Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions 3P LEARNING LTD ORDINARY 3PL 239,537 139,334,170 0.17 A.P. EAGERS LIMITED ORDINARY APE 167,460 191,309,301 0.09 A2B LTD ORDINARY A2B 6,516,484 120,430,683 5.41 ABACUS PROPERTY GRP. UNITS/ORD STAPLED ABP 1,752,254 579,794,770 0.30 ACCENT GROUP LTD ORDINARY AX1 1,095,690 541,241,224 0.20 ACN 004410833 LTD ORDINARY ARI 67,621 2,937,293,755 0.00 ACRUX LIMITED ORDINARY ACR 671,473 166,521,711 0.40 ADAIRS LIMITED ORDINARY ADH 765,545 165,874,785 0.46 ADELAIDE BRIGHTON ORDINARY ABC 9,346,809 650,610,606 1.44 TOUCH ORDINARY APT 16,116,881 231,190,923 6.97 AGL ENERGY LIMITED. ORDINARY AGL 7,407,592 655,825,043 1.13 AINSWORTH GAME TECH. ORDINARY AGI 4,585,428 336,793,929 1.36 AIRXPANDERS, INC. CDI 1:3 AXP 765,563 558,459,849 0.14 ALACER GOLD CORP. CDI 1:1 AQG 204,537 101,323,854 0.20 ALE PROPERTY GROUP STAPLED SECURITIES LEP 118,981 195,769,080 0.06 ALKANE RESOURCES LTD ORDINARY ALK 204,173 506,096,222 0.04 ALLIANCE MINERAL ORDINARY A40 1,768,712 1,295,367,917 0.14 ALS LTD ORDINARY ALQ 2,338,037 486,764,376 0.48 LIMITED ORDINARY ALU 273,821 130,382,478 0.21 ALTURA MINING LTD ORDINARY AJM 36,873,448 1,820,366,474 2.03 ORDINARY AWC 56,776,071 2,879,843,498 1.97

21/12/2018 8:59:30 AM 1 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions AMA GROUP LIMITED ORDINARY AMA 8,324,495 538,773,140 1.55 AMAYSIM AUS LTD ORDINARY AYS 4,977,020 210,792,810 2.36 LIMITED ORDINARY AMC 86,729,231 1,158,141,276 7.49 AMP LIMITED ORDINARY AMP 194,066,608 2,937,428,336 6.61 ANGLOGOLD ASHANTI CDI 5:1 FOR. EXEMPT AGG 67,000 89,207,765 0.08 LIMITED ORDINARY ANN 4,471,607 133,893,386 3.34 ANTIPA MINERALS LTD ORDINARY AZY 3,375,000 1,805,506,628 0.19 ANZ BANKING GRP LTD ORDINARY ANZ 37,415,239 2,867,823,118 1.30 APA GROUP STAPLED SECURITIES APA 6,598,687 1,179,893,848 0.56 APPEN LIMITED ORDINARY APX 1,676,152 106,599,647 1.57 ARB CORPORATION. ORDINARY ARB 4,064,516 79,343,950 5.12 GROUP STAPLED SECURITIES AAD 833,324 479,706,016 0.17 ARDENTLEISUREGRPLTD DEFERRED SETTLEMENT ALG 7,370,946 479,706,016 1.54 ARENA REIT. STAPLED ARF 619,473 271,322,432 0.23 ORDINARY ALL 6,812,071 638,544,150 1.07 ARQ GROUP LIMITED ORDINARY ARQ 1,642,136 118,876,222 1.38 ARTEMIS RESOURCES ORDINARY ARV 1,896,402 650,193,770 0.29 ASALEO CARE LIMITED ORDINARY AHY 6,805,282 543,122,491 1.25 ASX LIMITED ORDINARY ASX 3,111,550 193,595,162 1.61 ORDINARY STAPLED ALX 29,549,158 683,264,739 4.32 AUB GROUP LTD ORDINARY AUB 32,310 73,352,698 0.04

21/12/2018 8:59:30 AM 2 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions AUCKLAND INTERNATION ORD FOR.EXEMPT NZX AIA 1,054,070 1,207,546,966 0.09 AUDIO PIXELS LTD ORDINARY AKP 16,049 28,268,804 0.06 AURELIA METALS LTD ORDINARY AMI 4,189,281 867,879,333 0.48 HOLDINGS LTD ORDINARY AZJ 29,346,568 1,990,128,332 1.47 AUSCANN GRP HLGS LTD ORDINARY AC8 469,326 176,382,702 0.27 AUSDRILL LIMITED ORDINARY ASL 29,103,207 683,017,543 4.26 AUSGOV TREASURY BOND TB 1.75% 11-20 6M GSBU20 2,147 250,560,000 0.00 AUSNET SERVICES LTD ORDINARY AST 46,828,787 3,614,346,765 1.30 AUST CAREERS NETWORK ORDINARY ACO 210,730 83,748,775 0.25 AUST FINANCE GRP ORDINARY AFG 1,662,149 214,812,671 0.77 AUSTAL LIMITED ORDINARY ASB 632,358 351,994,956 0.18 AUSTIN ENGINEERING ORDINARY ANG 7,343 578,833,756 0.00 AUSTRALIAN AGRICULT. ORDINARY AAC 35,473,341 602,766,747 5.89 AUSTRALIAN PHARM. ORDINARY API 16,061,130 492,533,464 3.26 AUSTRALIS OIL & GAS ORDINARY ATS 1,738,916 895,936,178 0.19 AUTOMOTIVE HOLDINGS. ORDINARY AHG 20,573,282 331,623,014 6.20 AUTOSPORTS GRP LTD. ORDINARY ASG 945,927 201,000,000 0.47 AVENTUS GROUP STAPLED AVN 1,422,137 531,041,408 0.27 AVEO GROUP STAPLED SECURITIES AOG 22,300,015 580,837,672 3.84 BABY BUNTING GRP LTD ORDINARY BBN 307,343 126,441,237 0.24 BANK OF . ORDINARY BOQ 26,331,433 401,788,104 6.55

