Skip to main content

AI assistant

Sign in to chat with this filing

The assistant answers questions, extracts KPIs, and summarises risk factors directly from the filing text.

WHITEHAVEN COAL LIMITED Major Shareholding Notification 2017

Apr 9, 2017

66059_rns_2017-04-09_ff1e38dc-03d2-46d3-aa3d-44eff7b5fbfa.pdf

Major Shareholding Notification

Open in viewer

Opens in your device viewer

Form 604

Corporations Law Section 671B

Notice of change of interests of substantial holder

To Company Name/Scheme Whitehaven Coal Limited

ACN/ARSN

1. Details of substantial holder (1)

Name Prudential Plc Prudential Assurance Company Limited Prudential Pensions Limited M&G Group Limited M&G Limited Eastspring Investments (Singapore) Limited ACN/ARSN (if applicable) There was a change in the 06 April 2017 interests of the substantial holder on The previous notice was given 16 December 2016 to the company on The previous notice was dated 16 December 2016

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 Security (4) Previous Notice Previous Notice Present Notice Present Notice
Person’s votes Voting Power (5) Person’s votes Voting Power (5)
NPV Shares 70,478,473 6.86% 81,899,109 7.98%

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
Prudential Plc
Prudential Assurance Company
Limited
Prudential Pensions Limited
M&G Group Limited
M&G Limited
Eastspring Investments
(Singapore) Limited
PLEASE SEE ANNEX 1 (Below)

Freehills Melbourne ASIC00603\003811236

4. Present relevant interests

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

Registered holder of securities Person entitled to be registered as holder (8) Class and
number of
securities
PRUDENTIAL LIFE MANAGED OB Prudential Assurance Company Limited 42,140,092
SCOT AM LIFE NO1 FUND Prudential Assurance Company Limited 2,216,258
SCOTTISH AMICABLE CAPITAL FUND Prudential Assurance Company Limited 579,055
EASTSPRING INV ASIA PACIFIC EQ Etrin Intmnt Sinr Limitd 9891216
asspg veses (gapoe) e ,,
EASTSPRING INV ASIAN DYNAMIC Etrin Intmnt Sinr Limitd 1853508
asspg veses (gapoe) e ,,
EASTSPRING INVESTMENTS DEVELOPED ASIA EQUITY Etrin Intmnt Sinr Limitd 21478935
asspg veses (gapoe) e ,,
EASTSPRING INV WORLD VALUE AP Etrin Intmnt Sinr Limitd 86104
asspg veses (gapoe) e ,
PMAN APJ DYNAMIC EQUITY SUB-FUND Etrin Intmnt Sinr Limitd 659130
x asspg veses (gapoe) e ,
EASTSPRING INV ASIAPAC EQ MY Etrin Intmnt Sinr Limitd 131318
asspg veses (gapoe) e ,
State Street Noms Ltd A/C GMIW
PRU PACIFIC MARKETS TRUST
Eastspring Investments (Singapore) Limited 2,254,355
M&G PACIFIC BASIN PASS PF Prudential Pensions Limited 22,710
M&G PP PACIFIC BASIN PF Prudential Pensions Limited 586,428

5. Changes in association

The persons who have been 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:

Name and CAN/ARSN (if applicable) Name and CAN/ARSN (if applicable) Nature of association
Addresses
ddresses of persons named in this form are as follows:
Name Address
Prudential PLC LaurencePountneyHill,London EC4R0HH,England
Prudential Assurance CompanyLimited LaurencePountneyHill,London EC4R0HH,England
Prudential Pensions Limited Laurence PountneyHill, London EC4R 0HH, England
M&G Group Limited Laurence Pountney Hill, London EC4R 0HH, England
M&G Limited Laurence Pountney Hill, London EC4R 0HH, England
Eastspring Investments (Singapore)
Limited
10 Marina Boulevard #32-01, Marina Bay Financial Centre Tower 2, Singapore 018983
State Street Nominees Ltd 20 Churchill Place, Canary Wharf, London E14 5HJ, England

6. Addresses

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

Signature
John Baker Date:07 April 2017
sign here
print name John Baker capacityShareholder Disclosures Analyst

Freehills Melbourne ASIC00603\003811236

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 7 of the form.

  • (2) See the definition of “associate” in section 9 of the Corporations Law.

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

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

  • (5) The total number of votes attached to all the voting shares in the company or voting interests in the scheme (if any) that the person or an associate has a relevant interest in.

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

  • (7) Include details of: (a) any relevant agreement or other circumstances by which the relevant interest was acquired. 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 Law.

