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Perpetual Limited Major Shareholding Notification 2011

Mar 14, 2011

10538_rns_2011-03-14_8d618d59-0ad1-4547-8787-dfa8213e8b8e.pdf

Major Shareholding Notification

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Form 603

Corporations Law Section 671B

Notice of initial substantial holder

To Company Name/Scheme

NORFOLK GROUP LIMITED

ACN/ARSN

125 709 971

1. Details of substantial holder (1)

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

The holder became a substantial holder on _ 11_ / _03 / 2011_

2. Details of voting power

The total number of votes attached to all the voting shares in the company or voting interests in the scheme that the substantial holder or an associate (2) had a relevant interest (3) in on the date the substantial holder became a substantial holder are as follows:

Class ofsecurities (4) Numberofsecurities Persons’ votes (5) Voting power(6)
Ordinary 7,956,877 7,956,877 5.01%

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:

Holderof relevantinterest Nature of relevantinterest (7) Class andnumberofsecurities
Refer annexure1 & 2

4. Details of present registered holders

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

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

5. Consideration

The consideration paid for each relevant interest referred to in paragraph 3 above, and acquired in the four months prior to the day that the substantial holder became a substantial holder is as follows:

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

Associates

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

Name and ACN (if applicable) Nature of association Refer to Annexure 1 & 2

6. Addresses

==> picture [412 x 69] intentionally omitted <==

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

The addresses of persons named in this form are as follows:
Name Address
Refer to Annexure 1
----- End of picture text -----

==> picture [403 x 35] intentionally omitted <==

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

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

ANNEXURE 1 - Perpetual Investments Account Codes & Details

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

INTERNAL CODE ACCOUNT DETAILS REGISTRATION DETAILS
ALL 'PC' CODES RBC Dexia Investor Services Trust
ACF: PIML (Select Investments)
RBC Dexia Investor Services Australia Pty Limited
GPO Box 5430 Sydney NSW 2001
RBC Dexia Investor Services Trust
ACF: PIML (Select Investments)
RBC Dexia Investor Services Australia Pty Limited
GPO Box 5430 Sydney NSW 2001
PCEF RBC Dexia Investor Services Trust
ACF: Perpetual's Wholesale Concentrated Equity Fund
Account Code: PICEF
GPO Box 5430 Sydney NSW 2001
RBC Dexia Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PCCEF RBC Dexia Investor Services Trust
ACF: PIML (Select Investments)
Account Code: PCCEF
GPO Box 5430 Sydney NSW 2001
RBC Dexia Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PIBIAS RBC Dexia Investor Services Trust
ACF: Perpetual's Benchmark Industrial Australian Share Fund
Account Code: PIBIAS
GPO Box 5430 Sydney NSW 2001
RBC Dexia Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PIGPVF RBC Dexia Investor Services Trust
ACF: Perpetual's Pure Value 2 Share Fund
Account Code: PIGPVF
GPO Box 5430 Sydney NSW 2001
RBC Dexia Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PIGSFP RBC Dexia Investor Services Trust
ACF: Perpetual's Australian Share Fund
Account Code: PIGSFP
GPO Box 5430 Sydney NSW 2001
RBC Dexia Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PIICAP RBC Dexia Investor Services Trust
ACF: Perpetual's Investor Choice Fund
Account Code: PIICAP
GPO Box 5430 Sydney NSW 2001
RBC Dexia Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PIISF RBC Dexia Investor Services Trust
ACF: Perpetual's Industrial Share Fund
Account Code: PIISF
GPO Box 5430 Sydney NSW 2001
RBC Dexia Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PIRAF RBC Dexia Investor Services Trust
ACF: Perpetual Resources Fund
Account code: PIRAF
GPO Box 5430 Sydney NSW 2001
RBC Dexia Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PISINP RBC Dexia Investor Services Trust
ACF: Perpetual's Investor Choice Fund
Account Code: PISINP
GPO Box 5430 Sydney NSW 2001
RBC Dexia Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PISMA1 RBC Dexia Investor Services Trust
ACF: Perpetual's Australian Share Fund
Account Code: PISMA1
GPO Box 5430 Sydney NSW 2001
RBC Dexia Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PISMA2 RBC Dexia Investor Services Trust
ACF: Perpetual's Australian Share Fund
Account Code: PISMA2
GPO Box 5430 Sydney NSW 2001
RBC Dexia Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PIWGAP UBS Nominee Pty Ltd
ACF: Perpetual Wholesale Geared Australian Share Fund
Account code: A111266
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
UBS Nominee Pty Ltd

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

Level 16, Chifley Tower
2 Chifley Square
Sydney NSW 2000
PIWJPI RBC Dexia Investor Services Trust
ACF: Perpetual JF Wholesale Prop Income Fund
Account Code: PIWJPI
GPO Box 5430 Sydney NSW 2001
RBC Dexia Investor Services Trust

GPO Box 5430 Sydney NSW 2001

This is Annexure 1 Page 1 of 4 of 603

PIWQLS UBS Nominee Pty Ltd
ACF: Perpetual QI Long Short Fund
Account code: A1025745
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
UBS Nominee Pty Ltd

Level 16, Chifley Tower
2 Chifley Square
Sydney NSW 2000
PIWSPF UBS Nominee Pty Ltd
ACF: Perpetual Wholesale Share Plus Fund
Account code: A111267
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
UBS Nominee Pty Ltd

Level 16, Chifley Tower
2 Chifley Square
Sydney NSW 2000
PMWSC RBC Dexia Investor Services Trust
ACF: Perpetual Wholesale Smaller Company Fund
Account Code: PIWSCS
GPO Box 5430 Sydney NSW 2001
RBC Dexia Investor Services Trust

GPO Box 5430 Sydney NSW 2001
PMWSRF RBC Dexia Investor Services Trust
ACF: Perpetual Wholesael Ethical Fund
Account Code: PIWSRF
GPO Box 5430 Sydney NSW 2001
RBC Dexia Investor Services Trust

GPO Box 5430 Sydney NSW 2001
Perpetual Investments Management Limited (PIML), subsidiary of Perpetual Limited, as Trustee for:
ALL 'SS' CODES RBC Dexia Investor Services Trust
ACF: PIML (Select Super)
RBC Dexia Investor Services Australia Pty Limited
GPO Box 5430 Sydney NSW 2001
RBC Dexia Investor Services Trust
ACF: PIML (Select Super)
RBC Dexia Investor Services Australia Pty Limited
GPO Box 5430 Sydney NSW 2001
Perpetual Investments Management Limited (PIML), subsidiary of Perpetual Limited, under Investment Management Agreements with:
INTERNAL CODE ACCOUNT DETAILS REGISTRATION DETAILS
CBAISF Citicorp Nominees Pty Ltd.
ACF: Commonwealth Aust Shares Fund 4
Account Code:PICISF
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
Citicorp Nominees Pty Ltd
A/C EASS04
GPO Box 764G
Melbourne VIC 3001
NSWTC Cogent Nominees Pty Ltd
ACF: NSW Treasury Corporation
Account Code: PINSWT
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
Cogent Nominees Pty Limited
A/C HGFPTE
P.O. Box R209 Royal Exchange
Sydney NSW 1225
PIACT JP Morgan Chase Nominees Ltd
ACF: Australian Capital Territory Treasury
Account Code: PIACT
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JP Morgan Chase Nominees
A/C 32512
Locked Bag 7, Royal Exchange Sydney NSW 2000
PIAVIV JP Morgan Chase Nominees limited
ACF: NAVIGATOR AUSTRALIA LIMITED
Account Code: PIAVIV
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JP Morgan Chase Nominees
A/C 58815
Locked Bag 7, Royal Exchange
Sydney NSW 2000
PICATH National Australia Custodian Services
ACF: CATHOLIC SUPER FUND PTY LTD
Account Code: PICATH
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Australia Custodian Services
A/C CDPRDE/17392-10
Level 21, 500 Bourke St
Melbourne VIC 3000
PIEFM6 Cogent Nominees Pty Ltd
ACF: EFM Australian Share Fund 6
Account Code: PIEFM6
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
Cogent Nominees Pty Limited
A/C WTXME6
P.O. Box R209 Royal Exchange
Sydney NSW 1225
PIFIRS National Nominees Ltd
ACF: FIRST SUPER MANDATE AUSTRALIA
Account Code: PIFIRS
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Australia Custodian Services
A/C 16444-14
Level 21, 500 Bourke St
Melbourne VIC 3000
PIHEAL JP Morgan Chase Nominees limited
ACF: HEALTH SUPER PTY LTD
Account Code: PIHEAL
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JP Morgan Chase Nominees
A/C 74805
Locked Bag 7, Royal Exchange
Sydney NSW 2000
PIHEST JP Morgan Chase Nominees limited
ACF: HEST Australia Limited
Account Code: PIHEST
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JP Morgan Chase Nominees
A/C 33112
Locked Bag 7, Royal Exchange
Sydney NSW 2000