21/12/2018 8:59:30 AM 3 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions BAPCOR LIMITED ORDINARY BAP 5,745,689 282,472,118 2.03 BASE RES LIMITED ORDINARY BSE 16,427 1,166,623,040 0.00 LIMITED ORDINARY BPT 50,077,535 2,278,249,104 2.20 BEACON LIGHTING GRP ORDINARY BLX 551,298 217,936,808 0.25 BEADELL RESOURCE LTD ORDINARY BDR 4,562,989 1,673,584,196 0.27 LTD ORDINARY BGA 12,684,184 213,131,126 5.95 BELLAMY'S AUSTRALIA ORDINARY BAL 10,536,320 113,368,297 9.29 BELLEVUE GOLD LTD ORDINARY BGL 188,219 447,338,739 0.04 BENDIGO AND ADELAIDE ORDINARY BEN 27,197,606 487,373,866 5.58 BERKELEY ENERGIA LTD ORDINARY BKY 997,866 258,415,420 0.39 BHP GROUP LIMITED ORDINARY BHP 183,841,847 3,211,691,105 5.72 BIGTINCAN HLDGS LTD ORDINARY BTH 73,308 180,533,659 0.04 LTD ORDINARY BIN 30,063,339 582,177,165 5.16 LIMITED ORDINARY BKL 1,191,705 17,296,487 6.89 BLUE SKY LIMITED ORDINARY BLA 4,157,906 77,711,527 5.35 BLUESCOPE STEEL LTD ORDINARY BSL 631,825 537,058,317 0.12 BOART LONGYEAR ORDINARY BLY 10,183,720 26,296,215,464 0.04 BORAL LIMITED. ORDINARY BLD 7,088,840 1,172,331,924 0.60 BOTANIX PHARMA LTD ORDINARY BOT 859,924 757,424,658 0.11 BRAINCHIP LTD ORDINARY BRN 499,571 1,049,580,489 0.05 ORDINARY BXB 5,373,387 1,593,507,409 0.34

21/12/2018 8:59:30 AM 4 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions BRAVURA SOLUTION LTD ORDINARY BVS 1,317,280 214,246,090 0.61 BREAKER RES NL ORDINARY BRB 564,861 182,689,492 0.31 LTD ORDINARY BRG 1,137,202 130,095,322 0.87 ORDINARY BKW 1,197,081 149,572,347 0.80 BUBS AUST LTD ORDINARY BUB 1,430,271 393,546,807 0.36 BUDDY PLATFORM LTD ORDINARY BUD 1,086,006 1,095,839,944 0.10 BURU ENERGY ORDINARY BRU 430,953 432,074,241 0.10 BWP TRUST ORDINARY UNITS BWP 19,284,404 642,383,803 3.00 BWX LIMITED ORDINARY BWX 16,518,429 124,199,888 13.30 CABCHARGE AUSTRALIA ORDINARY CAB 8,109 120,430,683 0.01 CALTEX AUSTRALIA ORDINARY CTX 1,918,714 260,810,519 0.74 CANN GROUP LTD ORDINARY CAN 3,613 106,876,630 0.00 CARDINAL RESO LTD ORDINARY CDV 1,256,723 380,237,817 0.33 CARDNO LIMITED ORDINARY CDD 1,154,503 453,628,883 0.25 CARNARVON PETROLEUM ORDINARY CVN 6,890,751 1,191,126,367 0.58 .COM LTD. ORDINARY CAR 8,126,099 243,765,115 3.33 CASH CONVERTERS ORDINARY CCV 455,592 616,437,946 0.07 CATAPULT GRP INT LTD ORDINARY CAT 1,648,683 190,895,116 0.86 CEDAR WOODS PROP. ORDINARY CWP 998,445 80,117,767 1.25 CELSIUS RESOURCE LTD ORDINARY CLA 1,709,896 726,853,455 0.24 CENTURIA I REIT ORDINARY UNITS CIP 2,246,809 248,357,166 0.90

21/12/2018 8:59:30 AM 5 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions CENTURIA METRO REIT ORDINARY UNITS CMA 303 356,291,397 0.00 CHALLENGER LIMITED ORDINARY CGF 42,674,682 611,185,441 6.98 CHAMPION IRON LTD ORDINARY CIA 365,505 420,469,747 0.09 CHARTER HALL EDU TR UNITS CQE 5,937,640 257,501,478 2.31 CHARTER HALL GROUP STAPLED US PROHIBIT. CHC 3,065,157 465,777,131 0.66 CHARTER HALL RETAIL UNITS CQR 13,940,976 402,483,504 3.46 ORD FOR.EXEMPT NZX CNU 558,780 436,075,010 0.13 CHTR H LWR DEFERRED SETTLEMENT CLWDC 175,890 232,300,142 0.08 CHTR H LWR STAPLED CLW 1,080,042 249,858,291 0.43 CIMIC GROUP LTD ORDINARY CIM 1,668,583 324,254,097 0.51 CLASS LIMITED ORDINARY CL1 1,385,009 117,662,056 1.18 CLEAN TEQ HLDGS LTD ORDINARY CLQ 38,136,335 746,326,032 5.11 WASTE LTD ORDINARY CWY 18,058,363 2,041,722,390 0.88 CLEARVIEW WEALTH LTD ORDINARY CVW 22,000 677,074,118 0.00 CLINUVEL PHARMACEUT. ORDINARY CUV 79,629 47,857,986 0.17 CLOVER CORPORATION ORDINARY CLV 11,046 165,181,696 0.01 COCA-COLA AMATIL ORDINARY CCL 20,892,178 723,999,699 2.89 ORDINARY COH 626,060 57,715,315 1.08 CODAN LIMITED ORDINARY CDA 1,783 179,151,647 0.00 COGSTATE LTD ORDINARY CGS 237,226 119,196,193 0.20 ORDINARY COL 21,107,923 1,333,929,696 1.58

