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SATRIX COLLECTIVE INVESTMENT SCHEME - Distribution Finalisation Announcement - 6 Months Ended 30 June 2022 - STXGOV

Release Date: 26/07/2022 15:45
Code(s): STXGOV     PDF:  
Wrap Text
Distribution Finalisation Announcement - 6 Months Ended 30 June 2022 - 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.

CORRECTION ANNOUNCEMENT: DISTRIBUTION FINALISATION ANNOUNCEMENT – 6 MONTHS ENDED 30 JUNE
2022 - STXGOV

Investors are referred to the announcement released on 26 July 2022 at approximately 08:30am regarding the
declaration of a distribution to holders of Satrix SA Bond securities ("Investors") recorded in the register on Friday, 5
August 2022 in respect of the 6 months ended 30 June 2022 (“Original Announcement”).

Investors are further referred to the announcement released on 25 July 2022 regarding the change in distribution
method of the STXGOV from one in which coupons received are re-invested, to one where all coupons received are
paid out in cash to Investors.

Based on the change in distribution method of the STXGOV, Investors are advised that the reference to a Reinvestment
Date of Monday, 08 August 2022 included in the Original Announcement is not correct, and reference should be made
to a Payment date of Monday, 08 August 2022.

The corrected timetable is included below for ease of reference. Other than the change described above, no other
changes to the Original Announcement have been made.

Corrected Timetable

Notice is hereby given that the following dates are of importance in regard to the distribution for the 6 months ended
30 June 2022 by the ETF to holders of Satrix SA Bond securities:

 Last day to trade “cum” distribution:                                       Tuesday, 2 August 2022
 Securities trade “ex” distribution:                                         Wednesday, 3 August 2022
 Record date:                                                                Friday, 5 August 2022
 Payment date:                                                               Monday, 8 August 2022


The distribution will be paid on Monday, 8 August 2022 to all securities holders recorded in the register on Friday, 5
August 2022.


Sandton
26 July 2022

JSE Sponsor
Vunani

Date: 26-07-2022 03:45:00
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