This is Annexure 1 Page 2 of 4 of 603

PILGSS JP Morgan Chase Nominees limited
ACF: HEST Australia Limited
Account Code: PILGSS
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2002
JP Morgan Chase Nominees
A/C 56466
Locked Bag 7, Royal Exchange
Sydney NSW 2000
PILUCR JP Morgan Chase Nominees Ltd
ACF: LUCRF PTY LTD MANDATE
Account code: PILUCR
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2000
JP Morgan Chase Nominees
A/C 58865
Locked Bag 7, Royal Exchange
Sydney NSW 1999
PIMEDA Cogent Nominees Pty Ltd
ACF: MEDIA SUPER SMALLER COMPANIES FUND
Account code: PIMEDA
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2000
Cogent Nominees Pty Ltd
A/C PISPTE
P.O. Box R209, Royal Exchange
Sydney NSW 1225
PIRAEO State Street Australia Limited
ACF: RUSSELL AUSTRALIAN OPPORTUNITIES FUND
Account code: PIRAEO
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2000
State Street Australia Limited
A/C BT7B
Level 18, 338 Pitt Street
Sydney NSW 2000
PISTCF JP Morgan Chase Nominees Ltd
ACF: SAS Trustee Corporation
Account code: PISTCF
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JP Morgan Chase Nominees
A/C 34893
Locked Bag 7, Royal Exchange
Sydney NSW 2000
PITWUS National Nominees Ltd
ACF: TWU SUPERANNUATION
Account Code: PITWUS
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Australia Custodian Services
A/C TUPPAE/16448-28
Level 21, 500 Bourke St
Melbourne VIC 3000
PMCBUS National Nominees Ltd
ACF: Construction & Building Union Superannuation Fund
Account Code: PICBUS
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Australia Custodian Services
A/C CBPFAE/5267-15
Level 21, 500 Bourke St
Melbourne VIC 3000
PMCGSF Citicorp Nominees Pty Ltd
ACF: Commonwealth Aust Shares Fund 11
Account Code: PICGSF
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
Citicorp Nominees Pty Ltd
A/C EASS11
GPO Box 764G Melbourne VIC 3001
PMCPSF Citicorp Nominees Pty Ltd
ACF:Commonwealth Property Fund 3
Account Code: PICPSF
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
Citicorp Nominees Pty Ltd
A/C EPSS03
GPO Box 764G Melbourne VIC 3001
PIAUST JP Morgan Chase Nominees Limited
ACF: Australian Super Ethical SRI Fund
Account Code: PIAUST
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JP Morgan Chase Nominees
A/C 36018
Locked Bag 7 Royal Exchange
Sydney NSW 2000
PMHOST JP Morgan Chase Nominees Limited
ACF: Host - Plus Pty Ltd
Account Code: PIHOST
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JP Morgan Chase Nominees
A/C 20004
Locked Bag 7 Royal Exchange
Sydney NSW 2000
PMSTA JP Morgan Chase Nominees Limited
ACF: Super Trust of Australia
Account Code: PISTA
C/- RBC Dexia Investor Services Australia Nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
JP Morgan Chase Nominees
A/C 40909
Locked Bag 7 Royal Exchange
Sydney NSW 2000
QITE2 RBC Dexia Investor Services Trust
ACF: Quantitative Investments TE 2 Equity Fund
Account Code: PIQTE2
GPO Box 5430 Sydney NSW 2001

