F-3175

FORM 604

Corporations Act 2001

Section 671B

Notice of change of interests of substantial holder

To: Company Name/Scheme: VOCUS COMMUNICATIONS LIMITED

ACN/ARSN: 084 115 499

1. Details of substantial holder

Name: of Australia ACN 123 123 124 (CBA) and its related bodies corporate listed in annexure A

There was a change in the interests of the substantial holder on 09/07/2015

The previous notice was given to the company on 13/03/2015

The previous notice was dated 12/03/2015

2. Previous and present voting power

The total number of votes attached to all the voting shares in the company or voting interests in the scheme that the substantial holder or an associate had a relevant interest in when last required, and when now required, to give a substantial holding notice to the company or scheme are as follows:

Class of securities Previous notice Present notice

Person's votes Voting power (%) Person's votes Voting power (%)

Fully Paid Ordinary 5,507,447 5.22 9,854,195 4.28 Shares

For the Securities (if any) listed below see NOTE 1 at the end of this form

Class of securities Previous notice Present notice

Person's votes Voting power (%) Person's votes Voting power (%)

Fully Paid Ordinary 0.83 See note 1 at the 0.76 See note 1 at the 883,624 1,770,781 Shares end of this form end of this form

Class of securities Previous notice Present notice

Person's votes Voting power (%) Person's votes Voting power (%)

Grand TOTAL 6,391,071 6.06 11,624,976 5.05

3. Changes in relevant interest Particulars of each change in, or change in the nature of, a relevant interest of the substantial shareholder or an associate in voting securities of the company or scheme, since the substantial holder was last required to give a substantial holding notice to the company or scheme are as follows:

Person whose Nature of Consideration given in Class and number of Person's votes Date of change relevant interest change relation to change securities affected affected changed

See annexure B to this notice

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4. Present relevant interest

Particulars of each relevant interest of the substantial holder in voting securities after the change are as follows:

Person entitled to Class and Holder of relevant Registered holder Person's be registered as Nature of relevant interest number of interest of securities votes holder securities

Relevant interest under paragraph 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth), being a relevant interest arising as a result of having the power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of securities in a proprietary capacity (including as a result of underwriting activities), but where the securities CBA Equities Share Direct are held by a nominee or custodian 62,187 Limited ACN 003 Nominees Pty for CBAE. In addition, if any OTC Fully paid ordinary 62,187 485 952 Limited derivatives, warrants or other shares securities (other than ordinary shares or ordinary units (as applicable)) are referred to below in this row, the relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived from; ordinary shares 62,187

Relevant interest under paragraph 608(1)(a), 608(1)(b) and 608(1)(c) of the Corporations Act 2001 (Cth), being a relevant interest arising as a result of being the registered holder of the relevant securities in its capacity as a superannuation trustee. In addition, if any OTC derivatives, Avanteos warrants or other securities (other Avanteos 3,910 Investments than ordinary shares or ordinary units Investments Fully paid ordinary 3,910 Limited ACN 096 (as applicable)) are referred to below Limited shares 259 979 in this row, the relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived from; ordinary shares 3,910

Colonial First State Citicorp Nominees Relevant interest under paragraph 1,343,473 Investments Pty Limited 608(1)(b) and/or 608(1)(c) of the Fully paid ordinary 1,343,473 Limited (Note 1) (Australia) Corporations Act 2001 (Cth), being a shares ACN 002 348 352 relevant interest arising from having

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the residual power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of securities in its capacity as a responsible entity of a managed investment scheme (which managed investment scheme is not managed by either Colonial First State Investments Limited or a related body corporate). In addition, if any OTC derivatives, warrants or other securities (other than ordinary shares or ordinary units (as applicable)) are referred to below in this row, the relevant interest in respect of those securities arises under subsection 608(8) being a residual accelerated relevant interest held in the same capacity. Colonial First State Investments Limited has authorised the manager of each such managed investment scheme to exercise the powers referred to in paragraph 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth) in relation to those securities managed by the manager to the exclusion of Colonial First State Investments Limited except for provisions allowing Colonial First State Investments Limited to terminate the agreement with the manager or to exercise those powers where the agreement is terminated.

Nature of relevant interest derived from; ordinary shares 1,343,473

Relevant interest under paragraph 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth), being a relevant interest arising from having the residual power to control the exercise of the right to vote attached to securities and/or to control the 91,295 exercise of the power to dispose of Fully paid ordinary securities in its capacity as a shares Colonial First State responsible entity of a managed Investments UBS Nominees Pty investment scheme (which managed (including 136,550 91,295 Limited (Note 1) Ltd investment scheme is not managed borrowed from ACN 002 348 352 by either Colonial First State UBS AG Investments Limited or a related body (Agreement 2), see corporate). In addition, if any OTC Annexure C) derivatives, warrants or other securities (other than ordinary shares or ordinary units (as applicable)) are referred to below in this row, the relevant interest in respect of those securities arises under subsection 608(8) being a residual accelerated

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relevant interest held in the same capacity. Colonial First State Investments Limited has authorised the manager of each such managed investment scheme to exercise the powers referred to in paragraph 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth) in relation to those securities managed by the manager to the exclusion of Colonial First State Investments Limited except for provisions allowing Colonial First State Investments Limited to terminate the agreement with the manager or to exercise those powers where the agreement is terminated.

Nature of relevant interest derived from; ordinary shares 91,295

Relevant interest under paragraph 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth), being a relevant interest arising from having the residual power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of securities in its capacity as a responsible entity of a managed investment scheme (which managed investment scheme is not managed by either Colonial First State Investments Limited or a related body corporate). In addition, if any OTC 336,013 derivatives, warrants or other Fully paid ordinary securities (other than ordinary shares shares or ordinary units (as applicable)) are Colonial First State referred to below in this row, the Investments Citibank N A Hong (including 36,331 relevant interest in respect of those 336,013 Limited (Note 1) Kong borrowed from securities arises under subsection ACN 002 348 352 Citigroup Global 608(8) being a residual accelerated Markets Limited relevant interest held in the same (Agreement 1), see capacity. Colonial First State Annexure C) Investments Limited has authorised the manager of each such managed investment scheme to exercise the powers referred to in paragraph 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth) in relation to those securities managed by the manager to the exclusion of Colonial First State Investments Limited except for provisions allowing Colonial First State Investments Limited to terminate the agreement with the manager or to exercise those powers where the agreement is terminated.

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Nature of relevant interest derived from; ordinary shares 336,013

Relevant interest under paragraph 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth), being a relevant interest arising from having the power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of securities in its capacity as investment manager, as provided for under its investment Realindex mandates. In addition, if any OTC 240,682 Investments Pty Citibank N A Hong derivatives, warrants or other Fully paid ordinary 240,682 Limited ACN 133 Kong securities (other than ordinary shares shares 312 017 or ordinary units (as applicable)) are referred to below in this row, the relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived from; ordinary shares 240,682

Relevant interest under paragraph 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth), being a relevant interest arising from having the power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of securities in its capacity as trustee for the Officers' Commonwealth Superannuation Fund. In addition, if Bank Officers Citicorp Nominees any OTC derivatives, warrants or 178,361 Superannuation Pty Limited other securities (other than ordinary Fully paid ordinary 178,361 Corporation Pty (Australia) shares or ordinary units (as shares Limited ACN 074 applicable)) are referred to below in 519 798 this row, the relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived from; ordinary shares 178,361

Relevant interest under paragraph Colonial First State 608(1)(b) and/or 608(1)(c) of the Asset Citicorp Nominees Corporations Act 2001 (Cth), being a 7,018,220 Management Pty Limited relevant interest arising from having Fully paid ordinary 7,018,220 (Australia) Limited (Australia) the power to control the exercise of shares ACN 114 194 311 the right to vote attached to securities and/or to control the exercise of the power to dispose of securities in its

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capacity as investment manager (as provided for under its investment mandates). In addition, if any OTC derivatives, warrants or other securities (other than ordinary shares or ordinary units (as applicable)) are referred to below in this row, the relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived from; ordinary shares 7,018,220

Relevant interest under paragraph 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth), being a relevant interest arising from having the power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of securities in its capacity as investment manager (as Colonial First State provided for under its investment Asset National Bank mandates). In addition, if any OTC 247,345 Management Nominees Pty derivatives, warrants or other Fully paid ordinary 247,345 (Australia) Limited Limited securities (other than ordinary shares shares ACN 114 194 311 or ordinary units (as applicable)) are referred to below in this row, the relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived from; ordinary shares 247,345

Relevant interest under paragraph 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth), being a relevant interest arising from having the power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of securities in its Colonial First State capacity as investment manager (as Asset 671,040 provided for under its investment Management JPMorgan (UK) Fully paid ordinary 671,040 mandates). In addition, if any OTC (Australia) Limited shares derivatives, warrants or other ACN 114 194 311 securities (other than ordinary shares or ordinary units (as applicable)) are referred to below in this row, the relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived

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from; ordinary shares 671,040

Relevant interest under paragraph 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth), being a relevant interest arising from having the power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of securities in its capacity as investment manager (as Colonial First State provided for under its investment Asset mandates). In addition, if any OTC 282,044 BNP Paribas Management derivatives, warrants or other Fully paid ordinary 282,044 Securities (Australia) Limited securities (other than ordinary shares shares ACN 114 194 311 or ordinary units (as applicable)) are referred to below in this row, the relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived from; ordinary shares 282,044

Relevant interest under paragraph 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth), being a relevant interest arising from having the power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of securities in its capacity as investment manager (as Colonial First State provided for under its investment Asset mandates). In addition, if any OTC 1,150,406 Citibank N A Hong Management derivatives, warrants or other Fully paid ordinary 1,150,406 Kong (Australia) Limited securities (other than ordinary shares shares ACN 114 194 311 or ordinary units (as applicable)) are referred to below in this row, the relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived from; ordinary shares 1,150,406

Relevant interest under paragraph 608(1)(b) and/or 608(1)(c) of the Colonial First State Corporations Act 2001 (Cth), being a Citicorp Nominees 7,623,084 Investments relevant interest arising from having Pty Limited Fully paid ordinary 7,623,084 Limited ACN 002 the power to control the exercise of (Australia) shares 348 352 the right to vote attached to securities and/or to control the exercise of the power to dispose of securities in its capacity as a responsible entity of a

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managed investment scheme (which managed investment scheme is managed by Colonial First Statement Investments Limited or a related body corporate). In addition, if any OTC derivatives, warrants or other securities (other than ordinary shares or ordinary units (as applicable)) are referred to below in this row, the relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived from; ordinary shares 7,623,084

Relevant interest under paragraph 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth), being a relevant interest arising from having the power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of securities in its capacity as a responsible entity of a managed investment scheme (which 91,295 managed investment scheme is Fully paid ordinary shares Colonial First State managed by Colonial First Statement

Investments UBS Nominees Pty Investments Limited or a related body (including 136,550 91,295 Limited ACN 002 Ltd corporate). In addition, if any OTC borrowed from 348 352 derivatives, warrants or other securities (other than ordinary shares UBS AG or ordinary units (as applicable)) are (Agreement 2), see referred to below in this row, the Annexure C) relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived from; ordinary shares 91,295

Relevant interest under paragraph 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth), being a 1,664,074 relevant interest arising from having Fully paid ordinary the power to control the exercise of shares the right to vote attached to securities Colonial First State and/or to control the exercise of the Investments Citibank N A Hong (including 36,331 power to dispose of securities in its 1,664,074 Limited ACN 002 Kong borrowed from capacity as a responsible entity of a 348 352 Citigroup Global managed investment scheme (which Markets Limited managed investment scheme is (Agreement 1), see managed by Colonial First Statement Annexure C) Investments Limited or a related body corporate). In addition, if any OTC derivatives, warrants or other securities (other than ordinary shares

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or ordinary units (as applicable)) are referred to below in this row, the relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived from; ordinary shares 1,664,074

Relevant interest under paragraph 608(1)(c) of the Corporations Act 2001 (Cth), being a relevant interest arising from having the power to control the exercise of the power to dispose of securities in its capacity as investment manager, as provided for under its investment mandates, or in its capacity as the provider of a discretionary investment management Sovereign Citicorp Nominees service.. In addition, if any OTC 10,601 Services Limited Pty Limited derivatives, warrants or other Fully paid ordinary 10,601 ACN 969417 (Australia) securities (other than ordinary shares shares or ordinary units (as applicable)) are referred to below in this row, the relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived from; ordinary shares 10,601

Relevant interest under paragraph 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth), being a relevant interest arising from having the power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of securities in its capacity as investment manager, as provided for under its investment ASB Group mandates, as a life company holding 63,027 Investments Citibank N A Hong statutory funds and as the responsible Fully paid ordinary 63,027 Limited Company Kong entity or manager of a managed shares Number 533945 investment scheme. In addition, if any OTC derivatives, warrants or other securities (other than ordinary shares or ordinary units (as applicable)) are referred to below in this row, the relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived from;

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ordinary shares 63,027

Relevant interest under paragraph 608(1)(a), 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth), being a relevant interest arising from holding securities, having the power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of securities in a proprietary capacity as a life insurance company. Statutory fund holdings are held by The Colonial external custodians and voted by the Mutual Life Citicorp Nominees relevant investment manager, so 119,779 Assurance Society Pty Limited CMLA's relevant interest is qualified Fully paid ordinary 119,779 Limited ACN 004 (Australia) accordingly. In addition, if any OTC shares 021 809 derivatives, warrants or other securities (other than ordinary shares or ordinary units (as applicable)) are referred to below in this row, the relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived from; ordinary shares 119,779

Relevant interest under paragraph 608(1)(b) and/or 608(1)(c) of the Corporations Act 2001 (Cth), being a relevant interest arising from having the power to control the exercise of the right to vote attached to securities and/or to control the exercise of the power to dispose of securities in its capacity as investment manager (as Colonial First State provided for under its investment Asset Citicorp Nominees mandates). In addition, if any OTC 6,887,840 Management Pty Limited derivatives, warrants or other Fully paid ordinary 6,887,840 (Australia) Limited (Australia) securities (other than ordinary shares shares ACN 114 194 311 or ordinary units (as applicable)) are referred to below in this row, the relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived from; ordinary shares 6,887,840

Colonial First State Relevant interest under paragraph Asset 608(1)(b) and/or 608(1)(c) of the 1,087,379 Citibank N A Hong Management Corporations Act 2001 (Cth), being a Fully paid ordinary 1,087,379 Kong (Australia) Limited relevant interest arising from having shares ACN 114 194 311 the power to control the exercise of the right to vote attached to securities

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and/or to control the exercise of the power to dispose of securities in its capacity as investment manager (as provided for under its investment mandates). In addition, if any OTC derivatives, warrants or other securities (other than ordinary shares or ordinary units (as applicable)) are referred to below in this row, the relevant interest in respect of those securities arises under subsection 608(8) being an accelerated relevant interest held in the same capacity.