21/12/2018 8:59:30 AM 6 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions COLLECTION HOUSE ORDINARY CLH 7,087,011 138,170,257 5.13 LTD ORDINARY CKF 74,666 116,511,655 0.06 . ORDINARY CBA 30,994,773 1,770,239,507 1.75 LTD ORDINARY CPU 6,714,828 542,955,868 1.24 COOPER ENERGY LTD ORDINARY COE 76,231,474 1,601,548,756 4.76 CORONADO GLOBAL RES CDI10:1USPROHEXCLQIB CRN 79,966 966,516,920 0.01 CORP TRAVEL LIMITED ORDINARY CTD 5,148,554 108,491,948 4.75 HOLDINGS ORDINARY CGC 11,505,481 319,937,318 3.60 COVATA LTD ORDINARY CVT 651,567 673,021,165 0.10 ORDINARY CCP 3,019,465 48,069,877 6.28 CROMWELL PROP STAPLED SECURITIES CMW 35,798,634 2,198,273,865 1.63 LTD ORDINARY CWN 7,605,753 680,332,698 1.12 CSG LIMITED ORDINARY CSV 1,131,502 439,941,383 0.26 CSL LIMITED ORDINARY CSL 900,793 452,958,087 0.20 CSR LIMITED ORDINARY CSR 21,717,292 504,308,227 4.31 CUDECO LIMITED ORDINARY CDU 181,148 394,278,197 0.05 CYBG PLC CDI 1:1FOREXEMPT LSE CYB 6,755,994 909,151,261 0.74 DACIAN GOLD LTD ORDINARY DCN 6,985,644 224,964,210 3.11 DATA#3 LIMITED ORDINARY DTL 128,213 153,974,950 0.08 DECMIL GROUP LIMITED ORDINARY DCG 79,402 238,177,904 0.03 DEVEX RESOURCES LTD ORDINARY DEV 25,709 91,940,151 0.03

21/12/2018 8:59:30 AM 7 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions STAPLED UNITS DXS 17,163,103 1,017,196,877 1.69 DICKER DATA LIMITED ORDINARY DDR 631,004 160,714,369 0.39 DOMAIN HOLDINGS AUS ORDINARY DHG 31,362,362 580,494,798 5.40 DOMINO PIZZA ENTERPR ORDINARY DMP 8,346,807 85,537,140 9.76 DONACO INTERNATIONAL ORDINARY DNA 84 823,592,773 0.00 DOWNER EDI LIMITED ORDINARY DOW 11,631,298 594,702,512 1.96 DROPSUITE LTD ORDINARY DSE 598,604 227,055,453 0.26 DULUXGROUP LIMITED ORDINARY DLX 8,924,247 389,250,252 2.29 EASTERN GOLDFIELDS ORDINARY EGS 18,657 761,784,738 0.00 EBOS GROUP LTD ORDINARY EBO 19,437 152,539,304 0.01 ECLIPX GROUP LTD ORDINARY ECX 12,375,978 319,636,693 3.87 EDEN INV LTD ORDINARY EDE 475,281 1,521,399,119 0.03 ORDINARY ELD 1,556,972 116,675,837 1.33 ELECTRO OPTIC SYS. ORDINARY EOS 554 96,103,879 0.00 ELMO SOFTWARE ORDINARY ELO 18,531 23,139,436 0.08 EMECO HOLDINGS DEFERRED SETTLEMENT EHLDA 38,580 317,885,900 0.01 EMECO HOLDINGS ORDINARY EHL 1,141,560 323,212,432 0.35 EML PAYMENTS LTD ORDINARY EML 3,830,708 250,203,601 1.53 ENERGY RESOURCES ORDINARY 'A' ERA 2,347,853 517,725,062 0.45 ENERGY WORLD CORPOR. ORDINARY EWC 15,447,746 1,795,631,672 0.86 EQUITY HL ORDINARY EQT 5,330 20,440,699 0.03

21/12/2018 8:59:30 AM 8 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions ERM POWER LIMITED ORDINARY EPW 302,561 254,720,973 0.12 ESERVGLOBAL LIMITED ORDINARY ESV 3 1,210,850,662 0.00 ESTIA HEALTH LTD ORDINARY EHE 6,531,937 260,602,749 2.51 LTD ORDINARY EVN 9,453,459 1,697,069,720 0.56 EXPERIENCE CO LTD ORDINARY EXP 117,000 549,055,083 0.02 FAR LTD ORDINARY FAR 113,980,975 5,461,532,458 2.09 FBR LTD ORDINARY FBR 5,410,452 1,241,726,743 0.44 FISHER & PAYKEL H. ORD FOR. EXEMPT NZX FPH 1,837,012 573,212,602 0.32 ORD FOR. EXEMPT NZX FBU 16,317,973 853,347,141 1.91 FLEXIGROUP LIMITED ORDINARY FXL 3,578,954 374,277,178 0.96 TRAVEL ORDINARY FLT 7,129,597 101,085,430 7.05 FLUENCE CORPORATION ORDINARY FLC 566,199 535,375,296 0.11 FONTERRA SHARE FUND UNIT FOR EXEMPT NZX FSF 416,521 106,632,486 0.39 FORTESCUE METALS GRP ORDINARY FMG 92,928,307 3,111,898,450 2.99 FREEDOM FOOD LTD ORDINARY FNP 2,191,827 244,873,450 0.90 G.U.D. HOLDINGS ORDINARY GUD 1,045,599 86,485,972 1.21 G8 EDUCATION LIMITED ORDINARY GEM 24,875,286 455,379,824 5.46 GALAXY RESOURCES ORDINARY GXY 70,323,740 407,524,024 17.26 GALILEE ENERGY LTD ORDINARY GLL 49,994 225,679,361 0.02 GASCOYNE RES LTD ORDINARY GCY 2,928,311 515,390,362 0.57 GBST HOLDINGS.. ORDINARY GBT 319 67,912,508 0.00