  • (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) 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.

Freehills Melbourne ASIC00603\003811236

Annex 1: Transactions – 16 December 2016 – 06 April 2017

Holder of relevant interest Date of
Acquisition
Transaction
Type
Class and
number of
securities
Price
CF PRUDENTIAL PACIFIC MKTS TST Sale 16/12/2016 71,395 2.7355
CF PRUDENTIAL PACIFIC MKTS TST Sale 31/03/2017 23,112 2.9985
EASTSPRING INV ASIA PACIFIC EQ Purchase 03/01/2017 108,809 2.77978853
EASTSPRING INV ASIA PACIFIC EQ Purchase 16/01/2017 244,642 2.96362299
EASTSPRING INV ASIA PACIFIC EQ Purchase 20/01/2017 146,568 2.84974005
EASTSPRING INV ASIA PACIFIC EQ Purchase 27/01/2017 161,304 2.8765
EASTSPRING INV ASIA PACIFIC EQ Purchase 10/02/2017 100,575 2.76996771
EASTSPRING INV ASIA PACIFIC EQ Purchase 13/02/2017 32,497 2.82735066
EASTSPRING INV ASIA PACIFIC EQ Purchase 31/03/2017 330,658 3.00965865
EASTSPRING INV ASIA PACIFIC EQ Sale 16/12/2016 344,874 2.73553939
EASTSPRING INV ASIA PACIFIC EQ Sale 09/03/2017 374,017 2.66112594
EASTSPRING INV ASIAN DYNAMIC Sale 16/12/2016 128,474 2.73553939
EASTSPRING INV ASIAN DYNAMIC Sale 01/03/2017 38,071 2.85757151
EASTSPRING INV ASIAPAC EQ MY Purchase 03/03/2017 26,340 2.86
EASTSPRING INV ASIAPAC EQ MY Purchase 21/03/2017 2,695 2.83
EASTSPRING INV ASIAPAC EQ MY Sale 16/12/2016 4,750 2.73553939
EASTSPRING INV ASIAPAC EQ MY Sale 16/12/2016 559 2.72056351
EASTSPRING INV ASIAPAC EQ MY Sale 21/12/2016 1,764 2.72
EASTSPRING INV ASIAPAC EQ MY Sale 03/01/2017 1,628 2.64
EASTSPRING INV ASIAPAC EQ MY Sale 13/01/2017 1,704 2.93857394
EASTSPRING INV ASIAPAC EQ MY Sale 17/01/2017 1,880 2.88
EASTSPRING INV ASIAPAC EQ MY Sale 01/03/2017 1,045 2.87035407
EASTSPRING INV WORLD VALUE AP Purchase 22/12/2016 1,619 2.665
EASTSPRING INV WORLD VALUE AP Sale 16/12/2016 2,884 2.73553939
ESIN-DEVELOPED AND EMERGING AS Purchase 09/02/2017 1,718 2.705
ESIN-DEVELOPED AND EMERGING AS Purchase 09/02/2017 4,115 2.705
ESIN-DEVELOPED AND EMERGING AS Purchase 09/02/2017 9,266 2.705
ESIN-DEVELOPED AND EMERGING AS Purchase 09/02/2017 19,220 2.705
ESIN-DEVELOPED AND EMERGING AS Purchase 09/02/2017 24,523 2.705
ESIN-DEVELOPED AND EMERGING AS Purchase 09/02/2017 12,977 2.705
ESIN-DEVELOPED AND EMERGING AS Purchase 09/02/2017 6,126 2.705
ESIN-DEVELOPED AND EMERGING AS Purchase 10/02/2017 7,343 2.765
ESIN-DEVELOPED AND EMERGING AS Purchase 10/02/2017 3,716 2.765
ESIN-DEVELOPED AND EMERGING AS Purchase 10/02/2017 4,135 2.765
ESIN-DEVELOPED AND EMERGING AS Purchase 10/02/2017 625 2.765
ESIN-DEVELOPED AND EMERGING AS Purchase 10/02/2017 2,149 2.765
ESIN-DEVELOPED AND EMERGING AS Purchase 10/02/2017 148,079 2.76903086
ESIN-DEVELOPED AND EMERGING AS Purchase 10/02/2017 513 2.765
ESIN-DEVELOPED AND EMERGING AS Purchase 10/02/2017 1,077 2.765
ESIN-DEVELOPED AND EMERGING AS Purchase 10/02/2017 1,167 2.765
ESIN-DEVELOPED AND EMERGING AS Purchase 10/02/2017 15,853 2.765
ESIN-DEVELOPED AND EMERGING AS Purchase 10/02/2017 9,336 2.765
ESIN-DEVELOPED AND EMERGING AS Purchase 13/02/2017 125,179 2.82735066
ESIN-DEVELOPED AND EMERGING AS Purchase 28/03/2017 367 2.835
ESIN-DEVELOPED AND EMERGING AS Purchase 28/03/2017 492 2.835
ESIN-DEVELOPED AND EMERGING AS Purchase 28/03/2017 5,687 2.835
ESIN-DEVELOPED AND EMERGING AS Purchase 28/03/2017 1,292 2.835
ESIN-DEVELOPED AND EMERGING AS Purchase 28/03/2017 339,062 2.85259163
ESIN-DEVELOPED AND EMERGING AS Purchase 29/03/2017 2,652 2.905
ESIN-DEVELOPED AND EMERGING AS Purchase 29/03/2017 3,922 2.90500042
ESIN-DEVELOPED AND EMERGING AS Purchase 29/03/2017 192 2.905
ESIN-DEVELOPED AND EMERGING AS Purchase 29/03/2017 3,396 2.905
ESIN-DEVELOPED AND EMERGING AS Purchase 29/03/2017 693 2.905
ESIN-DEVELOPED AND EMERGING AS Purchase 29/03/2017 2,792 2.905