RBC Dexia Investor Services Trust

GPO Box 5430 Sydney NSW 2001
T2 Perpetual Trustee Company Limited
(Private Client Division)
Perpetual Trustee Company Limited
GPO Box 4172 Sydney NSW 2001
T3 Perpetual Trustees Victoria Limited
(Private Client Division)
Perpetual Trustee Company Limited
GPO Box 4172 Sydney NSW 2001

This is Annexure 1 Page 3 of 4 of 603

T4 Perpetual Trustees Queensland Limited
(Private Client Division)
Perpetual Trustee Company Limited
GPO Box 4172 Sydney NSW 2001
T6 Perpetual Trustees WA Limited
(Private Client Division)
Perpetual Trustee Company Limited
GPO Box 4172 Sydney NSW 2001
T7 Perpetual Trustee Company Canberra Limited
(Private Client Division)
Perpetual Trustee Company Limited
GPO Box 4172 Sydney NSW 2001
TEL National Nominees Limited
ACF: Telstra Superannuation Pty Limited
Account Code: PITEL
C/- RBC Dexia Investor Services Australia nominees Pty Limited
GPO Box 5430 Sydney NSW 2001
National Australia Custodian Services
A/C 3093-15 TSPPAE
Level 21, 500 Bourke Street
Melbourne VIC 3000

Perpetual Limited GPO BOX 4172 Sydney NSW 2001

This is Annexure 1 Page 4 of 4 of 603

ANNEXURE 2

PRESENT RELEVANT INTERESTS

==> picture [376 x 247] intentionally omitted <==

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

ANNEXURE 3

CHANGES IN RELEVANT INTERESTS

Account Security Volume Value Price AsAtDate
PIMEDA NFK 14,803 12,184 $ 0.82
17/06/2010
PIMEDA NFK 3,573 2,966 $ 0.83
17/06/2010
PIMEDA NFK 16,094 13,213 $ 0.82
18/06/2010
PIMEDA NFK 14,545 11,998 $ 0.82
21/06/2010
PIMEDA NFK 71 59 $ 0.83
22/06/2010
PIMEDA NFK 10,851 8,860 $ 0.82
23/06/2010
PIMEDA NFK 33,098 26,766 $ 0.81
24/06/2010
PIMEDA NFK 6,282 5,011 $ 0.80
25/06/2010
PIMEDA NFK 9,672 7,531 $ 0.78
28/06/2010
