24 May - 2 min read

Results of dividend reinvestment alternative

Results of dividend reinvestment alternative

EQUITES PROPERTY FUND LIMITED
(Incorporated in the Republic of South Africa)
(Registration number 2013/080877/06)
JSE share code: EQU ISIN: ZAE000188843
(Approved as a REIT by the JSE)
(“Equites”)


RESULTS OF DIVIDEND REINVESTMENT ALTERNATIVE


Shareholders are referred to the declaration of a cash dividend of 80.55835 cents per share (the “cash dividend”) with
an election to reinvest the cash dividend in return for new Equites shares (the “new shares”) (the “dividend
reinvestment alternative”), announced on SENS on Tuesday, 4 May 2021 for the year ended 28 February 2021 and
the announcement of the reinvestment price per new share (being R18.05 per share) applicable to Equites shareholders
electing the dividend reinvestment alternative, released on SENS on Tuesday, 11 May 2021.

Shareholders holding 348 348 428 Equites shares or 54.6% of Equites shares (prior to the election) qualifying to receive
the cash dividend elected to receive the dividend reinvestment alternative, resulting in the issue of 15 459 175 new
shares, retaining R279 051 263.56 in new equity for Equites. Accordingly, the total number of shares in issue post the
issue of the new shares pursuant to the dividend reinvestment alternative will be 653 485 514.

Certificated shareholders who did not elect the dividend reinvestment alternative in respect of some or all of their shares
and who have provided their bank details to Equites’ transfer secretaries will have their bank accounts credited with the
cash dividend on Monday, 24 May 2021. Share certificates in respect of certificated shareholders who did elect the
dividend reinvestment alternative in respect of some or all of their shares will be posted on Wednesday, 26 May 2021
to certificated shareholders at their risk. The Central Securities Depository Participants or broker custody accounts of
dematerialised shareholders who did not elect the dividend reinvestment alternative in respect of some or all of their
shares will be credited with the cash dividend on Monday, 24 May 2021 and the Central Securities Depository
Participants or broker custody accounts of dematerialised shareholders who did elect the dividend reinvestment
alternative in respect of some or all of their shares will be credited on Wednesday, 26 May 2021 with their new shares.

24 May 2021


Corporate advisor and sponsor
Java Capital

Date: 24-05-2021 03:10:00
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