21/12/2018 8:59:30 AM 9 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions GDI PROPERTY GRP STAPLED SECURITIES GDI 902,735 539,612,880 0.17 GENESIS ENERGY LTD ORD FOR. EXEMPT NZX GNE 129,933 1,016,207,079 0.01 GENWORTH MORTGAGE ORDINARY GMA 28,204,462 437,464,832 6.45 GETSWIFT LIMITED ORDINARY GSW 2,088,264 100,588,056 2.08 GOLD ROAD RES LTD ORDINARY GOR 29,154,695 877,498,274 3.32 STAPLED GMG 8,038,840 1,813,881,995 0.44 GPT GROUP STAPLED SEC. GPT 22,012,006 1,804,890,426 1.22 GRAINCORP LIMITED A CLASS ORDINARY GNC 2,194,230 228,855,628 0.96 GREENCROSS LIMITED ORDINARY GXL 4,101,418 120,463,450 3.40 GREENLAND MINERALS ORDINARY GGG 93,677 1,132,649,196 0.01 GROWTHPOINT PROPERTY ORD/UNIT STAPLED SEC GOZ 6,642,115 727,748,545 0.91 GTN LIMITED ORDINARY GTN 79,503 224,720,643 0.04 GWA GROUP LTD ORDINARY GWA 9,790,215 263,947,630 3.71 GWR GROUP LTD ORDINARY GWR 92 253,517,438 0.00 HANSEN TECHNOLOGIES ORDINARY HSN 1,371,468 197,053,243 0.70 ORDINARY HVN 109,911,320 1,179,736,590 9.32 HEALIUS ORDINARY HLS 19,517,045 622,322,365 3.14 LIMITED. ORDINARY HSO 9,819,387 1,741,161,795 0.56 HELLOWORLD TRAVL LTD ORDINARY HLO 409,163 124,508,076 0.33 HIGHFIELD RES LTD ORDINARY HFR 2,868,634 329,525,003 0.87 HORIZON OIL LIMITED ORDINARY HZN 471,260 1,301,981,265 0.04

21/12/2018 8:59:30 AM 10 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions HOTEL PROPERTY STAPLED HPI 460,796 146,105,439 0.32 HT&E LIMITED ORDINARY HT1 18,795,915 308,912,092 6.08 HUB24 LTD ORDINARY HUB 2,119,488 62,163,666 3.41 HUON AQUACULTURE GRP ORDINARY HUO 587,803 87,337,207 0.67 HYDRIX LIMITED ORDINARY HYD 74,512 669,123,459 0.01 IDP EDUCATION LTD ORDINARY IEL 2,554,971 254,444,968 1.00 ORDINARY ILU 857,335 422,395,677 0.20 IMDEX LIMITED ORDINARY IMD 381,774 376,278,670 0.10 IMF BENTHAM LTD ORDINARY IMF 7,045,535 204,608,858 3.44 IMPEDIMED LIMITED ORDINARY IPD 13,789,420 378,993,655 3.64 ORDINARY IPL 13,425,829 1,630,213,573 0.82 INDEPENDENCE GROUP ORDINARY IGO 29,259,339 590,477,819 4.96 INDUSTRIA REIT STAPLED IDR 1,656 162,839,743 0.00 INFIGEN ENERGY DEFERRED SETTLEMENT IFNDA 5,775,040 956,561,869 0.60 INFIGEN ENERGY STAPLED SECURITIES IFN 38,471,637 956,561,869 4.02 INGENIA GROUP STAPLED SECURITIES INA 604,265 232,175,125 0.26 INGHAMS GROUP ORDINARY ING 50,464,502 380,243,196 13.27 INSURANCE AUSTRALIA ORDINARY IAG 6,080,299 2,311,046,583 0.26 INTEGRATED RESEARCH ORDINARY IRI 3,078,149 171,770,753 1.79 INVESTA OFFICE FUND STAPLED SECURITIES IOF 68,948 598,418,985 0.01 INVOCARE LIMITED ORDINARY IVC 13,363,927 110,256,355 12.12

21/12/2018 8:59:30 AM 11 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions IONEER LTD ORDINARY INR 15,710,812 1,469,983,509 1.07 IOOF HOLDINGS LTD ORDINARY IFL 36,828,036 351,076,027 10.49 IPH LIMITED ORDINARY IPH 2,636,921 197,341,566 1.34 IRESS LIMITED ORDINARY IRE 3,091,194 173,167,626 1.79 IRONBARK ZINC LTD ORDINARY IBG 47,188 709,650,690 0.01 ISELECT LTD ORDINARY ISU 3,756,984 218,608,261 1.72 ISENTIA GROUP LTD ORDINARY ISD 847,478 200,000,001 0.42 ISHS ASIA 50 ETF DEFERRED SETTLEMENT IAADA 64 5,106,435 0.00 IVEGROUP ORDINARY IGL 235,539 148,179,157 0.16 JAMES HARDIE INDUST CHESS DEPOSITARY INT JHX 10,794,091 442,263,913 2.44 CDI 1:1 JHG 1,896,644 65,680,089 2.89 JAPARA HEALTHCARE LT ORDINARY JHC 9,230,184 267,135,251 3.46 JB HI-FI LIMITED ORDINARY JBH 20,476,954 114,883,372 17.82 JOHNS LYNG GROUP ORDINARY JLG 68,282 222,087,758 0.03 JUPITER MINES. ORDINARY JMS 6,750,133 1,958,991,033 0.34 KAROON ENERGY LTD ORDINARY KAR 13,549,611 245,721,153 5.51 KATHMANDU HOLD LTD ORDINARY KMD 5,573 225,781,068 0.00 KIDMAN RESOURCES LTD ORDINARY KDR 31,670,797 399,560,792 7.93 KIN MIN NL ORDINARY KIN 131,994 439,882,337 0.03 KLEOS CDI 1:1 KSS 613,194 71,072,500 0.86 KOGAN.COM LTD ORDINARY KGN 3,094,114 93,708,139 3.30

