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PEET LIMITED Major Shareholding Notification 2020

Aug 13, 2020

65600_rns_2020-08-13_c71d0321-59e0-42ec-b0bd-a7a3c1fd49b0.pdf

Major Shareholding Notification

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Form 604

Corporations Act 2001 Section 671B

Notice of change of interests of substantial holder

To Company Name/Scheme

Peet Limited

ACN ~~/ARSN/ABN~~

008 665 834

1. Details of substantial holder (1)

Name Allan Gray Australia Pty Ltd ( Allan Gray Australia ) and its related bodies corporate as set out in Table 1 of Annexure A (together the Group ), as investment manager for the funds or investment mandates listed at Table 2 of Annexure A

ACN ~~/ARSN~~ (if applicable)

112 316 168 (ACN of Allan Gray Australia)

There was a change in the interests of the substantial holder on 12 August 2020 The previous notice was given to the company on 3 September 2020 The previous notice was dated 3 September 2020

2. Previous and present voting power

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

Class of securities (4) Previous notice Present notice
Person’s votes Voting power(5) Person’s votes Voting power(5)
Ordinary shares 94,507,563 19.55% 88,722,096 18.36%

3. Changes in relevant interests

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

Date of change Person whose relevant
interest changed
Nature of
change (6)
Consideration
given in relation
to change (7)
Class and number of
securities affected
Person’s votes
affected
See Annexure A, Tables 2
and 3

4. Present relevant interests

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

Holder of relevant interest Registered holder of
securities
Person entitled to be
registered as holder (8)
Nature of relevant
interest (6)
Class and number
of securities
Person’s
votes
See Annexure A,Tables 2 and 4

5. Changes in association

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

The persons who have become associates (2) of, ceased to be associates of,
holder in relation to voting interests in the company or scheme are as follows:
or have changed the nature of their association (9) with, the substantial
Name and ACN/ARSN (if applicable) Nature of association
See Annexure A,Tables 1 and 2

6. Addresses

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

The addresses of persons named in this form are as follows:
Name Address,
The Group C/- Allan Gray Australia, Level 2 Challis House, 4 Martin Place Sydney , NSW 2000

Signature

print name Elizabeth Lee Company Secretary sign here Date 14 August 2020

DIRECTIONS

(1) If there are a number of substantial holders with similar or related relevant interests (eg a corporation and its related corporations, or the manager and trustee of an equity trust), the names could be included in an annexure to the form. If the relevant interests of a group of persons are essentially similar, they may be referred to throughout the form as a specifically named group if the membership of each group, with the names and addresses of members is clearly set out in paragraph 6 of the form.

(2) See the definition of “associate” in section 9 of the Corporations Act 2001.

(3) See the definition of “relevant interest” in sections 608 and 671B(7) of the Corporations Act 2001.

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

  • (5) The person’s votes divided by the total votes in the body corporate or scheme multiplied by 100.

  • (6) Include details of:

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

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

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

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

  • (8) If the substantial holder is unable to determine the identity of the person (eg if the relevant interest arises because of an option) write “unknown”.

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

Peet Limited

THIS IS ANNEXURE A OF 3 PAGES REFERRED TO IN THE ABOVE FORM 604

Printname Elizabeth Lee Company Secretary
Sign here Date : 14 August 2020

Table 1 – Related bodies corporate

The following entities are associates of Allan Gray Australia Pty Ltd (AGA) and each other by virtue of being related bodies corporate. Orbis Allan Gray Limited Orbis Mansfield Street Properties Ltd

Orbis Mansfield Street Properties Ltd Orbis Investment Management (BVI) Limited (OIMLBVI) Orbis Investment Advisory Pty Limited Allan Gray (Holdings) Pty Ltd Orbis Investment Management (Hong Kong) Limited Orbis Client Services (Canada) Limited Orbis Holdings (UK) Limited Orbis Investment Management (Europe) LLP Orbis Investment Management (Luxembourg) S.A EmCap Limited (Guernsey)

Orbis Holdings Limited

Orbis Investment Management Limited (OIML) Orbis Asset Management Limited (OAML) Orbis Administration Limited Orbis Investment Research Limited Orbis Investment Management (MIS) Limited Triple Blue Holdings Limited Pictet Overseas Trust Corporation and Pictet Trustee Company SA Allan & Gill Gray Foundation (Guernsey)

Table 2 - Funds

An entity within the Group acts as investment manager for some or all of the assets in the following funds.