Nature of relevant interest derived from; ordinary shares 1,087,379

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5. Changes in association

The persons who have become associates of, ceased to be associates of, or have changed the nature of their association with, the substantial holder in relation to voting interests in the company or scheme are as follows:

Name and ACN/ARSN (if applicable) Nature of association

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6. Addresses

The addresses of persons named in this form are as follows:

Name Address

Level 2, ASB North Wharf, 12 Jellicoe Street, Auckland, 1010 , ASB Group Investments Limited Company Number 533945 New Zealand

Commonwealth Bank Officers Superannuation Corporation Pty Level 11 Tower 1, 201 Sussex St Sydney NSW 2001 Limited ACN 074 519 798

Ground Floor Tower 1, 201 Sussex Street, Sydney, NSW, 2000, CBA Equities Limited ACN 003 485 952 Australia

Colonial First State Asset Management (Australia) Limited ACN Ground Floor Tower 1, 201 Sussex Street, Sydney, NSW, 2000, 114 194 311 Australia

Ground Floor Tower 1, 201 Sussex Street, Sydney, NSW, 2000, Colonial First State Investments Limited ACN 002 348 352 Australia

Ground Floor Tower 1, 201 Sussex Street, Sydney, NSW, 2000, Avanteos Investments Limited ACN 096 259 979 Australia

Ground Floor Tower 1, 201 Sussex Street, Sydney, NSW, 2000, Realindex Investments Pty Limited ACN 133 312 017 Australia

Level 2, ASB North Wharf, 12 Jellicoe Street, Auckland, 1010 , Sovereign Services Limited ACN 969417 New Zealand

The Colonial Mutual Life Assurance Society Limited ACN 004 Ground Floor Tower 1, 201 Sussex Street, Sydney, NSW, 2000, 021 809 Australia

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Signature

NOTE 1--(This note is relevant to sections 2,3,4 and 5)

The relevant interests in these securities:

a) are/were held by Colonial First State Investments Limited (CFS) as responsible entity of the specified registered managed investment schemes and relate(d) to holdings in connection with the Colonial First State First Choice product range. Decisions to buy/sell those securities and exercise voting rights in relation to those securities are made by managers to whom CFS has outsourced those functions. By instrument dated 29 October 2001 the Australian Securities and Investments Commission (“ASIC”) has granted certain relief to CFS and its related bodies corporate for these holdings from the applicable provisions of Chapter 6 of the Corporations Act in relation to the acquisition of or increase in voting power of such securities (the Manager Relief). These managers are not associates of, other than by virtue of an agreement in accordance with the terms of the Manager Relief, the Commonwealth Bank of Australia group; or b) are/were held by or for the benefit of specified index funds where the funds have an objective of maintaining a portfolio tracking error less than 0.5% per annum. ASIC has granted certain relief to CFS and its related bodies corporate for these holdings from the applicable provisions of Chapter 6 of the Corporations Act in relation to the acquisition of or increase in voting power of such securities.

Dated the 10 day of July 2015

Carla Collingwood-Company Secretary

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Annexure A

This is annexure A referred to in Form 604, Notice of change of interest of substantial holder dated 09/07/2015

Carla Collingwood Company Secretary Dated the 10 July 2015

SCHEDULE

1 YORK STREET HOLDINGS PTY LTD AEGIS CORRECTIONAL PARTNERSHIP PTY LTD 155 MACQUARIE STREET HOLDINGS PTY LTD AEGIS LIMITED 155 MACQUARIE STREET PTY LTD AEGIS LIMITED (DUPLICATE) 158 FERNY AVENUE HOLDINGS II PTY LIMITED - AETNA PROPERTIES LTD DEREGISTERED 25 DECEMBER 2013 AFS LIFE FINANCE PTY LIMITED (DEREGISTERD 2 158 FERNY AVENUE PTY LIMITED (DEREGISTERED JUNE 2007) 08/04/2013) AFS SUPPORT SERVICES PTY LTD 30 PITT STREET PTY LIMITED - DEREGISTERED AHL HOLDINGS PTY LIMITED 08122013 ALLIANCE NEWCO PTY LTD (SOLD 7 MARCH 2008) 515 QUEEN STREET PTY LIMITED - ALTONA V6 PTY LIMITED DEREGISTERED 08122013 Amisford Investment Co Ltd A.C.N. 004 929 962 PTY LTD AMTD CHINA (HOLDINGS) LIMITED (SOLD A.C.N. 007 255 521 PTY LTD 16/12/2010) A.C.N. 080 159 762 PTY LTD AMTD DIRECT LIMITED (SOLD 16/12/2010) A.C.N. 080 182 163 PTY LTD AMTD FINANCIAL PLANNING LIMITED (SOLD A.C.N. 080 182 529 PTY LTD 16/12/2010) A.C.N. 080 182 618 PTY LTD AMTD GROUP COMPANY LIMITED (SOLD A.C.N. 080 182 878 PTY LTD 16/12/2010) A.C.N. 090 916 813 PTY LIMITED AMTD RISK MANAGEMENT LIMITED (SOLD A.C.N. 090 916 831 PTY LIMITED 16/12/2010) A.C.N. 090 916 840 PTY LIMITED AMTD STRATEGIC CAPITAL LIMITED (SOLD ACADIAN ASSET MANAGEMENT (AUSTRALIA) 16/12/2010) LIMITED ANTARCTIC SHIPPING PTY. LTD. ACAPM HOLDINGS A PTY. LIMITED AOT AUSTRALIA PTY LTD ACAPM HOLDINGS B PTY. LIMITED AOT SECURITIES PTY LIMITED (DEREGISTERED 21 ACAPM PTY LIMITED JANUARY 2009) ACCOMPLI TECHNOLOGIES LIMITED (Deregistered AQUALITY WA INVESTMENTS PTY. LTD. 30 December 2009) AQUASHELL PTY. LIMITED ACEX NOMINEES PTY LTD (Deregistered 23 AQUASTEN PTY. LTD. December 2009) ARGMA FINANCIAL SERVICES (AUSTRALIA) PTY ACN 002 867 512 PTY LIMITED LIMITED ACN 003 311 546 LIMITED ARGMA PTY LIMITED (DEREGISTERED 29/01/2014) ACN 003 776 789 PTY LIMITED ARMRAYNALD INVESTMENTS PTY LIMITED ACN 010 488 687 LIMITED ASB BANK LIMITED ACN 050 816 290 PTY LIMITED ASB BANK LIMITED (DUPLICATE) ACN 067 817 134 PTY LIMITED ASB CAPITAL LIMITED ACN 077 306 319 PTY LIMITED ASB CAPITAL LIMITED (NZX-ASBPA) ACN 079 924 986 PTY LIMITED ASB CAPITAL NO.2 LIMITED ACS HOLDINGS PTY LTD (Deregistered 20 November ASB CAPITAL NO.2 LIMITED (NZX-ASBPB) 2011) ASB FINANCE LIMITED ACS SECURITIES PTY LTD (05 September 2011) ASB FINANCE LIMITED (DUPLICATE) ACUITY RESEARCH LIMITED (DEREGISTERED 29 ASB FUNDING LIMITED JULY 2009) ASB GROUP (HOLDINGS) LIMITED (AMALGAMATED ADVICE ESSENTIALS PTY LIMITED WITH ASB GROUP LIMITED 21 MARCH 2006)

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ASB GROUP (LIFE) LIMITED FOUNDATION LIMITED ASB GROUP (LIFE) LIMITED (DUPLICATE) BANNER CONSULTANCY SERVICES LIMITED ASB GROUP INVESTMENTS LIMITED BAO MINH CMG LIFE INSURANCE COMPANY ASB GROUP INVESTMENTS LIMITED (DUPLICATE) LIMITED ASB HOLDINGS LIMITED BARTS INVESTMENT COMPANY LIMITED ASB MANAGEMENT SERVICES LIMITED (LIQUIDATED 04 APRIL 2011) ASB MANAGEMENT SERVICES LIMITED BAWA (NO.1) PTY LTD (DUPLICATE) BAYSWATER & BOND LIMITED (DEREGISTERED 7 ASB NOMINEES LIMITED JANUARY 2011) ASB NOMINEES LIMITED (DUPLICATE) BDELTA VESSEL NO 1 PTY LTD ASB PROPERTIES LIMITED BDELTA VESSEL NO 2 PTY LTD ASB PROPERTIES LIMITED (DEREGISTERED 4 BDELTA VESSEL NO 3 PTY LTD NOVEMBER 2008) BDELTA VESSEL NO 4 PTY LTD ASB SECURITIES LIMITED BENNELONG CENTRE PTY LTD ASB SECURITIES LIMITED (DUPLICATE) BERHARK PTY. LIMITED (Deregistered 5/4/13) ASB SMART CARDS LIMITED BINGARA S.A.R.L. (LIQUIDATED ON 28 JUNE 2011) ASB SMART CARDS LIMITED (DUPLICATE) BINYA PTY LIMITED Asia Pacific GEM BOCOMMLIFE INSURANCE COMPANY LIMITED ASIA PACIFIC RECEIVABLES CORPORATION BOND INVESTMENTS NO 1 LIMITED LIMITED BOND INVESTMENTS NO 1 LIMITED (DUPLICATE) ASKLEPIOS LIMITED BOND INVESTMENTS UK LIMITED ASPIRE SCHOOLS FINANCING (QLD) PTY LIMITED BOND INVESTMENTS UK LIMITED (DUPLICATE) ASPIRE SCHOOLS HOLDINGS (QLD) PTY LIMITED BQCE PTE. LTD. (DEREGISTERED 8 OCTOBER ASSET BACKED INVESTMENTS S.A. 2009) (DEREGISTERED 27 JULY 2010) BROADCASTING INFRASTRUCTURE PTY LIMITED ASSET MANAGE INVESTMENTS LIMITED (SOLD BROOKHOLLOW AVE PTY LTD (DEREGISTERED 13 16/12/2010) APRIL 2009) ASSETWARE PTY LIMITED (Deregistered 29 July BURDEKIN INVESTMENTS LIMITED 2009) BW FINANCIAL ADVICE LIMITED Audax Properties PLC BW SECURITISATION MANAGEMENT PTY LTD Audax Securities Ltd BWA CONVEYANCING PTY LTD AURORA PLACE HOLDINGS PTY LIMITED. BWA ESAP PTY LTD AURORA RAIL PARTNERSHIP PTY LIMITED BWA GROUP SERVICES PTY LTD AUSIEX MANAGEMENT SERVICES PTY LTD BWA INTELLECTUAL PROPERTY HOLDINGS (DEREGISTERED 19/2/2015) LIMITED AUSIEX NOMINEES PTY LIMITED BWA MANAGED INVESTMENTS LTD AUSTRALIAN BANK PTY LIMITED (DEREGISTERED CABLE BEACH PTY LIMITED 19/11/2014) CAMMERAY OPPORTUNISTIC INVESTMENT AUSTRALIAN CLEARING EXCHANGE PTY LTD COMPANY PTY LIMITED (DEREGISTERED 22 AUGUST 2010) CAPITAL 121 PTY LIMITED AUSTRALIAN CLEARING NOMINEES PTY LTD CARDS NZ LIMITED (DEREGISTERED 30 DECEMBER 2009) CB-CLA LIMITED (DEREGISTERED 2/2/15) AUSTRALIAN CLEARING SERVICES PTY LTD (20 CB-CLARI PTY LIMITED NOVEMBER 2011) CB-CLAS PTY LIMITED AUSTRALIAN COMPANY NUMBER 000 252 488 CB-CLFIA PTY LIMITED LIMITED CB-CLHA PTY LIMITED (DEREGISTERED 2/2/15) AUSTRALIAN COMPANY NUMBER 002 680 471 PTY CB-CLMM PTY LIMITED LIMITED CB-CLPF PTY LIMITED AUSTRALIAN COMPANY NUMBER 008 521 579 PTY CB-CLPSG PTY LIMITED LIMITED CB-CLRA PTY LIMITED AUSTRALIAN INFORMATICS PTY LTD CB-CLSA PTY LIMITED (DEREGISTERED 30 DECEMBER 2009) CB-KNSN PTY LIMITED AUSTRALIAN INVESTMENT EXCHANGE LIMITED CB-MN PTY LIMITED AUSTRALIAN TIC MANAGEMENT PTY LIMITED CBA (DELAWARE) FINANCE INC. [DISSOLVED JUNE AVANTEOS BROKING SERVICES PTY LIMITED 2012] AVANTEOS GROUP PTY LTD (DEREGISTERED 11 CBA (EUROPE) FINANCE LTD SEPTEMBER 2008) CBA A320 4077 PTY LTD AVANTEOS INVESTMENTS LIMITED CBA A320 5156 PTY LIMITED AVANTEOS PTY LTD CBA A320 5249 PTY LTD BANK OF HANGZHOU CO. LTD CBA A320 5289 PTY LTD BANK OF WESTERN AUSTRALIA LTD CBA A320 5638 PTY LTD