21/12/2018 8:59:30 AM 12 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions LEIGH CRK ENERGY LTD ORDINARY LCK 198,840 471,530,603 0.04 GROUP UNIT/ORD STAPLED LLC 7,416,739 565,788,956 1.31 LIFESTYLE COMMUNIT. ORDINARY LIC 24,720 104,545,131 0.02 LINK ADMIN HLDG ORDINARY LNK 7,633,491 532,182,254 1.43 LIQUEFIED NATURAL ORDINARY LNG 25,921,664 570,986,206 4.54 LITHIUM AUSTRALIA NL ORDINARY LIT 1,990,895 463,919,474 0.43 LITHIUM PWR INT LTD ORDINARY LPI 216,224 262,513,903 0.08 LONGTABLE GROUP LTD ORDINARY LON 449,314 122,722,043 0.37 LOVISA HOLDINGS LTD ORDINARY LOV 1,446,338 105,566,000 1.37 CORPORATION ORDINARY LYC 35,661,612 665,681,660 5.36 MACA LIMITED ORDINARY MLD 12,898,553 268,007,708 4.81 LTD ORDINARY MQG 1,369,240 340,382,738 0.40 MAGELLAN FIN GRP LTD ORDINARY MFG 3,439,492 177,087,458 1.94 MAGNIS ENERGY TECH ORDINARY MNS 1,125,811 611,135,996 0.18 MARLEY SPOON CDI 1000:1 MMM 305,649 115,807,000 0.26 MAYNE PHARMA LTD ORDINARY MYX 28,879,521 1,582,936,521 1.82 MCMILLAN SHAKESPEARE ORDINARY MMS 850,759 83,204,720 1.02 PRIVATE LTD ORDINARY MPL 45,125,494 2,754,003,240 1.64 MEDIBIO LIMITED ORDINARY MEB 526 202,628,271 0.00 MEDICAL DEVELOPMENTS ORDINARY MVP 193,483 65,401,942 0.30 MEGAPORT LIMITED ORDINARY MP1 1,672 118,607,488 0.00

21/12/2018 8:59:30 AM 13 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions MERCURY NZ LIMITED ORD FOR.EXEMPT NZX MCY 266 1,362,023,932 0.00 MERIDIAN ENERGY ORD FOR. EXEMPT NZX MEZ 62,600 1,255,413,626 0.00 MESOBLAST LIMITED ORDINARY MSB 37,571,232 497,365,913 7.55 METALS X LIMITED ORDINARY MLX 40,458,347 689,060,508 5.87 LIMITED ORDINARY MTS 118,364,013 909,256,748 13.02 METRO MINING LTD ORDINARY MMI 3 1,384,207,029 0.00 MG UNIT TRUST ORDINARY MGC 148,939 216,907,272 0.07 MICHAEL HILL INT ORDINARY MHJ 588,292 387,438,513 0.15 MINERAL RESOURCES. ORDINARY MIN 5,244,543 187,968,322 2.79 GROUP STAPLED SECURITIES MGR 64,803,756 3,662,219,117 1.77 MMAOFFSHOR ORDINARY MRM 29,958,112 858,077,084 3.49 MMJ GROUP HLDS LTD ORDINARY MMJ 54,538 230,148,985 0.02 MNF GROUP LTD ORDINARY MNF 118,831 73,377,359 0.16 MOD RESOURCES LTD ORDINARY MOD 902,805 248,572,620 0.36 MOELIS AUSTRALIA LTD ORDINARY MOE 11,047 153,809,776 0.01 MONADELPHOUS GROUP ORDINARY MND 6,567,085 94,242,528 6.97 MONASH IVF GROUP LTD ORDINARY MVF 1,250,479 235,580,943 0.53 MONEY3 CORPORATION ORDINARY MNY 1,041,738 179,918,320 0.58 MORTGAGE CHOICE LTD ORDINARY MOC 2,151,700 124,997,440 1.72 MOUNT GIBSON IRON ORDINARY MGX 2,114,197 1,128,369,730 0.19 MYER HOLDINGS LTD ORDINARY MYR 96,758,115 821,278,815 11.78

21/12/2018 8:59:30 AM 14 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions MYOB GROUP LTD ORDINARY MYO 10,985,359 590,802,197 1.86 MYSTATE LIMITED ORDINARY MYS 137,400 90,659,426 0.15 NANOSONICS LIMITED ORDINARY NAN 24,893,910 299,884,295 8.30 NATIONAL AUST. BANK ORDINARY NAB 17,123,626 2,734,231,856 0.63 STAPLED NSR 19,670,019 668,491,074 2.94 NAVIGATOR GLOBAL LTD ORDINARY NGI 977,805 162,147,897 0.60 NAVITAS LIMITED ORDINARY NVT 3,194,789 358,251,068 0.89 NEARMAP LTD ORDINARY NEA 1,593,809 444,562,928 0.36 NEOMETALS LTD ORDINARY NMT 2,016,986 543,947,221 0.37 NETCOMM WIRELESS ORDINARY NTC 821,814 146,329,906 0.56 NETWEALTH GROUP ORDINARY NWL 8,896,102 237,679,817 3.74 NEW CENTURY RESOURCE ORDINARY NCZ 10,941,480 503,972,048 2.17 NEW HOPE CORPORATION ORDINARY NHC 1,181,727 831,266,604 0.14 ORDINARY NCM 5,210,522 768,252,697 0.68 NEWFIELD RESOURCES ORDINARY NWF 12,626 581,299,552 0.00 NEWS CORP.. A NON-VOTING CDI NWSLV 321,121 17,955,981 1.79 NEWS CORP.. B VOTING CDI NWS 4,873,892 53,444,234 9.12 NEXTDC LIMITED ORDINARY NXT 40,896,418 343,655,108 11.90 NIB HOLDINGS LIMITED ORDINARY NHF 5,616,567 455,551,378 1.23 NICK SCALI LIMITED ORDINARY NCK 1,862,845 81,000,000 2.30 ORDINARY NEC 29,438,537 1,705,393,253 1.73