No Fund name Manager Code Registered holder Persons entitled to be registered
holder
1.
Allan Gray Australia Equity Fund AGA SMEF Citibank N.A., Sydney Branch as
SMEF’s custodian
Equity Trustees Limited as SMEF’s
responsible entity
2.
Allan Gray Australia Balanced Fund AGA SMBF Citibank N.A., Hong Kong Branch
as SMBF’s custodian
Equity Trustees Limited as SMBF’s
responsible entity
3.
Allan Gray Australia Stable Fund AGA SMSF Citibank N.A., Sydney Branch as
SMSF’s custodian
Equity Trustees Limited as SMSF’s
responsible entity
4.
Warakirri Australian Equities Pensions
and Charities Fund
AGA SMWA RBC Investor Services Trust as
SMWA’s custodian
Warakirri Asset Management Pty Ltd
SMWA’s trustee
5.
Warakirri Endeavour Fund AGA SMWD RBC Investor Services Trust as
SMWK’s custodian
Warakirri Asset Management Pty Ltd
SMWK’s trustee
6.
Morningstar Australian Shares High
Alpha Fund
AGA SMIA JP Morgan Nominees Australia
Ltd as SMIA’s custodian
Morningstar Investment Management
Australia Limited SMIA’s trustee
7.
Construction and Building Unions
Superannuation Fund
AGA SMCB JP Morgan Nominees Australia
Ltd as SMCB’s custodian
United Super Pty Ltd as SMCB’s trustee
8.
HESTA Superannuation Fund AGA SMHT JP Morgan Nominees Australia
Ltd as SMHT’s custodian
H.E.S.T. Australia Ltd as SMHT’s trustee
9.
Hostplus Pooled Superannuation
Trust
AGA SMHP Citibank N.A., Sydney Branch as
SMHP’s custodian
Host Plus Pty ltd as SMHP’s trustee
10. Russell Australian Opportunities Fund AGA SMRI State Street Australia Ltd as
SMRI’s custodian
Russell Investment Management Ltd as
SMRI’s responsible entity
11. MyLifeMyMoney Superannuation
Fund
AGA SMCS NAB Custodial Services as
custodian for SMCS
CSF Pty Ltd as SMCS’s trustee
12. Maritime Super AGA SMMS NAB Custodial Services as
custodian for SMMS
Maritime Super Pty Ltd as SMMS’s
trustee
13. Non-Government Schools
Superannuation Fund
AGA SMNG
SMNP
State Street Australia Ltd as
SMNG’s custodian
Non-Government Schools
Superannuation Fund Pty Ltd as
SMNG’s trustee
14. REST Superannuation Fund AGA SMRT State Street Australia Ltd as
SMRT’s custodian
Retail Employees Superannuation Pty
Ltd as SMRT’s trustee
15. Government Employees
Superannuation Board
AGA SMGB Northern Trust Corporation as
SMGB’s custodian
Government Employees Superannuation
Board
16. Statewide Superannuation Trust AGA SMSW NAB Custodial Services as
custodian for SMSW
Statewide Superannuation Pty Ltd as
SMSW’s trustee
17. Legal Super AGA SMLS BNP Paribas Fund Services
Australasia Pty Ltd as SMLS’s
custodian
Legal Super Pty Ltd as trustee of
legalsuper
No Fund name Manager Code Registered holder Persons entitled to be registered
holder
18. AMP Capital Specialist Australian
Share Fund
AGA SMAP BNP Paribas Fund Services
Australasia Pty Ltd as SMAP’s
custodian
AMP Capital Funds Management
Limited as responsible entity of AMP
Capital Specialist Australian Share Fund
19. Orbis Global Equity Fund (Australia
Registered)
OIML GAPL Citibank N.A., Hong Kong Branch,
as GAPL’s custodian
Equity Trustees Limited as GAPL’s
responsible entity
20. Orbis Emerging Markets Equity Fund
(Australia Registered)
OIML EMAF Citibank N.A., Hong Kong Branch,
as EMAF’s custodian
Equity Trustees Limited as EMAF’s
responsible entity
21. Orbis Global Equity LE Fund
(Australia Registered)
AGA GALE Citibank N.A., Hong Kong Branch,
as GALE’s custodian
Equity Trustees Limited as GALE’s
responsible entity
22. Orbis Global Equity Fund Limited OIML OGEF Citigroup Fund Services Canada,
Inc (Citi Canada) as OGEF’s
custodian
OGEF
23. Orbis Optimal SA Fund Limited OIML OSAP Citi Canada as OSAP’s custodian OSAP
24. Institutional Global Equity Fund OIML IGEF Citi Canada as IGEF’s custodian IGEF
25. Orbis Optimal LP OIML OOLP Citi Canada as OOLP’s custodian OOLP
26. Orbis International Equity LP OIML IELP Citi Canada as IELP’s custodian IELP
27. Orbis Institutional Global Equity LP OIML OGLP Citi Canada as OGLP’s custodian OGLP
28. Orbis Institutional International Equity
LP
OIML ONLP Citi Canada as ONLP’s custodian ONLP
29. Orbis Institutional U.S. Equity LP OIML USLP Citi Canada as USLP’s custodian USLP
30. Orbis Institutional Emerging Markets
EquityLP
OIML EMLP Citi Canada as EMLP’s custodian EMLP
31. Orbis SICAV – Global Equity Fund OIML SGPL Citibank International plc
(Luxembourg Branch) (Citi Lux)
as SGPL’s custodian
SGPL
32. Orbis SICAV – Asia- Ex Japan Fund OIML XJPL Citi Lux as XJPL’s custodian XJPL
33. Orbis SICAV – Global Balanced Fund OIML GBSA Citi Lux as GBSA’s custodian GBSA
34. Orbis SICAV – International Equity OIML SNPL Citi Lux as SNPL’s custodian SNPL
35. Orbis OEIC Global Equity Fund OIML UKGE Citi Lux as UKGE’s custodian UKGE
36. Orbis Institutional Global Equity
(OFO)
OIML OGEO Citi Canada as OGEO’s custodian OGEO
37. OEIC Global Cautious Fund OIML OCS4 Citi Lux as OCS4’s custodian OCS4
38. Orbis SICAV Global Cautious Fund OIML OCSU Citi Lux as OCSU’s custodian OCSU