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CBA A320 AIRCRAFT NO1 PTY LTD CBFC LIMITED CBA A330 1427 Pty Ltd CBFC PROPERTIES PTY LTD CBA A330 1453 PTY LIMITED CBS INTEGRATED SOLUTIONS LIMITED CBA AIR A320 2714 PTY LTD CBS PROFESSIONAL SERVICES LIMITED CBA AIR PTY LTD CC GROUP HOLDINGS PTY LTD CBA ASIA LIMITED (LIQUIDATED ON 22/07/2014) CC HOLDINGS NO. 1 PTY LTD (SOLD 24/03/2014) CBA ASSET FINANCE (NZ) LIMITED CC HOLDINGS NO. 2 PTY LTD (SOLD 24/03/2014) CBA ASSET FINANCE (NZ) LIMITED (DUPLICATE) CC NO. 1 PTY LTD (SOLD 24/03/2014) CBA ASSET HOLDINGS (NZ) LIMITED CC NO. 2 PTY LTD (SOLD 24/03/2014) CBA ASSET HOLDINGS (NZ) LIMITED (DUPLICATE) CCC COMMERCIAL PTY LTD (SOLD 24/03/2014) CBA B377 37091 PTY LTD CENTRAL REAL ESTATE HOLDINGS CORP CBA CAPITAL AUSTRALIA (NO 2) PTY LIMITED (DEREGISTERED JUNE 2007) CBA CAPITAL AUSTRALIA LIMITED CFS HYBRID PROPERTY NO 1 PTY LIMITED CBA CAPITAL HOLDINGS INC. CFS HYBRID PROPERTY NO 2 PTY LIMITED CBA CAPITAL TRUST I CFS Newham Limited CBA CAPITAL TRUST II CFS NEWHAM LIMITED (DUPLICATE) CBA CORPORATE SERVICES (NSW) PTY LIMITED CFSP ASSET MANAGEMENT PTY LTD (SOLD CBA CORPORATE SERVICES (VIC) PTY LIMITED 24/03/2014) CBA DAIRY LEASING LIMITED CFSPAI Europe Co Limited (DUPLICATE) CBA DAIRY LEASING LIMITED (AMALGAMATED CFSPAI EUROPE CO LIMITED (formerly known as INTO CBA INVESTMENTS (NO.4) LTD) CFSPAI MALTA CO LIMITED) CBA EQUITIES LIMITED CFSPAI EUROPE HOLDCO LIMITED (formerly known CBA EUROPE LIMITED as CFSPAI MALTA HOLDCO LIMITED) CBA FUNDING (NZ) LIMITED CFSPAI Malta Holdco Limited (DUPLICATE) CBA FUNDING (NZ) LIMITED (DUPLICATE) CFX Co Limited (SOLD 24/03/2014) CBA FUNDING HOLDINGS PTY LTD CFX FUNDS MANAGEMENT PTY LTD (SOLD CBA FUNDING TRUST I 24/03/2014) CBA INDEMNITY CO. PTY LIMITED CHARLOTTE STREET NO. 1 PTY LIMITED (DEREGISTERED 23/3/15) CHARTER HOUSE INVESTMENTS LIMITED CBA INTERNATIONAL FINANCE PTY. LIMITED CHARTER HOUSE INVESTMENTS LIMITED CBA INTERNATIONAL HOLDINGS PTY LIMITED (DEREGISTERED 28 JUNE 2010) (DEREGISTERED 12 FEBRUARY 2009) CHRISTMAS BREAK PTY LTD CBA INVESTMENTS (NO 2) PTY LTD CHULLORA EQUITY INVESTMENT (NO 1) PTY (DEREGISTERED 20/3/15) LIMITED CBA INVESTMENTS (NO.4) LIMITED CHULLORA EQUITY INVESTMENT (NO 2) PTY CBA INVESTMENTS (NO.4) LIMITED (DUPLICATE) LIMITED CBA INVESTMENTS PTY LIMITED (PENDING CHULLORA EQUITY INVESTMENT (NO 3) PTY DEREGISTRATION) LIMITED CBA IT CO PTY LIMITED CIM UNIT TRUST MANAGERS LIMITED CBA IT LEASING (UK) LIMITED (DEREGISTERED 22 CIPL ARARAT PTY LTD MAY 2007) CIPL SA SCHOOLS PTY LTD CBA LEASING (NO.2) PTY. LIMITED CIPL SENTINEL HOLDINGS PTY LTD CBA MTE RAIL COMPANY PTY LIMITED CIPL SENTINEL PTY LTD CBA NZ HOLDING LIMITED CISL (HAZELWOOD) PTY. LIMITED CBA NZ HOLDING LIMITED (DUPLICATE) CITIBANK EUROPE PLC CBA RAIL & TRAM COMPANY PTY LIMITED CITICORP NOMINEES PTY LTD AS CUSTODIAN CBA REAL ESTATE FUNDING (NZ) LIMITED FOR THE TRUSTEE OF COLONIAL FIRST STATE CBA REAL ESTATE FUNDING (NZ) LIMITED ACTIVE INFRASTRUCTURE INCOME FUND (DUPLICATE) CM-SOMERTON PTY. LTD. CBA REAL ESTATE INVESTMENTS (NZ) LIMITED CMG ASIA LIFE HOLDINGS LIMITED (DEREGISTERED 12 AUGUST 2011) (DUPLICATE) CMG ASIA LIMITED CBA REAL ESTATE INVESTMENTS (NZ) LIMITED CMG ASIA PTY LTD (DEREGISTERED 8 AUGUST 2011) CMG ASIA TRUSTEE COMPANY LIMITED CBA SA HOLDINGS PROPRIETARY LIMITED CMG CH CHINA FUNDS MANAGEMENT PTY CBA SERVICES SINGAPORE PTE LTD LIMITED (DEREGISTERED 3 SEPT 2009) CBA SPECIALISED FINANCING PTY LIMITED CMG CH CHINA INVESTMENTS LIMITED CBA STAFF COMMUNITY FUND LIMITED (DEREGISTERED 2 MARCH 2005) CBA USD FUNDING LIMITED COLLATERAL LEASING PTY LTD CBA USD FUNDING LIMITED (DUPLICATE) Colonial (UK) PLC (SOLD MAY 2000) CBA USD INVESTMENTS PTY LIMITED Colonial (UK) Trustees Limited CBFC LEASING PTY. LIMITED COLONIAL (UK) TRUSTEES LIMITED (DUPLICATE)

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COLONIAL AFS SERVICES PTY LIMITED COLONIAL FIRST STATE LIMITED (DEREGISTERED (DEREGISTERED 15.9.11) 11 NOVEMBER 2007) COLONIAL ASSET FINANCE PTY LTD COLONIAL FIRST STATE LOAN NOTE ISSUER PTY COLONIAL ASSET MANAGEMENT LIMITED LTD (DEREGISTERED 1 JANUARY 2014) (DEREGISTERED 4.11.09) COLONIAL FIRST STATE MANAGED COLONIAL ASSURANCE COMPANY OF AUSTRALIA INFRASTRUCTURE LIMITED AND NEW ZEALAND PTY LTD (DEREGISTERED 18 COLONIAL FIRST STATE MANAGEMENT PTY JANUARY 2004) LIMITED (SOLD 24/03/2014) COLONIAL AUSTRALIAN SUPERANNUATION LTD COLONIAL FIRST STATE PRIVATE CAPITAL COLONIAL DEVELOPMENTS LIMITED LIMITED (SOLD FEB 2008) COLONIAL DIRECT MANAGEMENT SERVICES COLONIAL FIRST STATE PRIVATE EQUITY PTY LIMITED LIMITED (DEREGISTERED 13 AUGUST 2014) COLONIAL E.COM LTD COLONIAL FIRST STATE PROJECTS PTY LTD COLONIAL EMPLOYEE SHARE PLAN PTY LIMITED COLONIAL FIRST STATE PROPERTY (DEREGISTERED 6 APRIL 2009) AGGREGATED LIMITED COLONIAL FIJI LIFE LIMITED (SOLD 17/12/09) COLONIAL FIRST STATE PROPERTY FUNDS COLONIAL FINANCE (AUSTRALIA) PTY LIMITED MANAGEMENT LTD COLONIAL FINANCE (UK) LIMITED COLONIAL FIRST STATE PROPERTY HOLDINGS COLONIAL FINANCE PTY LIMITED NO 2 PTY LTD COLONIAL FINANCIAL CORPORATION PTY LIMITED COLONIAL FIRST STATE PROPERTY HOLDINGS (DEREGISTERED 16/3/15) NO 3 PTY LTD COLONIAL FINANCIAL MANAGEMENT LIMITED COLONIAL FIRST STATE PROPERTY INVESTMENT COLONIAL FINANCIAL SERVICES (UK) LIMITED LIMITED Colonial First State (UK) Holdings Limited Colonial First State Property Limited (DUPLICATE) COLONIAL FIRST STATE ASSET MANAGEMENT COLONIAL FIRST STATE PROPERTY (AUSTRALIA) LIMITED MANAGEMENT PTY LTD (SOLD 24/03/2014) COLONIAL FIRST STATE ASSET MANAGEMENT COLONIAL HEALTH CARE (FIJI) LIMITED (SOLD PTY LTD (SOLD 24/03/2014) 17/12/09) COLONIAL FIRST STATE CAPITAL MANAGEMENT COLONIAL HOLDING COMPANY (NO 2) PTY PTY LTD (DEREGISTERED 1 JANUARY 2014) LIMITED (DEREGISTERED 12.11.2009) Colonial First State Fund Managers (UK) Limited COLONIAL HOLDING COMPANY LIMITED COLONIAL FIRST STATE FUND SERVICES LTD COLONIAL INSURANCE SERVICES PTY LTD (DEREGISTERED 22/04/2005) COLONIAL INTERNATIONAL FACTORS PTY COLONIAL FIRST STATE GROUP LIMITED LIMITED (DEREGISTERED 14 JUNE 2008) COLONIAL FIRST STATE INFRASTRUCTURE COLONIAL INVESTMENT SERVICES LIMITED HOLDINGS LIMITED (DEREGISTERED 4.11.09) COLONIAL FIRST STATE INFRASTRUCTURE COLONIAL INVESTMENTS HOLDING PTY LIMITED MANAGERS (AUSTRALIA) PTY LTD (DEREGISTERED 30 JULY 2008) COLONIAL FIRST STATE INTERNATIONAL ASSETS Colonial Investments UK Pty Limited dissolved COLONIAL LGA HOLDINGS PTY LIMITED COLONIAL FIRST STATE INTERNATIONAL ASSETS (DEREGISTERED 10/6/15) LIMITED (DEREGISTERED 11 NOVEMBER 2007) COLONIAL LIFE (UK) HOLDINGS LIMITED COLONIAL FIRST STATE INTERNATIONAL COLONIAL LIFE (UK) LIMITED MANAGEMENT PTY LIMITED (DEREGISTERED- 23 COLONIAL MUTUAL DEPOSIT SERVICES LTD APRIL 2013) (DEREGISTERED 2 JUNE 2007) COLONIAL FIRST STATE INVESTMENT MANAGERS COLONIAL MUTUAL FUNDS LIMITED (NZ) LIMITED Colonial Mutual Life (Unit Assurances) Limited COLONIAL FIRST STATE INVESTMENT MANAGERS COLONIAL MUTUAL PROPERTY GROUP PTY. LTD. (NZ) LIMITED (DEREGISTERED 03/07/09) (DEREGISTERED 29 JULY 2007) Colonial First State Investment Managers (UK) Limited COLONIAL MUTUAL SUPERANNUATION PTY. LTD. COLONIAL FIRST STATE INVESTMENT MANAGERS COLONIAL NET LIMITED (DEREGISTERED (UK) LIMITED (DUPLICATE) 05/10/2005) COLONIAL FIRST STATE INVESTMENTS (FIJI) COLONIAL NOMINEES NO. 3 FUND PTY LIMITED LIMITED (SOLD 17/12/09) COLONIAL PCA HOLDINGS PTY LTD COLONIAL FIRST STATE INVESTMENTS (NZ) COLONIAL PCA PROPERTIES LTD LIMITED (DUPLICATE) COLONIAL PCA PTY LTD (DEREGISTERED 2 JUNE COLONIAL FIRST STATE INVESTMENTS (NZ) 2007) LIMITED (PENDING DEREGISTRATION) COLONIAL PCA SERVICES LTD COLONIAL FIRST STATE INVESTMENTS LIMITED COLONIAL PENSION FUNDS (UK) LIMITED COLONIAL FIRST STATE ISSUER NO. 1 LTD COLONIAL PORTFOLIO SERVICES PTY LIMITED (DEREGISTERED 19 FEBRUARY 2009) (DEREGISTERED 16 FEBRUARY 2009)

