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SATRIX COLLECTIVE INVESTMENT SCHEME - Distribution Finalisation Announcement Quarter End 31 March 2025 - STXGOV

Release Date: 09/04/2025 10:45
Code(s): STXGOV     PDF:  
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Distribution Finalisation Announcement Quarter End 31 March 2025 - STXGOV

SATRIX COLLECTIVE INVESTMENT SCHEME
SATRIX SA BOND PORTFOLIO
JSE code: STXGOV
ISIN code: ZAE000285862
("Satrix SA Bond")

A portfolio in the Satrix Collective Investment Scheme in Securities, registered as such in terms of the Collective Investment
Schemes Control Act, 45 of 2002.

DISTRIBUTION FINALISATION ANNOUNCEMENT QUARTER END 31 MARCH 2025

The Manager and Trustees of the Satrix Collective Investment Scheme (being Satrix Managers (RF) (Pty) Limited and Standard  Chartered Bank), respectively, have declared a distribution to holders of Satrix SA Bond securities ('investors') recorded in the
register on Thursday, 17 April 2025 in respect of the quarter ended 31 March 2025.


An aggregate amount of 34.89000 cents (R0.34890) per Satrix SA Bond security is declared as follows:

  Alpha Code: STXGOV                    *Interest
                                                           Total

  Distribution Source type               Local
  Net Distribution Reinvested            No
  Source of Funds (Country Code)         ZA
  Subject to Foreign Withholding tax     No
  Gross Foreign Rate (cents per unit)
  Foreign Tax % withheld at source
  Foreign Tax amount per unit
  DTA with Source Country
  Foreign Tax Reclaim %
  Portfolio/Management Cost
  Interest Expense
  Other costs
  Gross ZA Distribution (Cents per unit) 34.89000         34.89000
**Applicable to non-exempt South African shareholders
  Gross Local Rate (cents per unit)      34.89000
  SA Withholding Tax %
  SA Withholding Tax amount per unit
  Local Net Rate                         34.89000         34.89000

  Notice is hereby given that the following dates are of importance in regard to the distribution for the quarter ended 31 March
  2025 by the ETF to holders of Satrix SA Bond securities:


  Last day to trade "cum" distribution:   Monday, 14 April 2025

  Securities trade "ex" distribution:     Tuesday, 15 April 2025

  Record date:                            Thursday, 17 April 2025

  Payment date:                           Tuesday, 22 April 2025


The distribution will be paid on Tuesday, 22 April 2025 to all securities holders recorded in the register on Thursday, 17 April
2025.

*Withholding Tax on Interest (WTI) came into effect on 1 March 2015.

Interest accruing from a South African source to a non-resident, excluding a controlled foreign company, will be subject to
withholding tax at a rate of 15% on payment, except interest,

       arising on any Government debt instrument
       arising on any listed debt instrument
       arising on any debt owed by a bank or the South African Reserve Bank
       arising from a bill of exchange or letter of credit where goods are imported into South Africa and where an authorized
dealer has certified such on the instrument
       payable by a headquarter company
       accruing to a non-resident natural person who was physically present in South Africa for a period exceeding 183 days in
aggregate, during that year, or carried on a business through a permanent establishment in South Africa.


Investors are advised that to the extent that the distribution amount comprise of any interest, it will not be subject to WTI by
virtue of the fact that it is listed debt instruments and/or bank debt.

Both resident and non-resident investors are encouraged to consult their professional advisors should they be in any doubt as to
the appropriate action to take.

Sandton

09 April 2025

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Date: 09-04-2025 10:45:00
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