21/12/2018 8:59:30 AM 15 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions NONI B LIMITED ORDINARY NBL 24,242 97,111,245 0.02 NORTHERN STAR ORDINARY NST 4,809,994 639,454,848 0.75 NRW HOLDINGS LIMITED ORDINARY NWH 4,655,831 375,891,525 1.24 LIMITED ORDINARY NUF 35,870,826 379,578,807 9.45 NUHEARA LIMITED ORDINARY NUH 107,893 960,660,390 0.01 NZME LIMITED ORD FOR. EXEMPT NZX NZM 71,414 196,011,282 0.04 OCEANAGOLD CORP. CHESS DEPOSITARY INT OGC 325,738 618,006,415 0.05 OFX GROUP LTD ORDINARY OFX 2,427,428 242,522,677 1.00 LTD ORDINARY OSH 16,044,759 1,523,631,192 1.05 OM HOLDINGS LIMITED ORDINARY OMH 197,018 738,623,337 0.03 ONEMARKET ORDINARY OMN 587,009 93,849,350 0.63 ONEVUE HOLDINGS LTD ORDINARY OVH 226,466 264,337,753 0.09 OOH!MEDIA LIMITED ORDINARY OML 804,344 236,640,789 0.34 LIMITED ORDINARY ORI 11,054,317 379,941,076 2.91 ORDINARY ORG 15,378,475 1,759,441,775 0.87 LIMITED ORDINARY ORE 36,513,074 261,533,001 13.96 ORORA LIMITED ORDINARY ORA 5,778,101 1,206,684,923 0.48 OZ MINERALS ORDINARY OZL 7,269,384 322,899,831 2.25 PACT GROUP HLDGS LTD ORDINARY PGH 13,258,321 343,993,595 3.85 PALADIN ENERGY LTD ORDINARY PDN 1,435,443 1,747,305,909 0.08 PANORAMIC RESOURCES ORDINARY PAN 131,675 494,527,982 0.03

21/12/2018 8:59:30 AM 16 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions PARAGON CARE LIMITED ORDINARY PGC 87,025 337,126,739 0.03 PARINGA RESOURCES ORDINARY PNL 55,321 454,386,181 0.01 PEEL MINING LIMITED DEFERRED PEXNB 7,538 24,266,996 0.03 PENDAL GROUP LTD ORDINARY PDL 9,178,592 318,006,576 2.89 PENINSULA ENERGY LTD ORDINARY PEN 393,673 241,676,947 0.16 ORDINARY PPT 2,212,958 46,574,426 4.75 PERSEUS MINING LTD ORDINARY PRU 15,945,239 1,034,951,530 1.54 PHOSLOCK ENV TEC LTD ORDINARY PET 543,056 528,691,581 0.10 PIEDMONT LITHIUM LTD ORDINARY PLL 157,099 666,373,278 0.02 PILBARA MIN LTD ORDINARY PLS 141,714,544 1,744,513,405 8.12 PINNACLE INVESTMENT ORDINARY PNI 477,050 180,801,736 0.26 PIONEER CREDIT LTD ORDINARY PNC 267,128 63,192,974 0.42 PLATINUM ASSET ORDINARY PTM 28,232,539 586,678,900 4.81 POLYNOVO LIMITED ORDINARY PNV 4,662,392 659,088,044 0.71 PRAEMIUM LIMITED ORDINARY PPS 222,801 405,074,641 0.06 PREMIER INVESTMENTS ORDINARY PMV 938,798 158,184,556 0.59 PRIME MEDIA GRP LTD ORDINARY PRT 76,398 366,330,303 0.02 PRO MEDICUS LIMITED ORDINARY PME 11,974 103,616,518 0.01 PRO-PAC PACKAGING ORDINARY PPG 155,519 810,050,188 0.02 PROPERTYLINK GRP STAPLED US PROHIBIT PLG 274,963 602,780,330 0.05 PUSHPAY HOLDINGS LTD ORD FOR. EXEMPT NZX PPH 2,806 274,721,167 0.00