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COLONIAL PROTECTION INSURANCE PTY LIMITED SUPERANNUATION CORPORATION PTY LIMITED (DEREGISTERED 15 FEBRUARY 2010) COMMONWEALTH CAPITAL CORPORATION PTY COLONIAL PTY LIMITED (Deregistered 27/04/2015) LIMITED COLONIAL SECRETARIES (UK) LIMITED COMMONWEALTH CAPITAL PTY LIMITED COLONIAL SERVICES (FIJI) LIMITED (SOLD COMMONWEALTH CLEARING CUSTODY 17/12/09) NOMINEES PTY LIMITED (DEREGISTERED 19 MAY COLONIAL SERVICES PTY LIMITED 2010) COLONIAL SOUTH AUSTRALIA LIMITED COMMONWEALTH CLEARING LIMITED COLONIAL STATE RESIDUAL (NO. 1) PTY LTD (DEREGISTERED 19 MAY 2010) COLONIAL STATE RESIDUAL (NO. 2) PTY LTD COMMONWEALTH CLEARING SETTLEMENT COLONIAL SUPERANNUATION SERVICES LIMITED NOMINEES PTY LIMITED (DEREGISTERED 19 MAY COLONIAL TASMAN PTY LIMITED (DEREGISTERED 2010) 26 AUGUST 2007) COMMONWEALTH CUSTODIAL SERVICES (NEW COLONIAL TRUSTEE SERVICES LIMITED ZEALAND) LIMITED COLONIAL UK STAFF PENSION TRUSTEES Commonwealth Custodial Services Pty Ltd LIMITED COMMONWEALTH DEVELOPMENT BANK OF COMMBANK EUROPE LIMITED AUSTRALIA PTY LIMITED COMMBANK MANAGEMENT CONSULTING (ASIA) COMMONWEALTH FINANCIAL PLANNING LIMITED COMPANY LIMITED COMMONWEALTH FLEET LEASE PTY. LIMITED COMMBANK MANAGEMENT CONSULTING COMMONWEALTH FUNDS MANAGEMENT PTY (SHANGHAI) COMPANY LIMITED LIMITED COMMCAPITAL S.A.R.L COMMONWEALTH INSURANCE HOLDINGS LIMITED COMMFINANCE CO. LTD (LIQUIDATED) COMMONWEALTH INSURANCE LIMITED COMMFOUNDATION PTY LIMITED COMMONWEALTH INVESTMENT SERVICES PTY COMMINTERNATIONAL LIMITED LIMITED COMMONWEALTH AUSTRALIA SECURITIES LLC COMMONWEALTH INVESTMENTS PTY LIMITED COMMONWEALTH BANK OF AUSTRALIA COMMONWEALTH LIFE PTY LIMITED COMMONWEALTH BANK OF AUSTRALIA (DEREGISTERED 13/07/2011) (CHENG'AN) COUNTY BANK CO. LTD. COMMONWEALTH MANAGED INVESTMENTS COMMONWEALTH BANK OF AUSTRALIA (CIXIAN) LIMITED (SOLD 24/03/2014) COUNTY BANK CO. LTD COMMONWEALTH PRIVATE LIMITED COMMONWEALTH BANK OF AUSTRALIA COMMONWEALTH PROPERTY PTY LIMITED (SOLD (DENGFENG) COUNTY BANK CO. LTD 24/03/2014) COMMONWEALTH BANK OF AUSTRALIA (JAPAN) PTY (HANDANXIAN) COUNTY BANK CO. LTD. LIMITED COMMONWEALTH BANK OF AUSTRALIA (JIYUAN) COMMONWEALTH SECURITIES LIMITED COUNTY BANK CO. LTD COMMSERVE FINANCIAL LTD COMMONWEALTH BANK OF AUSTRALIA (LANKAO) COMMTRADING LIMITED (deregistered 20/05/2013) COUNTY BANK CO. LTD COMMWEALTH GROUP PTY LIMITED COMMONWEALTH BANK OF AUSTRALIA (DEREGISTERED 26/09/13) (LUANCHENG) COUNTY BANK CO. LTD COMMWEALTH INTERNATIONAL HOLDINGS PTY COMMONWEALTH BANK OF AUSTRALIA (MIANCHI) LIMITED COUNTY BANK CO. LTD COMPOUND INVESTMENTS LIMITED COMMONWEALTH BANK OF AUSTRALIA (SHEXIAN) COMSEC NOMINEES PTY LIMITED COUNTY BANK CO. LTD CONNECT11 FINANCING PTY LIMITED COMMONWEALTH BANK OF AUSTRALIA (UK) (DEREGISTERED 02/01/11) STAFF BENEFITS SCHEME TRUSTEE COMPANY CONNECT11 PTY LIMITED (DEREGISTERED LIMITED 02/01/11) COMMONWEALTH BANK OF AUSTRALIA (WEIXIAN) CONTINENTAL ASSURANCE PTY LTD COUNTY BANK CO. LTD. COPACABANA BEACH PTY LTD (DEREGISTERED COMMONWEALTH BANK OF AUSTRALIA 28 JANUARY 2015) (WENXIAN) COUNTY BANK CO. LTD CORE EQUITY SERVICES NOMINEES PTY LIMITED COMMONWEALTH BANK OF AUSTRALIA (XINJI) COUNT FINANCE PTY LIMITED COUNTY BANK CO. LTD COUNT FINANCIAL LIMITED COMMONWEALTH BANK OF AUSTRALIA COUNT FUNDS MANAGEMENT PTY LTD. (YICHUAN) COUNTY BANK CO. LTD COUNT INVESTMENTS PTY LTD. (Deregistered on COMMONWEALTH BANK OF AUSTRALIA 05/09/2013) (YONGCHENG) COUNTY BANK CO. LTD COUNT LEGAL PTY LTD. COMMONWEALTH BANK OF AUSTRALIA COUNT PROPERTY PTY LTD. (deregistered on (YONGNIAN) COUNTY BANK CO. LTD 05/09/2013) COMMONWEALTH BANK OFFICERS CPHF HOTELS PTY LIMITED (DEREGISTERED -

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27082014) Company CPPIB AUSTRALIAN HOLDINGS NO. 1 PTY LIMITED FIRST STATE GLOBAL UMBRELLA FUND PUBLIC CRYSTAL AVENUE PTY LIMITED LIMITED COMPANY (DUPLICATE) CRYSTAL SWAPS PTY LIMITED [DEREGISTERED] First State Hedge Funds SPC Limited CSI Services (UK) Limited FIRST STATE HEDGE FUNDS SPC LIMITED (IN CST SECURITISATION MANAGEMENT LIMITED - LIQUIDATION SINCE 01/12/2008) DEREGISTERED 27 AUGUST 2008 FIRST STATE INFRASTRUCTURE MANAGERS CTB AUSTRALIA LIMITED (INTERNATIONAL) LIMITED CULLINAN FINANCE LIMITED (DEREGISTERED 24 First State Infrastructure S.à r.l. FEBRUARY 2012) First State Investment Management (UK) Limited CUNNINGHAM STEWART IVORY LIMITED (#SEE FIRST STATE INVESTMENT MANAGEMENT (UK) NOTES) LIMITED (DUPLICATE) CYBERLYNX PROCUREMENT SERVICES PTY FIRST STATE INVESTMENT MANAGERS (ASIA) LIMITED (SOLD 28 APRIL 2008) LIMITED CYBERLYNX SUPPLIER HUB PTY LIMITED (SOLD First State Investment Services (UK) Limited 28 APRIL 2008) FIRST STATE INVESTMENT SERVICES (UK) DARONTIN PTY LTD LIMITED (DUPLICATE) DAWNRAPTOR PTY LTD ATF DAWNRAPTOR FIRST STATE INVESTMENTS (HONG KONG) TRUST LIMITED DBCV PTY LIMITED First State Investments (Int) Limited DEE WHY OPPORTUNISTIC INVESTMENT FIRST STATE INVESTMENTS (JAPAN) LIMITED COMPANY PTY LTD FIRST STATE INVESTMENTS (JERSEY) LIMITED DIRECT AUSTRALIAN PTY. LIMITED First State Investments (Nominees) Limited (DEREGISTERED)(05/04/2010) FIRST STATE INVESTMENTS (NOMINEES) LIMITED ECHELON PORTFOLIO SOLUTIONS PTY LTD (DUPLICATE) (DEREGISTERED 21 SEPT 2009) FIRST STATE INVESTMENTS (NZ) LIMITED ECOMMLEGAL PTY LIMITED (DEREGISTERED 30 FIRST STATE INVESTMENTS (NZ) LIMITED JUNE 2010) (DUPLICATE) EDAM AM INTERNATIONAL PTY LTD FIRST STATE INVESTMENTS (SINGAPORE) (DEREGISTERED 29 JULY 2009) First State Investments (UK Holdings) Limited EDGE FIELD MARKETING PROPRIETARY LIMITED FIRST STATE INVESTMENTS (UK HOLDINGS) ELIZABETH CITY CENTRE PTY. LTD. (SOLD LIMITED (DUPLICATE) 24/03/2014) First State Investments (UK) Limited EMERALD HOLDING COMPANY PTY LIMITED FIRST STATE INVESTMENTS (UK) LIMITED EQUIGROUP HOLDINGS PTY LIMITED (DUPLICATE) EQUION HEALTH (BARTS) LIMITED (SOLD 22 FIRST STATE INVESTMENTS (US) LLC DECEMBER 2009) FIRST STATE INVESTMENTS FUND MANAGEMENT EQUION HEALTH (NEWCASTLE) LIMITED (SOLD 16 S.À R.L. (DUPLICATE) NOVEMBER 2009) First State Investments Fund Management Sarl EQUITY STRUCTURED PRODUCTS PTY LTD. FIRST STATE INVESTMENTS GIP MANAGEMENT FAZEN PTY LTD (DEREGISTERED 18 SEPTEMBER S.À R.L. (DUPLICATE) 2008) First State Investments GIP Management Sarl FINANCIAL SOLUTIONS LIMITED FIRST STATE INVESTMENTS GLOBAL ENERGY FINANCIAL WISDOM LIMITED LONG SHORT FUND LIMITED (DISSOLVED 15 FINCONNECT (AUSTRALIA) PTY LTD SEPTEMBER 2010) FIRST AUSTRALIAN PTY LIMITED FIRST STATE INVESTMENTS GLOBAL ENERGY (DEREGISTERED)(05/04/2010) LONG SHORT MASTER FUND LIMITED (DISSOLVED FIRST CUSTODIAL SERVICES PTY LTD 15 SEPTEMBER 2010) FIRST STATE (HONG KONG) LLC (DEREGISTERED First State Investments Global Resources Long Short 18/12/2014) Fund Limited FIRST STATE CINDA FUND MANAGEMENT FIRST STATE INVESTMENTS GLOBAL RESOURCES COMPANY LIMITED LONG SHORT FUND LIMITED (PENDING First State Diversified Hedge Fund Limited DEREGISTRATION) FIRST STATE DIVERSIFIED HEDGE FUND LIMITED First State Investments Global Resources Long Short (DUPLICATE) Master Fund Limited FIRST STATE EUROPEAN DIVERSIFIED FIRST STATE INVESTMENTS GLOBAL RESOURCES INFRASTRUCTURE S.À R.L. (DUPLICATE) LONG SHORT MASTER FUND LIMITED (PENDING First State European Diversified Infrastructure Sarl DEREGISTRATION) First State Funds Plc FIRST STATE INVESTMENTS GOLD & PRECIOUS FIRST STATE FUNDS PLC (DUPLICATE) METALS LONG SHORT FUND LIMITED First State Global Umbrella Fund Public Limited (LIQUIDATED)

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FIRST STATE INVESTMENTS GOLD & PRECIOUS GOLD STAR MORTGAGE MANAGEMENT PTY LTD METALS LONG SHORT MASTER FUND LIMITED GREENWOOD LENDING PTY LTD (DEREGISTERED (LIQUIDATED) 22/01/2014) FIRST STATE INVESTMENTS HOLDINGS GROUP PROPERTY1 PTY LIMITED (SINGAPORE) LIMITED (DEREGISTERED 08/01/2014) First State Investments ICVC GROUP TREASURY SERVICES NZ LIMITED FIRST STATE INVESTMENTS ICVC (DUPLICATE) GROUP TREASURY SERVICES NZ LIMITED First State Investments International Inc [PROJECT CONCORDIA] FIRST STATE INVESTMENTS INTERNATIONAL INC GT FUNDING NO. 3 PTY LTD DEREGISTERED (DUPLICATE) 28052014 First State Investments International Limited GT FUNDING NO. 5 PTY LTD (DEREGISTERED 29 FIRST STATE INVESTMENTS INTERNATIONAL DECEMBER 2010) LIMITED (DUPLICATE) GT FUNDING NO.1 PTY LIMITED FIRST STATE INVESTMENTS US HOLDINGS PTY GT INVESTMENTS NO. 3 PTY LIMITED LIMITED (DEREGISTERED 24 JUNE 2015) (DEREGISTERED 31/10/12) FIRST STATE MEDIA HOLDINGS PTY LTD GT OPERATING NO. 3 PTY LTD (DEREGISTERED 11/02/2013) GT OPERATING NO. 4 PTY LIMITED (deregistered FIRST STATE NOMINEES (HONG KONG) LIMITED 15/06/2014) FIVE D HOLDINGS PTY LIMITED (SOLD 9 APRIL GT OPERATING NO.1 PTY LIMITED 2010) GT OPERATING NO.2 PTY LIMITED (deregistered FIVE D PROPERTY MANAGEMENT (ACT) PTY LTD 15/06/2014) (SOLD 9 APRIL 2010) GT USD FUNDING PTY LIMITED FIVE D PROPERTY MANAGEMENT (NSW) PTY LTD H-G CAPITAL INVESTMENTS LIMITED (SOLD FEB (SOLD 9 APRIL 2010) 2008) FIVE D PROPERTY MANAGEMENT (NT) PTY LTD H-G DEVELOPMENT LIMITED (SOLD FEB 2008) (SOLD 9 APRIL 2010) HARBOARD BEACH PTY LTD (DEREGISTERED 28 FIVE D PROPERTY MANAGEMENT (QLD) PTY LTD JANUARY 2015) (SOLD 9 APRIL 2010) HARFORD PTY LIMITED FIVE D PROPERTY MANAGEMENT (SA) PTY LTD HAZELWOOD INVESTMENT COMPANY PTY (SOLD 9 APRIL 2010) LIMITED FIVE D PROPERTY MANAGEMENT (TAS) PTY LTD HEBEI XINSHISANG INDUSTRIAL CO. LTD (SOLD 9 APRIL 2010) HEMISPHERE LANE PTY LIMITED FIVE D PROPERTY MANAGEMENT (VIC) PTY LTD Herald Investment Trust plc (SOLD 9 APRIL 2010) HFV6 PTY. LIMITED FIVE D PROPERTY MANAGEMENT (WA) PTY LTD HIC FINANCE PTY LIMITED (DEREGISTERED (SOLD 9 APRIL 2010) 15/01/2014) FLEET CARE SERVICES PTY LTD HILDON HOLDINGS LIMITED FORTH HEALTH HOLDINGS LIMITED (SOLD HILDON HOLDINGS LIMITED (DEREGISTERED 17/02/2012) 28/06/2010) FORTH VALLEY INVESTMENT COMPANY LIMITED HILDON INVESTMENTS LIMITED (LIQUIDATED 27 JUNE 2013) HILDON INVESTMENTS LIMITED (DEREGISTERED FOURON PTY LTD (DEREGISTERED 18 28/06/2010) SEPTEMBER 2008) HOMEPATH PTY LIMITED FRANCHISE SERVICES (NZ) LIMITED HOTEL GOLD COAST PTY LIMITED - AMALGAMATED INTO SOVEREIGN SERVICES DEREGISTERED 25 DECEMBER 2013 LIMITED 30062006 HOTEL HOLDINGS & SERVICES PTY LIMITED - FRESHWATER COMMERCIAL NO. 1 PTY LIMITED DEREGISTERED 25 DECEMBER 2013 (SOLD 24/03/2014) HUAYU AGRICULTURAL SCIENCE AND FRESHWATER HOLDING NO.1 PTY LIMITED (SOLD TECHNOLOGY CO. LTD. 24/03/2014) IDDI (NO.1) LIMITED FRINGE 1 PTY LIMITED IDDI (NO.2) LIMITED FS Nominees Limited IDI (NO.1) LIMITED FSIB LTD (formerly known as FIRST STATE IDI (NO.2) LIMITED INVESTMENTS (BERMUDA) LIMITED) IMEDIA TECHNOLOGY PTY LTD (DEREGISTERED FSIC Limited (formerly known as First State 29 JULY 2009) Investments (Cayman) Limited) Industry-wide Pension Fund Trustees Limited FSIC LIMITED (FORMERLY KNOWN AS FIRST INFRAVEST (NO 1) PTY LIMITED (Deregistered) STATE INVESTMENTS (CAYMAN) LIMITED) INFRAVEST (NO 2) LIMITED (DUPLICATE) INVERLOCH LEASING PTY LIMITED FUTURE FARMS LIMITED (SOLD 17/12/09) INVESTMENT CUSTODIAL SERVICES LIMITED GEORGINA PASTORAL COMPANY LIMITED INVESTMENT CUSTODIAL SERVICES LIMITED

22

(DUPLICATE) 24/03/2014) INVESTOR SECURITIES PTY LTD KSW COMMERCIAL PTY LIMITED (SOLD 24/03/2014) INVESTORS LIFE INSURANCE CO. OF AUSTRALIA KSW PROJECT PTY LIMITED (SOLD 24/03/2014) PTY LIMITED KURANDA INVESTMENTS LIMITED INVESTORWEB.COM. PTY LIMITED KURANDA INVESTMENTS LIMITED (NO LONGER IPERE HOLDING MALTA LIMITED PART OF ASB GROUP AS AT 31 MAY 2010) IPERE INVESTING MALTA LIMITED LAZAROSE PTY. LIMITED (DEREGISTERED 16 IT FLEET NZ NO. 2 LIMITED (DEREGISTERED 4 JANUARY 2008) MARCH 2008) LEASEWAY TRANSPORTATION PTY LIMITED IT RECEIVABLES (UK) LIMITED (DEREGISTERED 24 (DEREGISTERED 06/02/2014) APRIL 2007) LES COPAINS LTD IVANHOE LANE PTY LIMITED (SOLD OCTOBER LG INC. (DEREGISTERED 18 MARCH 2014) 2007) LIDCOMBE OPPORTUNISTIC INVESTMENT IWL ASSET MANAGEMENT PTY LTD COMPANY PTY LIMITED (DEREGISTERED 05/09/2013) LIGHTNING RIDGE S.A (DEREGISTERED 26 JUNE IWL BROKING SOLUTIONS LIMITED 2007) IWL LIMITED LILY 1 PTY LIMITED IWL MANAGEMENT SERVICES PTY LTD Lochness Holdings Limited (DEREGISTERED 19/2/2015) LOFT NO 1 PTY LIMITED JABALI NO. 1 PTY LIMITED LOFT NO 2 PTY LIMITED JACQUES MARTIN (U.K.) LIMITED LOFT NO.3 PTY LIMITED JACQUES MARTIN ADMINISTRATION AND LONEX PTY LIMITED - DEREGISTERED 08122013 CONSULTING PTY LTD LONG POINT FUNDING PTY LTD (SOLD OCTOBER JACQUES MARTIN NEW ZEALAND LIMITED 2007) (DUPLICATE) LYRECH PTY LIMITED JACQUES MARTIN NEW ZEALAND LIMITED - M M A L FLEET LEASE ARRANGER PTY LTD DEREGISTERED 05.12.13 M-LAND PTY LTD DEREGISTERED 28052014 JACQUES MARTIN PTY. LTD. MBS NEW ZEALAND NO.1 LIMITED AMALGAMATED JACQUES MARTIN UNITY LIMITED WITH SOVEREIGN FINANCIAL SERVICES LIMITED JDV NOMINEE HOLDINGS PTY LTD 30062006 (DEREGISTERED 05/09/2013) MBS NEW ZEALAND NO.2 LIMITED JDV PTY LIMITED (DEREGISTERED 19/2/2015) (DEREGISTERED 29 JUNE 07) JDV SETTLEMENTS NOMINEES PTY LTD MBS NEW ZEALAND NO.3 LIMITED AMALGAMATED (DEREGISTERED 05/09/2013) WITH SOVEREIGN FINANCIAL SERVICES LIMITED JDV SOLUTIONS PTY LTD (DEREGISTERED 30 30062006 DECEMBER 2009) MBS NEW ZEALAND NO.4 LIMITED AMALGAMATED JDV STOCK HOLDINGS NOMINEES PTY LTD WITH SOVEREIGN FINANCIAL SERVICES LIMITED (DEREGISTERED 05/09/2013) 30062006 JOHN LAING HEALTH (PEMBURY) LIMITED (SOLD MBS NEW ZEALAND NO.5 LIMITED 17/02/2012) (DEREGISTERED 29 JUNE 07) KATOE INVESTMENTS PTY LIMITED MCCAIG INVESTMENTS LIMITED KEYSTONE FINANCIAL SERVICES LTD MCCAIG INVESTMENTS LIMITED (DEREGISTERED (DEREGISTERED 2 JUNE 2007) 28/06/2010) KING'S FERRY HOLDINGS LIMITED MERCURY MARKET TECHNOLOGIES PTY LTD KING'S FERRY HOLDINGS LIMITED (DEREGISTERED 29 JULY 2009) (DEREGISTERED 28/06/2010) MILO FUNDING LIMITED (LIQUIDATED 11 AUGUST KING'S FERRY INVESTMENTS LIMITED 2011) KING'S FERRY INVESTMENTS LIMITED MIS FUNDING NO.1 PTY LIMITED (DEREGISTERED 28/06/2010) MOONEE PONDS OPPORTUNISTIC INVESTMENT KINGSTON LLP1 HOLDINGS PTY LIMITED COMPANY PTY LIMITED KIP NZ LIMITED (PENDING DEREGISTRATION) MORTGAGE HOLDING TRUST COMPANY LIMITED KIWI HOME LOANS (NZ) LIMITED MORTGAGE HOLDING TRUST COMPANY LIMITED KIWI HOME LOANS (NZ) LIMITED (DUPLICATE) (DUPLICATE) KIWI INCOME PROPERTIES LIMITED (DUPLICATE) MTE DEBT VEHICLE PTY LTD KIWI PROPERTY HOLDINGS LIMITED (DUPLICATE) MTE LESSOR 1 PTY LTD KIWI PROPERTY HOLDINGS LIMITED MTE LESSOR 2 PTY LTD (INTERNALISED 13/12/2013) MTE LESSOR 3 PTY LTD KIWI PROPERTY MANAGEMENT LIMITED MTE LESSOR 4 PTY LTD (DUPLICATE) MTE LESSOR 5 PTY LTD KPM NZ LIMITED (PENDING DEREGISTRATION) MTE NOMINEE PARTNER PTY LTD KSW COMMERCIAL HOLDINGS PTY LIMITED (SOLD NATIONAL BANK OF FIJI LIMITED (TRADING AS

23

COLONIAL NATIONAL BANK) (SOLD 17/12/09) PRIME INVESTMENT ENTITY LIMITED NEMUS TECHNOLOGIES PTY LTD (DEREGISTERED (DEREGISTERED 4.11.09) 16 JUNE 2010) Private Investors Capital Trust plc NETBILLS LIMITED (DEREGISTERED 29 JUNE 2007) PT BANK COMMONWEALTH NETSHARE NOMINEES PTY LTD PT COMMONWEALTH LIFE NETWORTHTECH PTY LTD (DEREGISTERED 30 PT FIRST STATE INVESTMENTS INDONESIA DECEMBER 2009) PUERTO LIMITED NEVILLE WARD DIRECT PTY LIMITED Purangi Developments Limited (DEREGISTERED 19 MAY 2010) QILU BANK CO. LTD. NEWCASTLE INVESTMENT COMPANY LIMITED QUAY (FUNDING) PLC (DEREGISTERED 28 (LIQUIDATED 4 APRIL 2011) OCTOBER 2011) NEWHAM INVESTMENT COMPANY LTD RANEC PTY LIMITED (DEREGISTERED 27 SEPTEMBER 2007) REALINDEX INVESTMENTS PTY LIMITED NEWPORT LIMITED RELIANCE ACHIEVER PTY LIMITED NIMITZ NOMINEES PTY LIMITED RESIDENTIAL MORTGAGE GROUP PTY LTD OCT Plc RETAIL INVESTOR PTY. LIMITED OCTOBER NOMINEES PTY. LIMITED (SOLD (DEREGISTERED)(12.04.2010) 24/03/2014) RICHMOND LIMITED (SOLD 17/12/09) OLIM Convertible Securities Limited RILEY INTERNATIONAL LIMITED ONLINE CAPITAL PARTNERS LIMITED RILEY INVESTMENTS LIMITED (DEREGISTERED 30 DECEMBER 2009) RMS PROPERTIES LIMITED AMALGAMATED INTO ONSLOW PROPERTIES PTY LTD SOVEREIGN ASSURANCE COMPANY LIMITED OPHCO NOMINEES NO 1 PTY LIMITED 30062006 OPHCO NOMINEES NO 2 PTY LIMITED ROCK & RUBBLE (DEBT VEHICLE) PTY LIMITED OPPORTUNISTIC HOLDING COMPANY 2 PTY ROCK & RUBBLE (EXISTING) PTY LIMITED LIMITED ROCK & RUBBLE (NEW) PTY LIMITED OPPORTUNISTIC HOLDING COMPANY PTY ROODHILL NOMINEES LIMITED LIMITED ROOSTER POULTRY LIMITED (SOLD 17/12/09) ORE & OVERBURDEN PTY LIMITED RVG ADMINISTRATION COMPANY PTY LTD OTOE INVESTMENTS PTY LIMITED (DEREGISTERED)(02/05/2010) OZBEAU PTY. LIMITED (DEREGISTERED 26 MAY SAF MINING NO.2 PTY LIMITED 2010) SAF Mining No1 Pty Limited P. AND B. PROPERTIES PTY LTD SAFE NO1 PTY LTD PADANG PTY LTD SAFE NO17 PTY LIMITED PAGO LIMITED SAFE NO2 PTY LTD PAGO LIMITED (DEREGISTERED 26/01/2010) SAFE NO3 PTY LTD PALM BEACH PTY LTD (DEREGISTERED 7 MARCH SAFE NO4 PTY LIMITED 2011) SAFE NO9 PTY LIMITED PARKES S.A.R.L. (LIQUIDATED ON 28 JUNE 2011) SAFE USD HOLDINGS PTY LTD PAVILION & PARK LIMITED (DEREGISTERED 30 SANDALWOOD PTE LIMITED NOVEMBER 2011) SANFORD IP PTY LTD (DEREGISTERED 16 APRIL PERPETUAL STOCK PTY LIMITED (DEREGISTERED 2010) 02/09/2010) SBN NOMINEES PTY. LIMITED PFM HOLDINGS PTY LTD SBSBS PTY LIMITED PHARMACY FINANCE LTD SBT PROPERTIES PTY LTD PIF MANAGED PROPERTY PTY LIMITED SBV NOMINEES LIMITED (DEREGISTERED 19 (DEREGISTERED 28/05/2014) DECEMBER 2007) PINDAR PTY LIMITED (SOLD OCTOBER 2007) SCHERER LIMITED (DEREGISTERED 30 PINNACLE EDUCATION SA HOLDING COMPANY NOVEMBER 2011) PTY LIMITED SCORE FUNDS MANAGEMENT PTY LIMITED POINT COOK OPPORTUNISTIC INVESTMENT (DEREGISTERED 13 AUGUST 2008) COMPANY PTY LIMITED SCOTGEM LIMITED (DUPLICATE) PONTOON (FUNDING) PLC (DEREGISTERED ON 26 ScotGEM Limited DISSOLVED 10 JANUARY 2014 OCTOBER 2011) Scottish American Securities Company Limited PPS NOMINEES PTY LIMITED (SOLD 24/03/2014) SEAHORSE INVESTMENTS UK LIMITED PREFERRED CAPITAL LIMITED (DEREGISTERED 26 OCTOBER 2011) PREMIUM ALTERNATIVE INVESTMENTS PTY SECURITISATION ADVISORY SERVICES PTY. LIMITED LIMITED PREMIUM CUSTODY SERVICES PTY LTD SECURITISATION CUSTODIAN PTY LIMITED PREMIUM PLANTATIONS PTY LIMITED (DEREGISTERED 8 APRIL 2008) PREMIUM PLANTATIONS SERVICES PTY LTD SECURITISATION MANAGEMENT SERVICES