Freehills Melbourne ASIC00603\003811236

ESIN-DEVELOPED AND EMERGING AS Purchase 29/03/2017 477,111 2.92005181
ESIN-DEVELOPED AND EMERGING AS Purchase 30/03/2017 525,023 2.95894332
ESIN-DEVELOPED AND EMERGING AS Purchase 31/03/2017 210,676 3.01969729
PMAN APXJ DYNAMIC EQ SUB FUND Sale 16/12/2016 19,531 2.73553939
PMAN APXJ DYNAMIC EQ SUB FUND Sale 28/02/2017 77,935 2.8721958
PPL-PACIFIC MARKETS(EX JAP) Purchase 13/01/2017 71,107 2.9428
PPL-PACIFIC MARKETS(EX JAP) Sale 16/12/2016 19,078 2.7355
PPL-PACIFIC MARKETS(EX JAP) Sale 17/03/2017 17,430 2.771
PPL-PACIFIC MARKETS(EX JAP) Sale 04/04/2017 4,100 3.2398
PRUDENTIAL LIFE MANAGED OB Purchase 09/02/2017 253,897 2.705
PRUDENTIAL LIFE MANAGED OB Purchase 09/02/2017 28,575 2.705
PRUDENTIAL LIFE MANAGED OB Purchase 09/02/2017 131,895 2.705
PRUDENTIAL LIFE MANAGED OB Purchase 09/02/2017 93,825 2.705
PRUDENTIAL LIFE MANAGED OB Purchase 09/02/2017 46,119 2.705
PRUDENTIAL LIFE MANAGED OB Purchase 09/02/2017 3,574 2.705
PRUDENTIAL LIFE MANAGED OB Purchase 09/02/2017 31,216 2.705
PRUDENTIAL LIFE MANAGED OB Purchase 09/02/2017 144,733 2.705
PRUDENTIAL LIFE MANAGED OB Purchase 09/02/2017 16,734 2.705
PRUDENTIAL LIFE MANAGED OB Purchase 09/02/2017 130,348 2.705
PRUDENTIAL LIFE MANAGED OB Purchase 10/02/2017 34,449 2.765
PRUDENTIAL LIFE MANAGED OB Purchase 10/02/2017 27,098 2.765
PRUDENTIAL LIFE MANAGED OB Purchase 10/02/2017 13,712 2.765
PRUDENTIAL LIFE MANAGED OB Purchase 10/02/2017 15,260 2.765
PRUDENTIAL LIFE MANAGED OB Purchase 10/02/2017 4,306 2.765
PRUDENTIAL LIFE MANAGED OB Purchase 10/02/2017 546,422 2.769
PRUDENTIAL LIFE MANAGED OB Purchase 10/02/2017 7,928 2.765
PRUDENTIAL LIFE MANAGED OB Purchase 10/02/2017 58,498 2.765
PRUDENTIAL LIFE MANAGED OB Purchase 10/02/2017 1,890 2.765
PRUDENTIAL LIFE MANAGED OB Purchase 10/02/2017 2,307 2.765
PRUDENTIAL LIFE MANAGED OB Purchase 10/02/2017 3,976 2.765
PRUDENTIAL LIFE MANAGED OB Purchase 13/02/2017 461,915 2.8274
PRUDENTIAL LIFE MANAGED OB Purchase 28/02/2017 3,083 2.865
PRUDENTIAL LIFE MANAGED OB Purchase 28/02/2017 677,309 2.8835
PRUDENTIAL LIFE MANAGED OB Purchase 28/02/2017 2,071 2.865
PRUDENTIAL LIFE MANAGED OB Purchase 28/02/2017 804 2.865
PRUDENTIAL LIFE MANAGED OB Purchase 28/02/2017 1,817 2.865
PRUDENTIAL LIFE MANAGED OB Purchase 28/02/2017 17,039 2.865
PRUDENTIAL LIFE MANAGED OB Purchase 01/03/2017 830,220 2.8654
PRUDENTIAL LIFE MANAGED OB Purchase 22/03/2017 912,564 2.7173
PRUDENTIAL LIFE MANAGED OB Purchase 27/03/2017 281,374 2.7237
PRUDENTIAL LIFE MANAGED OB Purchase 28/03/2017 643,375 2.8526
PRUDENTIAL LIFE MANAGED OB Purchase 28/03/2017 2,450 2.835
PRUDENTIAL LIFE MANAGED OB Purchase 28/03/2017 932 2.835
PRUDENTIAL LIFE MANAGED OB Purchase 28/03/2017 701 2.835
PRUDENTIAL LIFE MANAGED OB Purchase 28/03/2017 10,791 2.835
PRUDENTIAL LIFE MANAGED OB Purchase 29/03/2017 366 2.905
PRUDENTIAL LIFE MANAGED OB Purchase 29/03/2017 905,329 2.9201
PRUDENTIAL LIFE MANAGED OB Purchase 29/03/2017 6,444 2.905
PRUDENTIAL LIFE MANAGED OB Purchase 29/03/2017 5,297 2.905
PRUDENTIAL LIFE MANAGED OB Purchase 29/03/2017 1,315 2.905
PRUDENTIAL LIFE MANAGED OB Purchase 29/03/2017 5,032 2.905
PRUDENTIAL LIFE MANAGED OB Purchase 29/03/2017 7,443 2.905
PRUDENTIAL LIFE MANAGED OB Purchase 30/03/2017 996,242 2.9589
PRUDENTIAL LIFE MANAGED OB Purchase 31/03/2017 399,763 3.0197
PRUDENTIAL LIFE MANAGED OB Purchase 06/04/2017 1,383,322 3.2912
SCOT AM LIFE NO1 FUND Purchase 09/02/2017 1,109 2.705
SCOT AM LIFE NO1 FUND Purchase 09/02/2017 354 2.705
SCOT AM LIFE NO1 FUND Purchase 09/02/2017 98 2.705
SCOT AM LIFE NO1 FUND Purchase 09/02/2017 749 2.705

Freehills Melbourne ASIC00603\003811236

SCOT AM LIFE NO1 FUND Purchase 09/02/2017 535 2.705
SCOT AM LIFE NO1 FUND Purchase 09/02/2017 238 2.705
SCOT AM LIFE NO1 FUND Purchase 09/02/2017 1,415 2.705
SCOT AM LIFE NO1 FUND Purchase 10/02/2017 239 2.765
SCOT AM LIFE NO1 FUND Purchase 10/02/2017 36 2.765
SCOT AM LIFE NO1 FUND Purchase 10/02/2017 8,545 2.769
SCOT AM LIFE NO1 FUND Purchase 10/02/2017 62 2.765
SCOT AM LIFE NO1 FUND Purchase 10/02/2017 915 2.765
SCOT AM LIFE NO1 FUND Purchase 10/02/2017 29 2.765
SCOT AM LIFE NO1 FUND Purchase 10/02/2017 124 2.765
SCOT AM LIFE NO1 FUND Purchase 10/02/2017 214 2.765
SCOT AM LIFE NO1 FUND Purchase 10/02/2017 67 2.765
SCOT AM LIFE NO1 FUND Purchase 10/02/2017 539 2.765
SCOT AM LIFE NO1 FUND Purchase 10/02/2017 424 2.765
SCOT AM LIFE NO1 FUND Purchase 13/02/2017 7,223 2.8274
SCOT AM LIFE NO1 FUND Purchase 28/03/2017 133 2.835
SCOT AM LIFE NO1 FUND Purchase 28/03/2017 38 2.835
SCOT AM LIFE NO1 FUND Purchase 28/03/2017 587 2.835
SCOT AM LIFE NO1 FUND Purchase 28/03/2017 51 2.835
SCOT AM LIFE NO1 FUND Purchase 28/03/2017 34,985 2.8526
SCOT AM LIFE NO1 FUND Purchase 29/03/2017 19 2.905
SCOT AM LIFE NO1 FUND Purchase 29/03/2017 72 2.905
SCOT AM LIFE NO1 FUND Purchase 29/03/2017 274 2.905
SCOT AM LIFE NO1 FUND Purchase 29/03/2017 288 2.905
SCOT AM LIFE NO1 FUND Purchase 29/03/2017 350 2.905
SCOT AM LIFE NO1 FUND Purchase 29/03/2017 49,230 2.9201
SCOT AM LIFE NO1 FUND Purchase 29/03/2017 405 2.905
SCOT AM LIFE NO1 FUND Purchase 30/03/2017 54,173 2.9589
SCOT AM LIFE NO1 FUND Purchase 31/03/2017 21,738 3.0197
SCOTTISH AMICABLE CAPITAL FUND Purchase 09/02/2017 186 2.705
SCOTTISH AMICABLE CAPITAL FUND Purchase 09/02/2017 394 2.705
SCOTTISH AMICABLE CAPITAL FUND Purchase 09/02/2017 52 2.705
SCOTTISH AMICABLE CAPITAL FUND Purchase 09/02/2017 282 2.705
SCOTTISH AMICABLE CAPITAL FUND Purchase 09/02/2017 584 2.705