21/12/2018 8:59:30 AM 17 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions AIRWAYS ORDINARY QAN 4,385,458 1,636,214,828 0.27 QBE INSURANCE GROUP ORDINARY QBE 35,051,238 1,328,678,292 2.64 LTD ORDINARY QUB 45,758,246 1,605,545,284 2.85 QUINTIS LTD ORDINARY QIN 32,543,062 390,291,753 8.34 RAMELIUS RESOURCES ORDINARY RMS 308,929 528,594,350 0.06 ORDINARY RHC 7,078,277 202,081,252 3.50 RCR TOMLINSON ORDINARY RCR 11,185,330 265,641,595 4.21 REA GROUP ORDINARY REA 2,635,135 131,714,699 2.00 RECKON LIMITED ORDINARY RKN 37,787 113,294,832 0.03 RED RIVER RESOURCES ORDINARY RVR 783,094 489,932,000 0.16 REDBUBBLE LIMITED ORDINARY RBL 424,232 256,156,543 0.17 REECE LIMITED ORDINARY REH 520,817 560,822,855 0.09 REGIONAL EXPRESS ORDINARY REX 979 110,154,375 0.00 REGIS HEALTHCARE LTD ORDINARY REG 6,688,598 300,653,689 2.22 REGIS RESOURCES ORDINARY RRL 8,080,882 507,307,339 1.59 RELIANCE WORLDWIDE ORDINARY RWC 52,868,305 790,094,765 6.69 RESMED INC CDI 10:1 FOR. EXEMP RMD 3,584,608 1,424,941,161 0.25 RESOLUTE MINING ORDINARY RSG 41,305,802 757,512,088 5.45 RETAIL FOOD GROUP ORDINARY RFG 8,830,211 182,745,510 4.83 REVA MEDICAL, INC CDI 10:1 RVA 336,200 415,067,670 0.08 RIDLEY CORPORATION ORDINARY RIC 414,250 307,817,071 0.13

21/12/2018 8:59:30 AM 18 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions LIMITED ORDINARY RIO 14,027,669 371,216,214 3.78 RURAL FUNDS GROUP STAPLED RFF 568,120 333,137,778 0.17 RXP SERVICES LTD ORDINARY RXP 11,008 161,097,185 0.01 S2 RESOURCES ORDINARY S2R 1,389,322 247,915,179 0.56 SANDFIRE RESOURCES ORDINARY SFR 4,556,487 159,558,793 2.86 SANTOS LTD ORDINARY STO 5,498,539 2,082,911,041 0.26 SARACEN MINERAL ORDINARY SAR 24,049,719 820,271,771 2.93 SCA PROPERTY GROUP STAPLED SECURITIES SCP 17,326,604 914,988,749 1.89 SCENTRE GRP STAPLED SCG 21,478,553 5,316,997,206 0.40 SEALINK TRAVEL GRP ORDINARY SLK 682,530 101,429,103 0.67 ORDINARY SEK 20,354,216 351,135,882 5.80 SELECT HARVESTS ORDINARY SHV 1,127,318 95,470,160 1.18 SENEX ENERGY LIMITED ORDINARY SXY 49,465,617 1,452,999,535 3.40 SERVCORP LIMITED ORDINARY SRV 270,344 98,432,275 0.27 SERVICE STREAM ORDINARY SSM 950,457 361,208,042 0.26 ORDINARY SVW 6,448,959 339,357,656 1.90 LTD ORDINARY SWM 6,682,005 1,508,034,368 0.44 SG FLEET GROUP LTD ORDINARY SGF 928,412 261,896,269 0.35 SHEFFIELD RES LTD ORDINARY SFX 1 255,441,868 0.00 SIGMA HEALTH LTD ORDINARY SIG 44,075,556 1,059,491,073 4.16 SILEX SYSTEMS ORDINARY SLX 39,502 170,467,339 0.02

21/12/2018 8:59:30 AM 19 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions SILVER CHEF LIMITED ORDINARY SIV 212,192 39,267,916 0.54 SILVER HERITAGE GRP ORDINARY SVH 10,852 1,261,219,760 0.00 SILVER LAKE RESOURCE ORDINARY SLR 505,896 507,962,222 0.10 SILVER MINES LIMITED ORDINARY SVL 97,871 633,084,403 0.02 SIMS METAL MGMT LTD ORDINARY SGM 9,269,036 203,408,191 4.56 SKY NETWORK ORDINARY SKT 3,249,738 389,139,785 0.84 SKYCITY ENT GRP LTD ORD FOR. EXEMPT NZX SKC 15,114,106 652,750,845 2.32 SLATER & GORDON ORDINARY SGH 72 69,527,235 0.00 SMARTGRP CORPORATION ORDINARY SIQ 670,476 130,891,931 0.51 ORDINARY SHL 6,805,516 426,163,107 1.60 SOUL PATTINSON (W.H) ORDINARY SOL 2,585,224 239,395,320 1.08 LIMITED ORDINARY S32 44,390,122 5,081,211,898 0.87 STAPLED US PROHIBT. SKI 54,152,458 1,682,010,978 3.22 ORD FOR. EXEMPT NZX SPK 18,575,408 1,836,191,581 1.01 SPEEDCAST INT LTD ORDINARY SDA 23,203,509 239,426,632 9.69 LIMITED ORDINARY SBM 8,953,486 524,290,599 1.71 STARGROUP LTD ORDINARY STL 1 120,023,826 0.00 STARPHARMA HOLDINGS ORDINARY SPL 8,793,112 371,620,542 2.37 STEADFAST GROUP LTD ORDINARY SDF 13,162,895 793,035,955 1.66 STHN CROSS MEDIA ORDINARY SXL 3,046,764 769,013,605 0.40 UNITS/ORD STAPLED SGP 23,512,764 2,407,452,361 0.98