PIMEDA NFK 11,631 8,980 $ 0.77
29/06/2010
PIMEDA NFK 11,419 8,506 $ 0.74
30/06/2010
PIMEDA NFK 4,824 3,654 $ 0.76
01/07/2010
PIMEDA NFK 5,682 4,298 $ 0.76
02/07/2010
PIMEDA NFK 11,691 8,993 $ 0.77
05/07/2010
PIMEDA NFK 3,986 3,080 $ 0.77
06/07/2010
PIMEDA NFK 1,468 1,160 $ 0.79
07/07/2010
PIMEDA NFK 8,776 7,021 $ 0.80
08/07/2010
PIMEDA NFK 7,986 6,549 $ 0.82
08/07/2010
PIMEDA NFK 119,388 101,396 $ 0.85
09/07/2010
PIMEDA NFK 3,619 3,004 $ 0.83
12/07/2010
PIMEDA NFK 4,978 4,182 $ 0.84
13/07/2010
PIMEDA NFK 3,483 2,953 $ 0.85
14/07/2010
PIMEDA NFK 25,691 21,837 $ 0.85
15/07/2010
PIMEDA NFK 1,242 1,049 $ 0.84
21/07/2010
PIMEDA NFK 453 385 $ 0.85
22/07/2010
PIMEDA NFK 4,215 3,583 $ 0.85
22/07/2010
PIMEDA NFK 2,476 2,105 $ 0.85
23/07/2010
PIMEDA NFK 55,724 47,923 $ 0.86
23/07/2010
PIMEDA NFK 12,046 10,841 $ 0.90
26/07/2010
PIMEDA NFK 14,545 13,952 $ 0.96
04/08/2010
PIMEDA NFK - 2,769
- 2,828
$ 1.02
04/08/2010
PIMEDA NFK 6,289 6,037 $ 0.96
05/08/2010
PIMEDA NFK 22,611 21,707 $ 0.96
06/08/2010
PIMEDA NFK 24,522 23,512 $ 0.96
11/08/2010
PIMEDA NFK 2,025 1,904 $ 0.94
12/08/2010
PIMEDA NFK 6,295 5,917 $ 0.94
13/08/2010
PIMEDA NFK 13,997 15,386 $ 1.10
15/09/2010
PIMEDA NFK 126,553 139,208 $ 1.10
16/09/2010
PIMEDA NFK 7,693 8,655 $ 1.13
27/09/2010
PIMEDA NFK 4,992 5,616 $ 1.13
28/09/2010
PIMEDA NFK 41,042 46,788 $ 1.14
29/09/2010
PIMEDA NFK 45,191 52,422 $ 1.16
01/10/2010
PIMEDA NFK 79,163 92,486 $ 1.17
07/10/2010
PIMEDA NFK 29,257 33,938 $ 1.16
08/10/2010
PIMEDA NFK 12,248 14,453 $ 1.18
11/10/2010
PIMEDA NFK 6 7 $ 1.13
14/10/2010
PIMEDA NFK 20,871 23,574 $ 1.13
15/10/2010
PIMEDA NFK 22,672 24,957 $ 1.10
18/10/2010
PIMEDA NFK 17,603 18,659 $ 1.06
29/10/2010
PIMEDA NFK 73,547 76,989 $ 1.05
10/11/2010