SCOTTISH AMICABLE CAPITAL FUND Purchase 09/02/2017 125 2.705
SCOTTISH AMICABLE CAPITAL FUND Purchase 09/02/2017 745 2.705
SCOTTISH AMICABLE CAPITAL FUND Purchase 10/02/2017 36 2.765
SCOTTISH AMICABLE CAPITAL FUND Purchase 10/02/2017 113 2.765
SCOTTISH AMICABLE CAPITAL FUND Purchase 10/02/2017 284 2.765
SCOTTISH AMICABLE CAPITAL FUND Purchase 10/02/2017 65 2.765
SCOTTISH AMICABLE CAPITAL FUND Purchase 10/02/2017 482 2.765
SCOTTISH AMICABLE CAPITAL FUND Purchase 10/02/2017 4,501 2.769
SCOTTISH AMICABLE CAPITAL FUND Purchase 10/02/2017 33 2.765
SCOTTISH AMICABLE CAPITAL FUND Purchase 10/02/2017 19 2.765
SCOTTISH AMICABLE CAPITAL FUND Purchase 10/02/2017 126 2.765
SCOTTISH AMICABLE CAPITAL FUND Purchase 10/02/2017 223 2.765
SCOTTISH AMICABLE CAPITAL FUND Purchase 10/02/2017 14 2.765
SCOTTISH AMICABLE CAPITAL FUND Purchase 13/02/2017 3,804 2.8274
SCOTTISH AMICABLE CAPITAL FUND Purchase 28/03/2017 9,753 2.8526
SCOTTISH AMICABLE CAPITAL FUND Purchase 28/03/2017 14 2.835
SCOTTISH AMICABLE CAPITAL FUND Purchase 28/03/2017 37 2.835
SCOTTISH AMICABLE CAPITAL FUND Purchase 28/03/2017 10 2.835
SCOTTISH AMICABLE CAPITAL FUND Purchase 28/03/2017 164 2.835
SCOTTISH AMICABLE CAPITAL FUND Purchase 29/03/2017 13,724 2.9201
SCOTTISH AMICABLE CAPITAL FUND Purchase 29/03/2017 76 2.905
SCOTTISH AMICABLE CAPITAL FUND Purchase 29/03/2017 98 2.905
SCOTTISH AMICABLE CAPITAL FUND Purchase 29/03/2017 20 2.905
SCOTTISH AMICABLE CAPITAL FUND Purchase 29/03/2017 80 2.905
SCOTTISH AMICABLE CAPITAL FUND Purchase 29/03/2017 5 2.905

Freehills Melbourne ASIC00603\003811236

SCOTTISH AMICABLE CAPITAL FUND Purchase 29/03/2017 113 2.905
SCOTTISH AMICABLE CAPITAL FUND Purchase 30/03/2017 15,102 2.9589
SCOTTISH AMICABLE CAPITAL FUND Purchase 31/03/2017 6,060 3.0197
SCOTTISH AMICABLE CAPITAL FUND Sale 03/04/2017 38,763 3.021

Freehills Melbourne ASIC00603\003811236