mar-2021 |
| Holder of voting rights | Borrower |
| Are there any restrictions on voting rights? | No |
| If yes, detail | N/A |
| Scheduled return date (if any) | N/A |
| Does the borrower have the right to return early? | Yes |
| If yes, detail | At Will |
| Does the lender have the right to recall early? | Yes |
| If yes, detail | With 4 business days prior notice or earlier upon agreement. |
| Will the securities be returned on settlement? | Yes |
| If yes, detail any exceptions | If an event of default occurs in respect of either the lender or the borrower, the obligation of the borrower to deliver the securities to the lender will be netted off against the obligation of the lender to return securities or cash held by the lender as collateral. |
| Prescribed information | |
|---|---|
| Schedule | |
| Type of agreement | Master Prime Brokerage Securities Lending Agreement |
| Parties to agreement | Credit Suisse AG, Dublin Branch and Regal Australian LS Equity Fund |
| Transfer date | 9-Mar-2021 |
| Holder of voting rights | Borrower |
| Are there any restrictions on voting rights? | No |
| If yes, detail | N/A |
| Scheduled return date (if any) | N/A |
| Does the borrower have the right to return early? | Yes |
| If yes, detail | At Will |
| Does the lender have the right to recall early? | Yes |
| If yes, detail | With 4 business days prior notice or earlier upon agreement. |
| Will the securities be returned on settlement? | Yes |
| If yes, detail any exceptions | If an event of default occurs in respect of either the lender or the borrower, the obligation of the borrower to deliver the securities to the lender will be netted off against the obligation of the lender to return securities or cash held by the lender as collateral. |
| Prescribed information | |
|---|---|
| Schedule | |
| Type of agreement | Master Prime Brokerage Securities Lending Agreement |
| Parties to agreement | Credit Suisse AG, Dublin Branch and Atlantic Absolute Return Fund |
| Transfer date | 4-Jan-2021 |
| Holder of voting rights | Borrower |
| Are there any restrictions on voting rights? | No |
| If yes, detail | N/A |
| Scheduled return date (if any) | N/A |
| Does the borrower have the right to return early? | Yes |
| If yes, detail | At Will |
| Does the lender have the right to recall early? | Yes |
| If yes, detail | With 4 business days prior notice or earlier upon agreement. |
| Will the securities be returned on settlement? | Yes |
| If yes, detail any exceptions | If an event of default occurs in respect of either the lender or the borrower, the obligation of the borrower to deliver the securities to the lender will be netted off against the obligation of the lender to return securities or cash held by the lender as collateral. |
| Prescribed information | |
|---|---|
| Schedule | |
| Type of agreement | Master Prime Brokerage Securities Lending Agreement |
| Parties to agreement | Credit Suisse AG, Dublin Branch and Regal AUS Small Companies Fund |
| Transfer date | 4-Mar-2021 |
| Holder of voting rights | Borrower |
| Are there any restrictions on voting rights? | No |
| If yes, detail | N/A |
| Scheduled return date (if any) | N/A |
| Does the borrower have the right to return early? | Yes |
| If yes, detail | At Will |
| Does the lender have the right to recall early? | Yes |
| If yes, detail | With 4 business days prior notice or earlier upon agreement. |
| Will the securities be returned on settlement? | Yes |
| If yes, detail any exceptions | If an event of default occurs in respect of either the lender or the borrower, the obligation of the borrower to deliver the securities to the lender will be netted off against the obligation of the lender to return securities or cash held by the lender as collateral. |