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Smart Global Bond ETF Capital/Financing Update 2018

May 17, 2018

66200_rns_2018-05-18_14604da9-eb8d-45ab-be1d-47167f2f0e33.pdf

Capital/Financing Update

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APPENDIX 7 – NZSX Listing Rules

EMAIL: [email protected]

Notice of event affecting securities

NZSX Listing Rule 7.12.2. For rights, NZSX Listing Rules 7.10.9 and 7.10.10. For change to allotment, NZSX Listing Rule 7.12.1, a separate advice is required.

Number of pages including this one (Please provide any other relevant details on additional pages)

Full name
of Issuer
Name of officer
make this notice
Contact phone
number
Full name
of Issuer
Name of officer
make this notice
Contact phone
number
Global Bond Fund Global Bond Fund Global Bond Fund Global Bond Fund
authoris
ed to Authority for
e.g. Directors
event,
' resolution
Dat
e
Stephen Upton Trust Deed
Contact fax
number
0800 80 87 80 17
05
2018
Nature of event
Tick as appropriate
Bonus
Issue
Rights Issue
If ticked,
state whether:
Capital
Ca
Taxable
ll
Dividend
/ Non Taxable
If ticked, state
Conv
F
ersion
ull
Int Rights Issue
erest
Renouncable
non-renouncable change whether:
In
terim
Y
ear
Special
EXISTING securities
Description of the
class of securities
affect ed by this If more than one security is affected by the event, us e a separate for
ISIN
m.
Global Bond Fund NZGBFE0001S9
If unknown, contact NZX
Details of securities issue d pursuant to thi s event If more than one clas s of security is to be issued, use a
ISIN
separat
e form for each class.

Description of the
class of securities
Number of Securities to
be issued following eve

nt
Minimum
Entitlement
If unknown, contact NZX
Ratio, e.g
1 for 2
for
Conversion, Maturity, Call
Payable or Exercise Date
Strike price per security for any
Strike Price available.
issue in lieu or d ate Tick if
paripassu
Treatment of Fractions
provide an
OR
explanation
of the
ranking

Enter N/A if not
applicable
TBA
M onies Associated with E vent
In dollars
an Dividen
d cents
d payable, Call payable, Exercise price, C
Source of
Payment
onversion price, Redemption price, Application money.
Accrued Income
Amount per security
(does not include any exc
luded income)
$0.00944114
Excluded income per security
(only applicable to listed PIEs)
$0.00000000
Currency
Total monies
NZD Supplementary
Amount per security
dividend
in dollars and cents
details -
NZSX Listing Rule 7.12.7
Date Payable
$0.00166608
$540,000 20 June 2018
T
In
is
axation
the case of a taxable bonus
sue state strike price
Amountper Security in Dollars and cents to six decim alplaces
Resident
Withholding Tax
Imputation Credits
(Give details)
$
$ $ $0.00367155
Foreign
Withholding Tax
FDP Credits
(Give details)
$
$

Timing (Refer Appendix 8 in the NZSX Listing Rules) Record Date 5pm For calculation of entitlements -

Application Date Also, Call Payable, Dividend / 31 May 2018 Interest Payable, Exercise Date,Conversion Date. In the case 20 June 2018 of applications this must be the last business day of the week.

Notice Date Entitlement letters, call notices, conversion notices mailed

Allotment Date

For the issue of new securities. Must be within 5 business days of application closing date.

==> picture [154 x 39] intentionally omitted <==

OFFICE USE ONLY

Ex Date: Commence Quoting Rights: Cease Quoting Rights 5pm: Commence Quoting New Securities: Cease Quoting Old Security 5pm:

Security Code: Security Code: