- Release Date: 14/09/12 10:31
- Summary: SSH: NPX: SSH (Allan Gray Australia Pty Ltd)
- Price Sensitive: No
- Download Document 8.37KB
NPX 14/09/2012 08:31 SSH REL: 0831 HRS Nuplex Industries Limited SSH: NPX: SSH (Allan Gray Australia Pty Ltd) Disclosure of movement of 1% or more in substantial holding or change in nature of relevant interest or both Sections 23 and 24, Securities Markets Act 1988 Relevant event being disclosed: Increase by more than 1% in holding Date of relevant event: 11 September 2012 To: New Zealand Stock Exchange Copy To: Australian Securities Exchange And: Nuplex Industries Limited Date this disclosure made: 13 September 2012 Date last disclosure made: 21 December 2011 Substantial security holder(s) giving disclosure Name(s): Allan Gray Australia Pty Ltd (formerly Orbis Investment Management (Australia) Pty Ltd) (Allan Gray Australia) and its related bodies corporate as set out in Table 1 of Annexure A (together Orbis Group), as investment manager for the funds or investment mandates listed at Table 2 of Annexure A Contact details: Eugene Tan, +612 8224 8627, [email protected] Summary of substantial holding to which disclosure relates Class of listed voting securities: ordinary share Summary for: Orbis Group For this disclosure,-- (a) total number held in class: 23,355,187 (b) total in class: 196,748,316 (c) total percentage held in class: 11.87% For last disclosure,-- (a) total number held in class: 25,427,788 (b) total in class: 196,748,316 (c) total percentage held in class: 12.92% Details of transactions and events giving rise to relevant event Details of the transactions or other events requiring disclosure under the instructions to this form: See Annexure B - Trades on market unless otherwise specified Details of relevant interests in substantial holding after relevant event Details for: Orbis Group Nature of relevant interest(s): As investment manager for the funds or investment mandates listed at Table 2 of Annexure A that hold Nuplex Industries ordinary shares as set out in Annexure B For that relevant interest,-- (a) number held in class: 23,355,187 (b) percentage held in class: 11.87% (c) current registered holder(s) of securities: See Annexure B (d) registered holder(s) of securities once transfers registered: See Annexure B Additional information Nature of connection between substantial security holders: As investment manager for the funds or investment mandates listed at Table 2 of Annexure A that hold Nuplex Industries ordinary shares as set out in Annexure B Address(es) of substantial security holder(s): C/- Allan Gray Australia, Level 2 Challis House, 4 Martin Place Sydney, NSW 2000 Name of any other person believed to have given, or believed to be required to give, a disclosure under the Act in relation to the securities to which this disclosure relates: N/A Declaration I, Simon Marais, Director, Allan Gray Australia, declare that, to the best of my knowledge and belief, the information contained in this disclosure is correct and that I am duly authorised to make this disclosure by all persons for whom it is made. Nuplex Industries Limited Table 1 - Related bodies corporate The following entities are associates of Allan Gray Australia and each other by virtue of being related bodies corporate. Orbis Holdings Limited Orbis Mansfield Street Properties Ltd Orbis World Limited Orbis Investment Management (BVI) Limited (OBIVL) Orbis Investment Management Limited (OIML) Orbis Investment Advisory Pty Limited Orbis Asset Management Limited (OAML) Allan Gray (Holdings) Pty Limited Orbis Administration Limited Allan Gray Australia Pty Limited Orbis Investment Research Limited Orbis Client Services (Canada) Limited Orbis Investment Advisory (Hong Kong) Limited Orbis Holdings (UK) Limited Triple Blue Holdings Limited Orbis Investment Management (Europe) LLP Pictet Overseas Trust Corporation and Pictet Trustee Company SA 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 Investment Manager Ref. Code Registered Holder Persons entitled to be registered holder 1 Allan Gray Australia Equity Fund (formerly Orbis/SM Australia Equity Fund) Allan Gray Australia (AGA) SMEF Citibank N.A (Citi) as nominee of SMEF Citi as nominee of SMEF 2 Warakirri Endeavour Fund AGA SMWK ANZ Nominees Ltd as nominee of SMWK ANZ Nominees Ltd as nominee of SMWK 3 Orbis Global Equity Fund (Aust. Registered) OIML GAPL Citi (HK) as nominee of GAPL Citi (HK) as nominee of GAPL 4 Orbis Global Equity Fund Limited OIML OGEF Citigroup Pty Ltd as nominee of OGEF Citigroup Pty Ltd as nominee of OGEF 5 Orbis Optimal SA Fund Limited OIML OSAP Citigroup Pty Ltd as nominee of OSAP Citigroup Pty Ltd as nominee of OSAP 6 Orbis SICAV -Global Equity Fund OIML SGPL Citigroup Pty Ltd as nominee of SGPL Citigroup Pty Ltd as nominee of SGPL 7 Orbis Optimal Global Fund LP OAML OOLP Citigroup Pty Ltd as nominee of OOLP Citigroup Pty Ltd as nominee of OOLP 8 Orbis Asia ex-Japan Fund OBVIL XJPL Citigroup Pty Ltd as nominee of XJPL Citigroup Pty Ltd as nominee of XJPL 9 Intech Australian Shares High Alpha Trust AGA SMIA JP Morgan Nominees Australia Ltd as nominee of SMIA JP Morgan Nominees Australia Ltd as nominee of SMIA 10 Construction and Building Unions Superannuation Fund AGA SMCB National Nominees (NAB Custodian Services) as nominee for SMCB NAB Custodian Services as nominee for SMCB 11 HESTA Superannuation Fund AGA SMHT JP Morgan Nominees Australia Ltd as nominee of SMHT JP Morgan Nominees Australia Ltd as nominee of SMHT 12 Hostplus Superannuation Fund AGA SMHP JP Morgan as nominee of SMAU JP Morgan Nominees Australia Ltd as nominee of SMAU 13 Russell Australian Opportunities Fund AGA SMRI SSAL as nominee of SMRI SSAL as nominee of SMRI 14 Orbis International Equity LP OAML IELP Citigroup Pty Ltd as nominee of IELP Citigroup Pty Ltd as nominee of IELP 15 Catholic Superannuation Fund AGA SMCS NAB Custodian Services NAB Custodian Services 16 Orbis US Equity Fund LP OAML USLP Citigroup Pty Ltd as nominee of IELP Citigroup Pty Ltd as nominee of IELP 17 Qantas Superannuation Plan AGA SMQS JP Morgan Nominees Australia Ltd as nominee of SMQS JP Morgan Nominees Australia Ltd as nominee of SMQS 18 Maritime Super AGA SMMS NAB Custodian Services as nominee for SMMS NAB Custodian Services as nominee for SMMS 19 Warakirri Australian Equities Pensions and Charities Fund AGA SMWA ANZ Nominees Ltd as nominee of SMWA ANZ Nominees Ltd as nominee of SMWA 20 Non-Government Schools Superannuation Fund AGA SMNG SSAL as nominee for SMNG SSAL as nominees for SMNG 21 Allan Gray Australia Opportunity Fund (formerly Orbis/SM Australia Opportunity Fund) AGA SMSF Citi as nominee for SMSF Citi as nominee for SMSF 22 REST Superannuation Fund AGA SMRT SSAL as nominee for SMNG SSAL as nominees for SMRT THIS IS ANNEXURE B OF 1 PAGE REFERRED TO IN THE ABOVE FORM Trades giving rise to a change in relevant interest Trade Date Reference Code Action No of security Consideration 20 Dec to 01 Jun 12 SMCB Buy 158,043 $ 278,028 20 Dec to 01 Jun 12 SMCS Buy 108,871 $ 193,539 20 Dec to 01 Jun 12 SMEF Buy 304,954 $ 542,528 20 Dec to 01 Jun 12 SMHP Buy 405,442 $ 756,686 20 Dec to 01 Jun 12 SMHT Buy 166,367 $ 296,061 20 Dec 11 SMIA Buy 13,079 $ 21,303 20 Dec to 28 May 12 SMMS Buy 74,681 $ 133,109 20 Dec to 03 Aug 12 SMNG Buy 398,047 $ 741,601 20 Dec to 01 Jun 12 SMQS Buy 83,392 $ 148,190 20 Dec 11 SMRI Buy 9,564 $ 15,578 20 Dec to 12 Jan 12 SMRT Buy 52,952 $ 94,442 20 Dec to 01 Jun 12 SMSF Buy 78,036 $ 131,093 04 Sep to 11 Sep 12 SMCB Sell -539,613 -$ 1,262,289 22 Feb to 11 Sep 12 SMCS Sell -496,148 -$ 1,091,252 26 Jul to 11 Sep 12 SMEF Sell -990,682 -$ 2,228,304 04 Sep to 11 Sep 12 SMHP Sell -349,084 -$ 816,598 04 Sep to 11 Sep 12 SMHT Sell -436,874 -$ 1,021,964 04 Sep to 11 Sep 12 SMIA Sell -116,551 -$ 272,266 19 Jun to 11 Sep 12 SMMS Sell -216,884 -$ 495,931 04 Sep to 11 Sep 12 SMNG Sell -378,328 -$ 885,005 04 Sep to 11 Sep 12 SMQS Sell -192,902 -$ 451,250 07 Sep to 11 Sep 12 SMRI Sell -55,201 -$ 130,023 04 Sep to 11 Sep 12 SMRT Sell -151,681 -$ 354,823 07 Sep 12 SMWK Sell -2,081 -$ 4,841 Total -2,072,601 -$ 5,662,387 Trades on market, unless otherwise stated Present relevant interest Reference Code Total no of securities SMCB 3,526,264 SMCS 1,650,439 SMEF 5,269,752 SMHP 2,345,188 SMHT 2,888,262 SMIA 783,962 SMMS 1,326,201 SMNG 2,417,984 SMQS 1,411,324 SMRI 604,022 SMRT 992,392 SMSF 85,641 SMWA 22,879 SMWK 30,877 Total 23,355,187 End CA:00227300 For:NPX Type:SSH Time:2012-09-14 08:31:02
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