All trades occur on market, under a dividend reinvestment plan, or pursuant to a capital raising (as applicable).

Table 3 – Change in relevant interest

Trade Date Reference Code Action No of security Consideration
11 Mar 20 SMBF Sell -41,047 -$45,312
28 Feb 20 to 11 Mar 20 SMCB Sell -836,512 -$925,082
11 Jun 20 SMCS Sell -346,513 -$332,271
03Dec19 to 30Mar 20 SMEF Buy and Sell 453,497 $ 506,046
10 Sep19 to11 Mar 20 SMGB Sell -758,199 -$ 870,787
11 Mar 20 SMHP Sell -602,070 -$ 664,610
27 Feb20 to11 Mar 20 SMIA Sell -69,465 -$78,174
11 Mar 20 to12 Aug20 SMLS Sell -2,075,402 -$2,059,849
03Dec19 to26Mar 20 SMMS Sell -828,509 -$ 922,082
08Nov 19 to11 Mar 20 SMNG Sell -884,565 -$1,042,012
08Nov 19 to11 Mar 20 SMNP Buy and Sell 634,789 $766,306
10 Sep19 to 11 Jun 20 SMRI Buy 506,262 $521,430
27 Feb 20 to 11 Mar 20 SMRT Sell -932,227 -$1,032,766
19 Dec 19 to 30 Jan 20 SMSF Sell -289,309 -$367,900
04 Sep19 to 10 Sep19 SMSW Buy 505,835 $583,757
01 Nov 19 SMWA Sell -222,032 -$266,438
01 Nov 19 to 30Mar 20 SMWD Buy and Sell 0 $100,231
Total -5,785,467 -$6,129,513

Table 4 – Present relevant interest

Reference Code Total no of securities
SMBF 713,237
SMCB 11,312,595
SMCS 4,917,033
SMEF 23,907,929
SMGB 6,434,528
SMHP 8,152,922
SMHT 7,762,795
SMIA 886,948
SMMS 1,737,321
SMNG 2,779,974
SMNP 634,789
SMRI 2,733,529
SMRT 12,536,120
SMSF 2,198,730
SMSW 2,013,646
Total 88,722,096