21/12/2018 8:59:30 AM 20 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions SUMMERSET GRP HLDGS ORD FOR. EXEMPT NZX SNZ 6,078,328 225,415,662 2.70 LTD ORDINARY SUN 4,962,287 1,298,503,953 0.38 SUNDANCE ENERGY DEFERRED SETTLEMENT SEADA 4,021,121 686,769,680 0.59 SUNDANCE ENERGY ORDINARY SEA 281,478 6,874,237,963 0.00 SUNDANCE RESOURCES ORDINARY SDL 1,360 8,375,846,952 0.00 SUPER RET REP LTD ORDINARY SUL 18,789,836 197,383,751 9.52 SUPERLOOP LIMITED ORDINARY SLC 6,841,924 228,596,633 2.99 SYD AIRPORT STAPLED SYD 33,648,286 2,255,226,483 1.49 SYNLAIT MILK LTD ORD FOR. EXEMPT NZX SM1 98,716 179,223,028 0.06 SYRAH RESOURCES ORDINARY SYR 58,103,303 343,603,692 16.91 LTD ORDINARY TAH 84,807,626 2,015,623,129 4.21 TARUGA MINERALS ORDINARY TAR 4,000 141,167,238 0.00 GROUP LIMITED ORDINARY TGR 1,488,598 177,263,858 0.84 TECHNOLOGY ONE ORDINARY TNE 8,720,880 317,119,876 2.75 CORPORATION. ORDINARY TLS 51,642,306 11,893,297,855 0.43 TERRACOM LTD ORDINARY TER 2,691 380,085,413 0.00 ORDINARY A2M 50,174,273 733,297,297 6.84 THE BETMAKERS ORDINARY TBH 2,377 224,105,390 0.00 THE REJECT SHOP ORDINARY TRS 10,716 28,908,148 0.04 THE STAR ENT GRP ORDINARY SGR 17,584,054 917,322,730 1.92 THORN GROUP LIMITED ORDINARY TGA 1,407,285 159,929,582 0.88

21/12/2018 8:59:30 AM 21 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions TIGER RESOURCES ORDINARY TGS 990,158 2,157,152,407 0.05 TITOMIC LIMITED ORDINARY TTT 64,681 64,488,335 0.10 TORO ENERGY LIMITED ORDINARY TOE 245,989 2,161,293,854 0.01 TPG TELECOM LIMITED ORDINARY TPM 20,170,404 927,811,493 2.17 GROUP ORD FOR. EXEMPT NZX TME 1,226,793 396,973,029 0.31 GROUP RTS11SEP18 FORUS TCLRB 17,071 445,681,801 0.00 TRANSURBAN GROUP TRIPLE STAPLED SEC. TCL 35,435,513 2,671,617,024 1.33 TREASURY WINE ESTATE ORDINARY TWE 8,872,532 718,663,546 1.23 TUNGSTEN MIN NL ORDINARY TGN 207,740 728,890,954 0.03 UNIBAILRODAWESTFIELD CDI 20:1 URW 3,256,616 421,077,500 0.77 VALOR RESOURCES LTD ORDINARY VAL 26,659 1,893,192,258 0.00 ORD/UNIT STAPLED SEC VCX 37,255,134 3,836,167,007 0.97 VILLA WORLD LTD. ORDINARY VLW 4,715,538 125,969,542 3.74 VILLAGE ROADSHOW LTD ORDINARY VRL 3,746,181 194,287,471 1.93 VIRGIN AUS HLDG LTD ORDINARY VAH 15,645,006 8,445,218,474 0.19 VIRTUS HEALTH LTD ORDINARY VRT 460,632 80,389,938 0.57 VITA GROUP LTD ORDINARY VTG 434,688 161,477,787 0.27 GROUP ORDINARY VEA 60,935,899 1,944,535,168 3.13 VIVA ENERGY REIT STAPLED VVR 4,228,919 725,749,702 0.58 VNGD AUS HIGH YIELD ETF UNITS VHY 4 18,862,123 0.00 LTD ORDINARY VOC 31,012,881 622,263,818 4.98

21/12/2018 8:59:30 AM 22 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions VOLPARA HEALTH TECH ORDINARY VHT 130,068 179,182,158 0.07 WAGNERS HLD COMPANY ORDINARY WGN 4,844,478 161,375,590 3.00 LIMITED ORDINARY WEB 1,164,273 135,601,009 0.86 WEBSTER LTD ORDINARY WBA 128,830 361,245,163 0.04 WELLARD LIMITED ORDINARY WLD 6,096 531,250,312 0.00 LIMITED ORDINARY WES 18,610,751 1,133,840,242 1.64 WEST AFRICAN RES LTD ORDINARY WAF 536,203 863,524,727 0.06 WESTERN AREAS LTD ORDINARY WSA 11,542,771 273,486,380 4.22 WESTFIELD GROUP ORD/UNIT STAPLED SEC WDC 1 0 WESTGOLD RESOURCES. ORDINARY WGX 12,535,707 389,109,569 3.22 BANKING CORP ORDINARY WBC 59,256,638 3,434,796,711 1.73 WHITEHAVEN COAL ORDINARY WHC 36,917,470 1,026,045,885 3.60 WISETECH GLOBAL LTD ORDINARY WTC 10,704,978 301,024,598 3.56 ORDINARY WPL 6,924,769 936,151,549 0.74 WOOLWORTHS GROUP LTD ORDINARY WOW 31,782,781 1,317,413,180 2.41 WORLEYPARSONS LTD ORDINARY WOR 10,592,730 460,766,962 2.30 WPP AUNZ LTD ORDINARY WPP 4,799,788 852,151,870 0.56 XENITH IP GROUP LTD ORDINARY XIP 330,000 88,717,931 0.37 LTD ORDINARY XRO 931,566 140,568,209 0.66 YANCOAL AUST LTD ORDINARY YAL 17,650 1,315,513,656 0.00 YOWIE GROUP ORDINARY YOW 350,141 217,748,987 0.16

21/12/2018 8:59:30 AM 23 Reported Daily Short Positions for 17/12/18

Disclaimer: No responsibility is accepted for any inaccuracies contained in the matter published.

Product Product Code Reported Short Positions Total Product in Issue % of Total Product in Issue Reported as Short Positions Z ENERGY LTD. ORD FOR. EXEMPT NZX ZEL 2,835,608 400,000,000 0.71 ZIP CO LTD. ORDINARY Z1P 1,332,894 301,706,286 0.44 ZIPTEL LIMITED ORDINARY ZIP 41,674 149,733,899 0.03

21/12/2018 8:59:30 AM 24