This is annexure 3 Page 1 of 4 referred to in Form 603

PIMEDA NFK 3,599 3,743 $ 1.04
11/11/2010
PIMEDA NFK 1,341 1,395 $ 1.04
15/11/2010
PIMEDA NFK 1,428 1,485 $ 1.04
16/11/2010
PIMEDA NFK 7,591 7,828 $ 1.03
17/11/2010
PIMEDA NFK 7,129 7,251 $ 1.02
19/11/2010
PIMEDA NFK 20,092 20,379 $ 1.01
22/11/2010
PIMEDA NFK 13,961 13,791 $ 0.99
24/11/2010
PIMEDA NFK 16,577 17,887 $ 1.08
26/11/2010
PIMEDA NFK - 34,607
- 39,258
$ 1.13
30/11/2010
PIMEDA NFK 3,363 3,901 $ 1.16
22/12/2010
PIMEDA NFK 3,334 3,888 $ 1.17
23/12/2010
PIMEDA NFK - 41,504
- 53,955
$ 1.30
04/01/2011
PIMEDA NFK 5,000 6,000 $ 1.20
06/01/2011
PIMEDA NFK 1,276 1,531 $ 1.20
10/01/2011
PIMEDA NFK 9,795 11,754 $ 1.20
11/01/2011
PIMEDA NFK 13,742 16,490 $ 1.20
12/01/2011
PIMEDA NFK 13,984 17,060 $ 1.22
13/01/2011
PIMEDA NFK 3,372 4,097 $ 1.22
18/01/2011
PIMEDA NFK 12,618 15,520 $ 1.23
01/02/2011
PIMEDA NFK 3,487 4,289 $ 1.23
03/02/2011
PIMEDA NFK 6,811 8,378 $ 1.23
04/02/2011
PIMEDA NFK 4,486 5,493 $ 1.22
17/02/2011
PIMEDA NFK 12,093 14,826 $ 1.23
18/02/2011
PIMEDA NFK 4,624 5,688 $ 1.23
21/02/2011
PIMEDA NFK 2,681 3,295 $ 1.23
22/02/2011
PIMEDA NFK 10,639 13,086 $ 1.23
23/02/2011
PIMEDA NFK 1,031 1,268 $ 1.23
24/02/2011
PIMEDA NFK 931 1,145 $ 1.23
25/02/2011
PIMEDA NFK 8,147 10,018 $ 1.23
28/02/2011
PIMEDA NFK 863 1,061 $ 1.23
01/03/2011
PIMEDA NFK 17,148 21,092 $ 1.23
02/03/2011
PIMEDA NFK 6,579 8,158 $ 1.24
03/03/2011
PIMEDA NFK 2,696 3,354 $ 1.24
04/03/2011
PIMEDA NFK 4,561 5,760 $ 1.26
07/03/2011
PIMEDA NFK 4,077 5,178 $ 1.27
08/03/2011
PIMEDA NFK 2,818 3,579 $ 1.27
09/03/2011
PIMEDA NFK 6,269 7,836 $ 1.25
11/03/2011
PMWSCS NFK 119,266 98,168 $ 0.82
17/06/2010
PMWSCS NFK - 3,573
- 2,966
$ 0.83
17/06/2010
PMWSCS NFK 98,608 80,957 $ 0.82
18/06/2010
PMWSCS NFK 89,306 73,669 $ 0.82
21/06/2010
PMWSCS NFK 66,539 54,329 $ 0.82
23/06/2010
PMWSCS NFK 206,819 167,255 $ 0.81
24/06/2010
PMWSCS NFK 47,388 37,797 $ 0.80
25/06/2010
PMWSCS NFK 46,658 36,328 $ 0.78
28/06/2010
PMWSCS NFK 71,296 55,048 $ 0.77
29/06/2010
PMWSCS NFK 69,810 52,001 $ 0.74
30/06/2010
PMWSCS NFK 26,728 20,244 $ 0.76
01/07/2010
PMWSCS NFK 34,474 26,076 $ 0.76
02/07/2010
PMWSCS NFK 72,695 55,917 $ 0.77
05/07/2010
PMWSCS NFK 23,215 17,941 $ 0.77
06/07/2010
PMWSCS NFK 8,532 6,740 $ 0.79
07/07/2010
PMWSCS NFK 50,353 41,289 $ 0.82
08/07/2010
PMWSCS NFK 55,334 44,267 $ 0.80
08/07/2010
PMWSCS NFK 745,083 632,799 $ 0.85
09/07/2010
PMWSCS NFK 6,381 5,296 $ 0.83
12/07/2010

This is annexure 3 Page 2 of 4 referred to in Form 603

PMWSCS NFK 19,343 16,248 $ 0.84
13/07/2010
PMWSCS NFK 27,649 23,441 $ 0.85
14/07/2010
PMWSCS NFK 153,745 130,683 $ 0.85
15/07/2010
PMWSCS NFK 1,835 1,532 $ 0.84
19/07/2010
PMWSCS NFK 17,692 14,817 $ 0.84
20/07/2010
PMWSCS NFK 11,756 9,924 $ 0.84
21/07/2010
PMWSCS NFK 25,785 21,917 $ 0.85
22/07/2010
PMWSCS NFK 2,769 2,354 $ 0.85
22/07/2010
PMWSCS NFK 15,297 13,002 $ 0.85
23/07/2010
PMWSCS NFK 344,276 296,077 $ 0.86
23/07/2010
PMWSCS NFK 72,410 65,169 $ 0.90
26/07/2010
PMWSCS NFK 111,281 106,741 $ 0.96
04/08/2010
PMWSCS NFK - 17,231
- 17,598
$ 1.02
04/08/2010
PMWSCS NFK 8,711 8,363 $ 0.96
05/08/2010
PMWSCS NFK 139,643 134,057 $ 0.96
06/08/2010
PMWSCS NFK 141,923 136,076 $ 0.96
11/08/2010
PMWSCS NFK 10,028 9,426 $ 0.94
12/08/2010
PMWSCS NFK 37,281 35,044 $ 0.94
13/08/2010
PMWSCS NFK 86,003 94,535 $ 1.10
15/09/2010
PMWSCS NFK 740,334 814,367 $ 1.10
16/09/2010
PMWSCS NFK 30,475 34,284 $ 1.13
27/09/2010
PMWSCS NFK 29,953 33,697 $ 1.13
28/09/2010
PMWSCS NFK 249,404 284,321 $ 1.14
29/09/2010
PMWSCS NFK 271,083 314,456 $ 1.16
01/10/2010
PMWSCS NFK 523,213 611,270 $ 1.17
07/10/2010
PMWSCS NFK 122,090 141,624 $ 1.16
08/10/2010
PMWSCS NFK 71,169 83,979 $ 1.18
11/10/2010
PMWSCS NFK 117,784 133,037 $ 1.13
15/10/2010
PMWSCS NFK 133,834 147,324 $ 1.10
18/10/2010
PMWSCS NFK 103,163 109,353 $ 1.06
29/10/2010
PMWSCS NFK 422,719 442,502 $ 1.05
10/11/2010
PMWSCS NFK 15,014 15,615 $ 1.04
11/11/2010
PMWSCS NFK 9,656 10,042 $ 1.04
15/11/2010
PMWSCS NFK 10,173 10,580 $ 1.04
16/11/2010
PMWSCS NFK 49,500 51,044 $ 1.03
17/11/2010
PMWSCS NFK 889 916 $ 1.03
18/11/2010
PMWSCS NFK 46,069 46,857 $ 1.02
19/11/2010
PMWSCS NFK 192,908 195,667 $ 1.01
22/11/2010
PMWSCS NFK 86,039 84,989 $ 0.99
24/11/2010
PMWSCS NFK 19,022 20,525 $ 1.08
26/11/2010
PMWSCS NFK - 220,565
- 250,209
$ 1.13
30/11/2010
PMWSCS NFK 46,637 54,099 $ 1.16
22/12/2010
PMWSCS NFK 29,013 33,832 $ 1.17
23/12/2010
PMWSCS NFK - 172,496
- 224,245
$ 1.30
04/01/2011
PMWSCS NFK 7,733 9,280 $ 1.20
10/01/2011
PMWSCS NFK 13,657 16,388 $ 1.20
11/01/2011
PMWSCS NFK 76,289 91,547 $ 1.20
12/01/2011
PMWSCS NFK 83,952 102,421 $ 1.22
13/01/2011
PMWSCS NFK 9,621 11,690 $ 1.22
18/01/2011
PMWSCS NFK 51,423 63,250 $ 1.23
01/02/2011
PMWSCS NFK 23,091 28,402 $ 1.23
03/02/2011
PMWSCS NFK 41,881 51,514 $ 1.23
04/02/2011
PMWSCS NFK 50,883 63,095 $ 1.24
16/02/2011
PMWSCS NFK 38,791 47,500 $ 1.22
17/02/2011
PMWSCS NFK 71,081 87,145 $ 1.23
18/02/2011
PMWSCS NFK 25,540 31,414 $ 1.23
21/02/2011

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

PMWSCS NFK 12,127 14,907 $ 1.23
22/02/2011
PMWSCS NFK 61,640 75,817 $ 1.23
23/02/2011
PMWSCS NFK 6,584 8,098 $ 1.23
24/02/2011
PMWSCS NFK 8,103 9,967 $ 1.23
25/02/2011
PMWSCS NFK 43,133 53,041 $ 1.23
28/02/2011
PMWSCS NFK 3,207 3,945 $ 1.23
01/03/2011
PMWSCS NFK 103,280 127,034 $ 1.23
02/03/2011
PMWSCS NFK 11,958 14,828 $ 1.24
03/03/2011
PMWSCS NFK 23,220 28,890 $ 1.24
04/03/2011
PMWSCS NFK 30,439 38,441 $ 1.26
07/03/2011
PMWSCS NFK 9,895 12,567 $ 1.27
08/03/2011
PMWSCS NFK 5,539 7,035 $ 1.27
09/03/2011
PMWSCS NFK 31,470 39,338 $ 1.25
11/03/2011

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