24

LIMITED ST ANDREW'S INSURANCE (AUSTRALIA) PTY LTD SECURITISATION MANAGEMENT SERVICES (SOLD 1 JULY 2010) LIMITED (DUPLICATE) ST ANDREW'S LIFE INSURANCE PTY LTD (SOLD 1 SECURITY HOLDING INVESTMENT ENTITY LINKING JULY 2010) DEALS LIMITED ST ANDREW'S SUPERANNUATION SERVICES PTY SENATOR HOUSE INVESTMENTS (UK) LIMITED LTD (DEREGISTERED 20 DECEMBER 2011) ST GILES INVESTMENTS LIMITED SENBARY PTY LIMITED ST GILES INVESTMENTS LIMITED (DEREGISTERED SERAFINA INVESTMENTS PTY LIMITED (SOLD 28/06/2010) 2007) STAR 9 PTY LTD (DEREGISTERED 23 DECEMBER SHARE DIRECT NOMINEES PTY LIMITED 2009) SHARE INVESTMENTS PTY LIMITED STATE NOMINEES LTD SI GROUP ESOP TRUSTEE LIMITED Stewart Business Management Limited ( In Liquidation (DEREGISTERED 12 JUNE 2007) ) SI Holdings Limited Stewart Ivory & Company Limited SI HOLDINGS LIMITED (DUPLICATE) STEWART IVORY & COMPANY LIMITED SIF RAILWAY NO.1 PTY LIMITED (DUPLICATE) SIF RAILWAY NO.2 PTY LIMITED STEWART IVORY NOMINEES LIMITED SINATRA INVESTMENTS LIMITED Stewart Ivory Unit Trust Managers Limited - In SINATRA INVESTMENTS LIMITED (DEREGISTERED Liquidation 10 MAY 2011) Stewart OLIM Limited SME CUSTODIANS PTY LIMITED (SOLD FEB 2008) STOCKBRIDGE HOLDINGS LIMITED SME GROWTH LIMITED (SOLD FEB 2008) STOCKBRIDGE HOLDINGS LIMITED SOUTH AUSTRALIAN FLEET LEASE ARRANGER (DEREGISTERED 28/06/2010) PTY LTD SUPER TRUSTEES OF NEW ZEALAND LIMITED SOUTHCAP PTY LIMITED (DEREGISTERED 7 JULY 2008) SOUTHERN CROSS PLANTATIONS PTY LIMITED SUPERANNUATION & INVESTMENT RESEARCH (DEREGISTERED 8 APRIL 2008) PTY LIMITED (DEREGISTERED 2 JUNE 2007) SOVEREIGN ASSURANCE COMPANY LIMITED SURFERS PARADISE RESORT HOTEL PTY LIMITED SOVEREIGN ASSURANCE COMPANY LIMITED - DEREGISTERED 25 DECEMBER 2013 (DUPLICATE) SUVA CENTRAL LIMITED (SOLD 17/12/09) SOVEREIGN FINANCIAL SERVICES LIMITED SUVA PRIVATE HOSPITAL LIMITED (SOLD 17/12/09) SOVEREIGN FINANCIAL SERVICES LIMITED SWAN SECURITISATION FINANCE PTY LIMITED (IN (DUPLICATE) LIQUIDATION) SOVEREIGN GROUP LIMITED (DEREGISTERED 29 SWAN SECURITISATION INVESTMENTS PTY LTD JUNE 2008) (IN LIQUIDATION) SOVEREIGN HOUSE LIMITED AMALGAMATED INTO SYLVIA PARK BUSINESS CENTRE LIMITED SOVEREIGN ASSURANCE COMPANY LIMITED (DUPLICATE) 30062006 SYLVIA PARK BUSINESS CENTRE LIMITED SOVEREIGN LIMITED (INTERNALISED 13/12/2013) SOVEREIGN LIMITED (DUPLICATE) SYMETRY LIMITED (DEREGISTERED 11 SOVEREIGN SERVICES LIMITED SEPTEMBER 2008) SOVEREIGN SERVICES LIMITED (DUPLICATE) T.W. CUSTODIANS LIMITED SOVEREIGN SUPERANNUATION FUNDS LIMITED TACTICAL GLOBAL MANAGEMENT LIMITED SOVEREIGN SUPERANNUATION FUNDS LIMITED TANKSTREAM RAIL (BY - 1) PTY LIMITED (DUPLICATE) TANKSTREAM RAIL (BY - 2) PTY LIMITED SOVEREIGN SUPERANNUATION TRUSTEES TANKSTREAM RAIL (BY - 3) PTY LIMITED LIMITED TANKSTREAM RAIL (BY - 4) PTY LIMITED SOVEREIGN SUPERANNUATION TRUSTEES TANKSTREAM RAIL (SW - 1) PTY LIMITED LIMITED (DUPLICATE) TANKSTREAM RAIL (SW - 2) PTY LIMITED SPARAD (NO.21) PTY LIMITED TANKSTREAM RAIL (SW - 3) PTY LIMITED SPARAD (NO.24) PTY. LIMITED (DEREGISTERED TANKSTREAM RAIL (SW - 4) PTY LIMITED ON13/5/15) TANKSTREAM RAIL (VICTORIA) PTY LIMITED SPARAD (NO.26) PTY LIMITED The Clothworkers Investment Company (NO LONGER SPARAD (NO.30) PTY. LIMITED A CLIENT) SST (2002) LIMITED THE COLONIAL MUTUAL LIFE ASSURANCE SST (2002) LIMITED (DEREGISTERED 23 SOCIETY LIMITED NOVEMBER 2009) The Scottish American Investment Company P.L.C. ST ANDREW'S AUSTRALIA PTY LTD THE SCOTTISH ORIENTAL SMALLER COMPANIES ST ANDREW'S FINANCIAL SERVICES PTY LTD TRUST PLC (DEREGISTERED) (deregisteed 11/03/13) TORQUAY BEACH PTY LTD (DEREGISTERED 28

25

JANUARY 2015) VH-VZH PTY LTD TOTAL KEEN INVESTMENT LIMITED VICTORIAN FLEET LEASE ARRANGER PTY LTD TRACKER INDEX MANAGEMENT LIMITED VIETNAM INTERNATIONAL BANK (VIETNAM TUNBRIDGE WELLS INVESTMENT COMPANY INTERNATIONAL COMMERCIAL JOINT STOCK LIMITED (LIQUIDATED 29 JUNE 2012) BANK) TYME CAPITAL PROPRIETARY LIMITED VIPRO PTY LIMITED TYME INTELLECTUAL PROPERTIES PROPRIETARY VIRACOCHA (AUSTRALIA) PTY LIMITED LIMITED VOTRAINT NO.1351 PTY LIMITED TYME INVESTMENTS PROPRIETARY LIMITED Walkers Nominees Limited TYME TECHNICAL SOLUTIONS PROPRIETARY WATERLOO & VICTORIA LIMITED (DEREGISTERED LIMITED 7 JANUARY 2011) UNITY ADVISORY SERVICES LIMITED WATERMARK INVESTMENTS LIMITED (LIQUIDATED UNITY FINANCIAL HOLDINGS LIMITED 27 AUGUST 2011) UNITY FINANCIAL SERVICES LIMITED WESTSIDE PROPERTIES LIMITED UNITY PENSION SERVICES LIMITED WESTSIDE PROPERTIES LIMITED (DUPLICATE) Value and Income Trust plc WEZEN PTY LTD VANOTI PTY. LIMITED (DEREGISTERED 16 WHITCOMB COMPANY JANUARY 2008) WHITTAKER MACNAUGHT PTY. LTD. VATOSCAN PROPRIETARY LIMITED WINDSOR BARTHOLOMEW SERVICES PTY VH-VZF PTY LTD LIMITED VH-VZG PTY LTD

26

Annexure B

This is annexure B referred to in Form 604, Notice of change of interests of substantial holder dated 09/07/2015

Carla Collingwood Company Secretary Dated the 10 July 2015

Person whose Consideration Class and number Nature of Person's votes Date of change relevant interest given in relation to of securities change affected changed change affected

Per Scheme of Commonwealth Arrangement with Bank Officers Amcom. The Thursday, 9 July Superannuation Scheme 178,361 Ordinary Purchase 178,361 2015 Corporation Pty consideration is shares Limited ACN 074 0.4614 VOC shares 519 798 for every 1 AMM share.

207,500 Ordinary shares CBA Equities Thursday, 23 April (returned to Barclays Limited ACN 003 Borrow Decrease N/A 207,500 2015 Capital Securities 485 952 Ltd, see Annexure C)

32,760 Ordinary shares CBA Equities Tuesday, 30 June (borrowed from Limited ACN 003 Borrow Increase N/A 32,760 2015 Barclays Capital 485 952 Securities Ltd, see Annexure C)

21,367 Ordinary shares CBA Equities Wednesday, 1 July (returned to Barclays Limited ACN 003 Borrow Decrease N/A 21,367 2015 Capital Securities 485 952 Ltd, see Annexure C)

10,665 Ordinary shares CBA Equities Thursday, 2 July (returned to Barclays Limited ACN 003 Borrow Decrease N/A 10,665 2015 Capital Securities 485 952 Ltd, see Annexure C)

209,000 Ordinary shares CBA Equities Wednesday, 8 July (borrowed from Limited ACN 003 Borrow Increase N/A 209,000 2015 Barclays Capital 485 952 Securities Ltd, see Annexure C)

209,000 Ordinary shares CBA Equities Wednesday, 8 July (returned to Barclays Limited ACN 003 Borrow Decrease N/A 209,000 2015 Capital Securities 485 952 Ltd, see Annexure C)

27

728 Ordinary shares CBA Equities (returned to Barclays Wednesday, 8 July Limited ACN 003 Borrow Decrease N/A Capital Securities 728 2015 485 952 Ltd, see Annexure C)

CBA Equities Friday, 13 March Limited ACN 003 Sale 112.00 20 Ordinary shares 20 2015 485 952

CBA Equities Friday, 13 March Limited ACN 003 Sale 1,904.00 340 Ordinary shares 340 2015 485 952

CBA Equities Friday, 13 March Limited ACN 003 Sale 1,989.11 361 Ordinary shares 361 2015 485 952

CBA Equities Friday, 13 March Limited ACN 003 Sale 148.50 27 Ordinary shares 27 2015 485 952

CBA Equities Friday, 13 March 4,789 Ordinary Limited ACN 003 Sale 26,339.50 4,789 2015 shares 485 952

CBA Equities Friday, 13 March Limited ACN 003 Sale 1,842.50 335 Ordinary shares 335 2015 485 952

CBA Equities Friday, 13 March Limited ACN 003 Sale 368.50 67 Ordinary shares 67 2015 485 952

CBA Equities Friday, 13 March Limited ACN 003 Sale 2,530.00 460 Ordinary shares 460 2015 485 952

CBA Equities Friday, 13 March Limited ACN 003 Sale 110.00 20 Ordinary shares 20 2015 485 952

CBA Equities Friday, 13 March Limited ACN 003 Sale 2,222.00 404 Ordinary shares 404 2015 485 952

CBA Equities Friday, 13 March Limited ACN 003 Sale 2,711.50 493 Ordinary shares 493 2015 485 952

CBA Equities Friday, 13 March 2,651 Ordinary Limited ACN 003 Sale 14,580.50 2,651 2015 shares 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 1,350.00 250 Ordinary shares 250 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 649.20 120 Ordinary shares 120 2015 485 952

28

CBA Equities Monday, 16 March Limited ACN 003 Sale 543.00 100 Ordinary shares 100 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 543.00 100 Ordinary shares 100 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 543.00 100 Ordinary shares 100 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 1,281.10 230 Ordinary shares 230 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 730.98 131 Ordinary shares 131 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 1,997.64 358 Ordinary shares 358 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 285.09 51 Ordinary shares 51 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 1,725.34 307 Ordinary shares 307 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 2,000.72 356 Ordinary shares 356 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 1,974.43 347 Ordinary shares 347 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 2,004.21 351 Ordinary shares 351 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 1,998.50 350 Ordinary shares 350 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 17.13 3 Ordinary shares 3 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 34.26 6 Ordinary shares 6 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 262.66 46 Ordinary shares 46 2015 485 952

CBA Equities Sale 34.26 6 Ordinary shares 6 Monday, 16 March Limited ACN 003

29

2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 262.66 46 Ordinary shares 46 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 11.42 2 Ordinary shares 2 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 262.66 46 Ordinary shares 46 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 1,113.45 195 Ordinary shares 195 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 1,998.50 350 Ordinary shares 350 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 2,002.00 350 Ordinary shares 350 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 2,002.00 350 Ordinary shares 350 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 2,007.72 351 Ordinary shares 351 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Sale 2,448.16 428 Ordinary shares 428 2015 485 952

CBA Equities Tuesday, 17 March Limited ACN 003 Sale 4,704.33 821 Ordinary shares 821 2015 485 952

CBA Equities Tuesday, 17 March Limited ACN 003 Sale 1,991.55 355 Ordinary shares 355 2015 485 952

CBA Equities Wednesday, 18 2,482 Ordinary Limited ACN 003 Sale 14,345.96 2,482 March 2015 shares 485 952

CBA Equities Wednesday, 18 1,014 Ordinary Limited ACN 003 Sale 5,860.92 1,014 March 2015 shares 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Sale 323.68 56 Ordinary shares 56 March 2015 485 952

CBA Equities Friday, 13 March Limited ACN 003 Purchase 2,051.90 355 Ordinary shares 355 2015 485 952

30

CBA Equities Wednesday, 18 Limited ACN 003 Sale 1,999.88 346 Ordinary shares 346 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Sale 2,037.94 346 Ordinary shares 346 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Sale 429.84 72 Ordinary shares 72 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Sale 1,599.96 268 Ordinary shares 268 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Sale 47.76 8 Ordinary shares 8 March 2015 485 952

CBA Equities Friday, 13 March Limited ACN 003 Purchase 1,996.60 335 Ordinary shares 335 2015 485 952

CBA Equities Friday, 13 March Limited ACN 003 Purchase 143.04 24 Ordinary shares 24 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Sale 2,002.56 336 Ordinary shares 336 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Sale 2,002.56 336 Ordinary shares 336 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Sale 1,108.56 186 Ordinary shares 186 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Sale 894.00 150 Ordinary shares 150 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Sale 2,002.56 336 Ordinary shares 336 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Sale 2,002.56 336 Ordinary shares 336 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Sale 2,036.16 336 Ordinary shares 336 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Sale 1,993.20 330 Ordinary shares 330 March 2015 485 952

CBA Equities Sale 1,999.24 331 Ordinary shares 331 Wednesday, 18 Limited ACN 003

31

March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Sale 2,022.41 331 Ordinary shares 331 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Sale 2,011.05 327 Ordinary shares 327 March 2015 485 952

CBA Equities Friday, 13 March Limited ACN 003 Purchase 1,995.50 325 Ordinary shares 325 2015 485 952

CBA Equities Friday, 13 March Limited ACN 003 Purchase 577.16 94 Ordinary shares 94 2015 485 952

CBA Equities Friday, 13 March Limited ACN 003 Purchase 1,424.48 232 Ordinary shares 232 2015 485 952

CBA Equities Friday, 13 March Limited ACN 003 Purchase 5,085.72 831 Ordinary shares 831 2015 485 952

CBA Equities Thursday, 19 March 2,456 Ordinary Limited ACN 003 Sale 14,957.04 2,456 2015 shares 485 952

CBA Equities Thursday, 19 March Limited ACN 003 Sale 4,938.99 811 Ordinary shares 811 2015 485 952

CBA Equities Thursday, 19 March Limited ACN 003 Sale 6.09 1 Ordinary shares 1 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Purchase 1,963.00 325 Ordinary shares 325 2015 485 952

CBA Equities Thursday, 19 March Limited ACN 003 Sale 1,996.50 330 Ordinary shares 330 2015 485 952

CBA Equities Monday, 16 March Limited ACN 003 Purchase 2,010.00 335 Ordinary shares 335 2015 485 952

CBA Equities Monday, 16 March 1,350 Ordinary Limited ACN 003 Purchase 8,100.00 1,350 2015 shares 485 952

CBA Equities Thursday, 19 March 4,567 Ordinary Limited ACN 003 Sale 27,402.00 4,567 2015 shares 485 952

CBA Equities Tuesday, 17 March 3,333 Ordinary Limited ACN 003 Purchase 19,964.67 3,333 2015 shares 485 952

32

CBA Equities Tuesday, 17 March Limited ACN 003 Purchase 2,009.70 330 Ordinary shares 330 2015 485 952

CBA Equities Tuesday, 17 March Limited ACN 003 Purchase 152.25 25 Ordinary shares 25 2015 485 952

CBA Equities Tuesday, 17 March 1,315 Ordinary Limited ACN 003 Purchase 8,008.35 1,315 2015 shares 485 952

CBA Equities Tuesday, 17 March 1,420 Ordinary Limited ACN 003 Purchase 8,647.80 1,420 2015 shares 485 952

CBA Equities Friday, 20 March 3,616 Ordinary Limited ACN 003 Sale 22,021.44 3,616 2015 shares 485 952

CBA Equities Tuesday, 17 March 2,728 Ordinary Limited ACN 003 Purchase 16,613.52 2,728 2015 shares 485 952

CBA Equities Friday, 20 March 2,728 Ordinary Limited ACN 003 Sale 16,613.52 2,728 2015 shares 485 952

CBA Equities Wednesday, 18 3,284 Ordinary Limited ACN 003 Purchase 19,704.00 3,284 March 2015 shares 485 952

CBA Equities Monday, 23 March Limited ACN 003 Sale 1,950.00 325 Ordinary shares 325 2015 485 952

CBA Equities Monday, 23 March Limited ACN 003 Sale 1,983.30 330 Ordinary shares 330 2015 485 952

CBA Equities Monday, 23 March Limited ACN 003 Sale 1,986.60 330 Ordinary shares 330 2015 485 952

CBA Equities Monday, 23 March Limited ACN 003 Sale 385.28 64 Ordinary shares 64 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Purchase 2,019.60 330 Ordinary shares 330 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Purchase 403.92 66 Ordinary shares 66 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Purchase 1,334.16 218 Ordinary shares 218 March 2015 485 952

CBA Equities Purchase 281.52 46 Ordinary shares 46 Wednesday, 18 Limited ACN 003

33

March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Purchase 281.52 46 Ordinary shares 46 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Purchase 1,113.84 182 Ordinary shares 182 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Purchase 281.52 46 Ordinary shares 46 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Purchase 2,943.72 481 Ordinary shares 481 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Purchase 752.76 123 Ordinary shares 123 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Purchase 3,225.24 527 Ordinary shares 527 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Purchase 24.44 4 Ordinary shares 4 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Purchase 1,148.68 188 Ordinary shares 188 March 2015 485 952

CBA Equities Wednesday, 18 Limited ACN 003 Purchase 812.63 133 Ordinary shares 133 March 2015 485 952

CBA Equities Monday, 23 March 4,377 Ordinary Limited ACN 003 Sale 26,831.01 4,377 2015 shares 485 952

CBA Equities Monday, 23 March 1,440 Ordinary Limited ACN 003 Sale 8,827.20 1,440 2015 shares 485 952

CBA Equities Monday, 23 March 2,263 Ordinary Limited ACN 003 Sale 13,872.19 2,263 2015 shares 485 952

CBA Equities Thursday, 19 March 5,838 Ordinary Limited ACN 003 Purchase 36,078.84 5,838 2015 shares 485 952

CBA Equities Thursday, 19 March 4,468 Ordinary Limited ACN 003 Purchase 27,612.24 4,468 2015 shares 485 952

CBA Equities Thursday, 19 March Limited ACN 003 Purchase 4,925.46 797 Ordinary shares 797 2015 485 952

34

CBA Equities Thursday, 19 March 1,000 Ordinary Limited ACN 003 Purchase 6,180.00 1,000 2015 shares 485 952

CBA Equities Thursday, 19 March 1,465 Ordinary Limited ACN 003 Purchase 9,053.70 1,465 2015 shares 485 952

CBA Equities Thursday, 19 March Limited ACN 003 Purchase 6.18 1 Ordinary shares 1 2015 485 952

CBA Equities Thursday, 19 March 1,350 Ordinary Limited ACN 003 Purchase 8,302.50 1,350 2015 shares 485 952

CBA Equities Thursday, 19 March 1,360 Ordinary Limited ACN 003 Purchase 8,364.00 1,360 2015 shares 485 952

CBA Equities Thursday, 19 March 1,075 Ordinary Limited ACN 003 Purchase 6,611.25 1,075 2015 shares 485 952

CBA Equities Thursday, 19 March Limited ACN 003 Purchase 3,997.50 650 Ordinary shares 650 2015 485 952

CBA Equities Tuesday, 24 March 1,489 Ordinary Limited ACN 003 Sale 9,157.35 1,489 2015 shares 485 952

CBA Equities Thursday, 19 March Limited ACN 003 Purchase 2,017.20 328 Ordinary shares 328 2015 485 952

CBA Equities Thursday, 19 March 5,000 Ordinary Limited ACN 003 Purchase 30,750.00 5,000 2015 shares 485 952

CBA Equities Thursday, 19 March 3,228 Ordinary Limited ACN 003 Purchase 19,852.20 3,228 2015 shares 485 952

CBA Equities Friday, 20 March Limited ACN 003 Purchase 4,840.05 787 Ordinary shares 787 2015 485 952

CBA Equities Friday, 20 March 2,464 Ordinary Limited ACN 003 Purchase 15,153.60 2,464 2015 shares 485 952

CBA Equities Friday, 20 March Limited ACN 003 Purchase 6.15 1 Ordinary shares 1 2015 485 952

CBA Equities Wednesday, 25 12,901 Ordinary Limited ACN 003 Sale 79,212.14 12,901 March 2015 shares 485 952

CBA Equities Purchase 3,522.40 592 Ordinary shares 592 Monday, 30 March Limited ACN 003

35

2015 485 952

CBA Equities Monday, 30 March Limited ACN 003 Purchase 1,184.05 199 Ordinary shares 199 2015 485 952

CBA Equities Monday, 30 March Limited ACN 003 Purchase 3,094.00 520 Ordinary shares 520 2015 485 952

CBA Equities Monday, 30 March Limited ACN 003 Purchase 589.05 99 Ordinary shares 99 2015 485 952

CBA Equities Monday, 30 March Limited ACN 003 Purchase 238.00 40 Ordinary shares 40 2015 485 952

CBA Equities Monday, 30 March Limited ACN 003 Purchase 238.00 40 Ordinary shares 40 2015 485 952

CBA Equities Monday, 30 March Limited ACN 003 Purchase 238.00 40 Ordinary shares 40 2015 485 952

CBA Equities Monday, 30 March Limited ACN 003 Purchase 3,456.95 581 Ordinary shares 581 2015 485 952

CBA Equities Monday, 30 March Limited ACN 003 Purchase 279.65 47 Ordinary shares 47 2015 485 952

CBA Equities Monday, 30 March 1,175 Ordinary Limited ACN 003 Purchase 6,991.25 1,175 2015 shares 485 952

CBA Equities Monday, 30 March Limited ACN 003 Purchase 1,956.90 330 Ordinary shares 330 2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Sale 1,966.45 335 Ordinary shares 335 2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Sale 1,992.40 340 Ordinary shares 340 2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Sale 1,992.40 340 Ordinary shares 340 2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Sale 609.44 104 Ordinary shares 104 2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Sale 5,426.36 926 Ordinary shares 926 2015 485 952

36

CBA Equities Thursday, 2 April 11,718 Ordinary Limited ACN 003 Sale 68,550.30 11,718 2015 shares 485 952

CBA Equities Wednesday, 1 April Limited ACN 003 Purchase 2,030.10 335 Ordinary shares 335 2015 485 952

CBA Equities Wednesday, 1 April Limited ACN 003 Purchase 4,977.40 820 Ordinary shares 820 2015 485 952

CBA Equities Wednesday, 1 April Limited ACN 003 Purchase 4,894.40 805 Ordinary shares 805 2015 485 952

CBA Equities Wednesday, 1 April Limited ACN 003 Purchase 5,815.95 955 Ordinary shares 955 2015 485 952

CBA Equities Wednesday, 1 April Limited ACN 003 Purchase 755.16 124 Ordinary shares 124 2015 485 952

CBA Equities Wednesday, 1 April Limited ACN 003 Purchase 115.71 19 Ordinary shares 19 2015 485 952

CBA Equities Wednesday, 1 April Limited ACN 003 Purchase 724.71 119 Ordinary shares 119 2015 485 952

CBA Equities Wednesday, 1 April Limited ACN 003 Purchase 1,619.94 266 Ordinary shares 266 2015 485 952

CBA Equities Wednesday, 1 April Limited ACN 003 Purchase 2,783.13 457 Ordinary shares 457 2015 485 952

CBA Equities Wednesday, 8 April 3,615 Ordinary Limited ACN 003 Sale 22,087.65 3,615 2015 shares 485 952

CBA Equities Thursday, 9 April Limited ACN 003 Sale 1,009.80 165 Ordinary shares 165 2015 485 952

CBA Equities Thursday, 9 April 1,628 Ordinary Limited ACN 003 Sale 9,963.36 1,628 2015 shares 485 952

CBA Equities Thursday, 9 April Limited ACN 003 Sale 550.80 90 Ordinary shares 90 2015 485 952

CBA Equities Thursday, 9 April 1,390 Ordinary Limited ACN 003 Sale 8,506.80 1,390 2015 shares 485 952

CBA Equities Sale 1,979.25 325 Ordinary shares 325 Thursday, 9 April Limited ACN 003

37

2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Purchase 1,976.00 325 Ordinary shares 325 2015 485 952

CBA Equities Thursday, 9 April Limited ACN 003 Sale 1,992.25 325 Ordinary shares 325 2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Purchase 1,982.50 325 Ordinary shares 325 2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Purchase 1,963.00 325 Ordinary shares 325 2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Purchase 1,573.83 261 Ordinary shares 261 2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Purchase 2,948.67 489 Ordinary shares 489 2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Purchase 5,013.20 830 Ordinary shares 830 2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Purchase 4,343.90 718 Ordinary shares 718 2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Purchase 211.75 35 Ordinary shares 35 2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Purchase 1,040.60 172 Ordinary shares 172 2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Purchase 1,715.36 284 Ordinary shares 284 2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Purchase 1,159.68 192 Ordinary shares 192 2015 485 952

CBA Equities Thursday, 2 April Limited ACN 003 Purchase 338.24 56 Ordinary shares 56 2015 485 952

CBA Equities Thursday, 9 April Limited ACN 003 Sale 2,622.24 432 Ordinary shares 432 2015 485 952

CBA Equities Thursday, 9 April Limited ACN 003 Sale 1,147.23 189 Ordinary shares 189 2015 485 952

38

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 1,244.24 206 Ordinary shares 206 2015 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 597.96 99 Ordinary shares 99 2015 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 477.16 79 Ordinary shares 79 2015 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 356.36 59 Ordinary shares 59 2015 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 755.00 125 Ordinary shares 125 2015 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 114.76 19 Ordinary shares 19 2015 485 952

CBA Equities Tuesday, 7 April 1,359 Ordinary Limited ACN 003 Purchase 8,208.36 1,359 2015 shares 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 6.04 1 Ordinary shares 1 2015 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 6.04 1 Ordinary shares 1 2015 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 6.04 1 Ordinary shares 1 2015 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 2,265.00 375 Ordinary shares 375 2015 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 5,864.84 971 Ordinary shares 971 2015 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 1,933.75 325 Ordinary shares 325 2015 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 225.72 38 Ordinary shares 38 2015 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 1,324.62 223 Ordinary shares 223 2015 485 952

CBA Equities Purchase 1,170.18 197 Ordinary shares 197 Tuesday, 7 April Limited ACN 003

39

2015 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 445.50 75 Ordinary shares 75 2015 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 1,128.60 190 Ordinary shares 190 2015 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 83.02 14 Ordinary shares 14 2015 485 952

CBA Equities Tuesday, 7 April Limited ACN 003 Purchase 314.29 53 Ordinary shares 53 2015 485 952

CBA Equities Tuesday, 7 April 2,218 Ordinary Limited ACN 003 Purchase 13,174.92 2,218 2015 shares 485 952

CBA Equities Tuesday, 7 April 6,118 Ordinary Limited ACN 003 Purchase 36,340.92 6,118 2015 shares 485 952

CBA Equities Tuesday, 7 April 3,921 Ordinary Limited ACN 003 Purchase 23,290.74 3,921 2015 shares 485 952

CBA Equities Wednesday, 8 April Limited ACN 003 Purchase 154.70 26 Ordinary shares 26 2015 485 952

CBA Equities Wednesday, 8 April Limited ACN 003 Purchase 589.05 99 Ordinary shares 99 2015 485 952

CBA Equities Wednesday, 8 April Limited ACN 003 Purchase 737.80 124 Ordinary shares 124 2015 485 952

CBA Equities Wednesday, 8 April Limited ACN 003 Purchase 565.25 95 Ordinary shares 95 2015 485 952

CBA Equities Wednesday, 8 April Limited ACN 003 Purchase 1,297.10 218 Ordinary shares 218 2015 485 952

CBA Equities Wednesday, 8 April Limited ACN 003 Purchase 1,986.55 335 Ordinary shares 335 2015 485 952

CBA Equities Monday, 13 April Limited ACN 003 Sale 844.90 142 Ordinary shares 142 2015 485 952

CBA Equities Monday, 13 April Limited ACN 003 Sale 1,150.28 193 Ordinary shares 193 2015 485 952

40

CBA Equities Monday, 13 April Limited ACN 003 Sale 1,986.55 335 Ordinary shares 335 2015 485 952

CBA Equities Monday, 13 April Limited ACN 003 Sale 4,940.76 836 Ordinary shares 836 2015 485 952

CBA Equities Monday, 13 April Limited ACN 003 Sale 230.49 39 Ordinary shares 39 2015 485 952

CBA Equities Monday, 13 April Limited ACN 003 Sale 4,497.51 761 Ordinary shares 761 2015 485 952

CBA Equities Monday, 13 April 1,629 Ordinary Limited ACN 003 Sale 9,627.39 1,629 2015 shares 485 952

CBA Equities Monday, 13 April Limited ACN 003 Sale 100.47 17 Ordinary shares 17 2015 485 952

CBA Equities Monday, 13 April Limited ACN 003 Sale 3,888.78 658 Ordinary shares 658 2015 485 952

CBA Equities Monday, 13 April Limited ACN 003 Sale 2,346.27 397 Ordinary shares 397 2015 485 952

CBA Equities Monday, 13 April Limited ACN 003 Sale 2,133.51 361 Ordinary shares 361 2015 485 952

CBA Equities Monday, 13 April Limited ACN 003 Sale 1,312.02 222 Ordinary shares 222 2015 485 952

CBA Equities Monday, 13 April 3,711 Ordinary Limited ACN 003 Sale 21,932.01 3,711 2015 shares 485 952

CBA Equities Tuesday, 14 April Limited ACN 003 Sale 3,013.28 509 Ordinary shares 509 2015 485 952

CBA Equities Tuesday, 14 April Limited ACN 003 Sale 319.68 54 Ordinary shares 54 2015 485 952

CBA Equities Tuesday, 14 April Limited ACN 003 Sale 680.80 115 Ordinary shares 115 2015 485 952

CBA Equities Tuesday, 14 April Limited ACN 003 Sale 592.00 100 Ordinary shares 100 2015 485 952

CBA Equities Sale 3,161.28 534 Ordinary shares 534 Tuesday, 14 April Limited ACN 003

41

2015 485 952

CBA Equities Tuesday, 14 April Limited ACN 003 Sale 171.68 29 Ordinary shares 29 2015 485 952

CBA Equities Tuesday, 14 April Limited ACN 003 Sale 941.28 159 Ordinary shares 159 2015 485 952

CBA Equities Tuesday, 14 April Limited ACN 003 Sale 3,652.64 617 Ordinary shares 617 2015 485 952

CBA Equities Tuesday, 14 April Limited ACN 003 Sale 159.84 27 Ordinary shares 27 2015 485 952

CBA Equities Tuesday, 14 April Limited ACN 003 Sale 1,255.04 212 Ordinary shares 212 2015 485 952

CBA Equities Tuesday, 14 April Limited ACN 003 Sale 663.04 112 Ordinary shares 112 2015 485 952

CBA Equities Tuesday, 14 April Limited ACN 003 Sale 1,320.16 223 Ordinary shares 223 2015 485 952

CBA Equities Tuesday, 14 April Limited ACN 003 Sale 236.80 40 Ordinary shares 40 2015 485 952

CBA Equities Tuesday, 14 April Limited ACN 003 Sale 2,042.40 345 Ordinary shares 345 2015 485 952

CBA Equities Tuesday, 14 April Limited ACN 003 Sale 818.34 138 Ordinary shares 138 2015 485 952

CBA Equities Tuesday, 14 April Limited ACN 003 Sale 675.74 113 Ordinary shares 113 2015 485 952

CBA Equities Thursday, 9 April Limited ACN 003 Purchase 2,010.00 335 Ordinary shares 335 2015 485 952

CBA Equities Thursday, 9 April Limited ACN 003 Purchase 2,006.40 330 Ordinary shares 330 2015 485 952

CBA Equities Thursday, 9 April Limited ACN 003 Purchase 541.12 89 Ordinary shares 89 2015 485 952

CBA Equities Thursday, 9 April Limited ACN 003 Purchase 2,959.74 486 Ordinary shares 486 2015 485 952

42

CBA Equities Thursday, 9 April Limited ACN 003 Purchase 103.53 17 Ordinary shares 17 2015 485 952

CBA Equities Thursday, 9 April 1,091 Ordinary Limited ACN 003 Purchase 6,644.19 1,091 2015 shares 485 952

CBA Equities Thursday, 9 April Limited ACN 003 Purchase 487.20 80 Ordinary shares 80 2015 485 952

CBA Equities Thursday, 9 April Limited ACN 003 Purchase 956.13 157 Ordinary shares 157 2015 485 952

CBA Equities Thursday, 9 April Limited ACN 003 Purchase 1,132.74 186 Ordinary shares 186 2015 485 952

CBA Equities Tuesday, 14 April 6,611 Ordinary Limited ACN 003 Sale 39,071.01 6,611 2015 shares 485 952

CBA Equities Wednesday, 15 April Limited ACN 003 Sale 1,875.72 308 Ordinary shares 308 2015 485 952

CBA Equities Wednesday, 15 April Limited ACN 003 Sale 1,979.25 325 Ordinary shares 325 2015 485 952

CBA Equities Friday, 10 April 2015 Limited ACN 003 Purchase 1,966.25 325 Ordinary shares 325 485 952

CBA Equities Friday, 10 April 2015 Limited ACN 003 Purchase 1,989.90 330 Ordinary shares 330 485 952

CBA Equities Friday, 10 April 2015 Limited ACN 003 Purchase 1,999.80 330 Ordinary shares 330 485 952

CBA Equities Friday, 10 April 2015 Limited ACN 003 Purchase 54.72 9 Ordinary shares 9 485 952

CBA Equities Friday, 10 April 2015 Limited ACN 003 Purchase 705.28 116 Ordinary shares 116 485 952

CBA Equities Friday, 10 April 2015 Limited ACN 003 Purchase 1,244.35 205 Ordinary shares 205 485 952

CBA Equities Friday, 10 April 2015 Limited ACN 003 Purchase 847.00 140 Ordinary shares 140 485 952

Friday, 10 April 2015 CBA Equities Purchase 96.32 16 Ordinary shares 16 Limited ACN 003

43

485 952

CBA Equities Friday, 10 April 2015 Limited ACN 003 Purchase 84.42 14 Ordinary shares 14 485 952

CBA Equities Monday, 13 April 3,317 Ordinary Limited ACN 003 Purchase 19,935.17 3,317 2015 shares 485 952

CBA Equities Monday, 13 April Limited ACN 003 Purchase 1,996.50 330 Ordinary shares 330 2015 485 952

CBA Equities Monday, 13 April Limited ACN 003 Purchase 1,989.90 330 Ordinary shares 330 2015 485 952

CBA Equities Monday, 13 April Limited ACN 003 Purchase 221.63 37 Ordinary shares 37 2015 485 952

CBA Equities Monday, 13 April Limited ACN 003 Purchase 1,755.07 293 Ordinary shares 293 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Sale 119.20 20 Ordinary shares 20 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Sale 1,999.95 335 Ordinary shares 335 2015 485 952

CBA Equities Monday, 13 April Limited ACN 003 Purchase 1,986.55 335 Ordinary shares 335 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Sale 59.50 10 Ordinary shares 10 2015 485 952

CBA Equities Friday, 17 April 2015 Limited ACN 003 Sale 2,872.26 486 Ordinary shares 486 485 952

CBA Equities Friday, 17 April 2015 Limited ACN 003 Sale 2,016.70 335 Ordinary shares 335 485 952

CBA Equities Friday, 17 April 2015 Limited ACN 003 Sale 1,983.30 330 Ordinary shares 330 485 952

CBA Equities Friday, 17 April 2015 Limited ACN 003 Sale 1,712.85 285 Ordinary shares 285 485 952

CBA Equities Friday, 17 April 2015 Limited ACN 003 Sale 1,625.40 270 Ordinary shares 270 485 952

44

CBA Equities Tuesday, 14 April 2,875 Ordinary Limited ACN 003 Purchase 16,991.25 2,875 2015 shares 485 952

CBA Equities 2,875 Ordinary Friday, 17 April 2015 Limited ACN 003 Sale 16,991.25 2,875 shares 485 952

CBA Equities Wednesday, 15 April Limited ACN 003 Purchase 90.15 15 Ordinary shares 15 2015 485 952

CBA Equities Wednesday, 15 April Limited ACN 003 Purchase 234.39 39 Ordinary shares 39 2015 485 952

CBA Equities Wednesday, 15 April Limited ACN 003 Purchase 234.39 39 Ordinary shares 39 2015 485 952

CBA Equities Wednesday, 15 April Limited ACN 003 Purchase 54.09 9 Ordinary shares 9 2015 485 952

CBA Equities Wednesday, 15 April 1,121 Ordinary Limited ACN 003 Purchase 6,737.21 1,121 2015 shares 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 1,973.40 330 Ordinary shares 330 2015 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 1,976.70 330 Ordinary shares 330 2015 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 1,963.50 330 Ordinary shares 330 2015 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 35.64 6 Ordinary shares 6 2015 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 641.52 108 Ordinary shares 108 2015 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 1,308.32 221 Ordinary shares 221 2015 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 100.81 17 Ordinary shares 17 2015 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 106.74 18 Ordinary shares 18 2015 485 952

CBA Equities Sale 670.09 113 Ordinary shares 113 Monday, 20 April Limited ACN 003

45

2015 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 557.42 94 Ordinary shares 94 2015 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 189.76 32 Ordinary shares 32 2015 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 361.73 61 Ordinary shares 61 2015 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 3,202.20 540 Ordinary shares 540 2015 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 1,986.55 335 Ordinary shares 335 2015 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 1,294.29 219 Ordinary shares 219 2015 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 687.88 116 Ordinary shares 116 2015 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 1,986.55 335 Ordinary shares 335 2015 485 952

CBA Equities Monday, 20 April 9,771 Ordinary Limited ACN 003 Sale 57,942.03 9,771 2015 shares 485 952

CBA Equities Monday, 20 April Limited ACN 003 Sale 4,512.73 761 Ordinary shares 761 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 2,003.30 335 Ordinary shares 335 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 95.20 16 Ordinary shares 16 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 47.84 8 Ordinary shares 8 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 1,046.50 175 Ordinary shares 175 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 203.32 34 Ordinary shares 34 2015 485 952

46

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 582.00 97 Ordinary shares 97 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 850.58 142 Ordinary shares 142 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 197.67 33 Ordinary shares 33 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 233.61 39 Ordinary shares 39 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 269.55 45 Ordinary shares 45 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 393.36 66 Ordinary shares 66 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 293.02 49 Ordinary shares 49 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 5,651.10 945 Ordinary shares 945 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 1,602.64 268 Ordinary shares 268 2015 485 952

CBA Equities Thursday, 16 April 5,825 Ordinary Limited ACN 003 Purchase 34,833.50 5,825 2015 shares 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 5,800.60 970 Ordinary shares 970 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 89.70 15 Ordinary shares 15 2015 485 952

CBA Equities Thursday, 16 April Limited ACN 003 Purchase 2,828.54 473 Ordinary shares 473 2015 485 952

CBA Equities Friday, 17 April 2015 Limited ACN 003 Purchase 1,993.25 335 Ordinary shares 335 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Sale 1,989.90 335 Ordinary shares 335 2015 485 952

CBA Equities Sale 1,999.95 335 Ordinary shares 335 Wednesday, 22 April Limited ACN 003

47

2015 485 952

CBA Equities Friday, 17 April 2015 Limited ACN 003 Purchase 798.64 134 Ordinary shares 134 485 952

CBA Equities Friday, 17 April 2015 Limited ACN 003 Purchase 798.64 134 Ordinary shares 134 485 952

CBA Equities Monday, 20 April 3,356 Ordinary Limited ACN 003 Purchase 19,800.40 3,356 2015 shares 485 952

CBA Equities Thursday, 23 April Limited ACN 003 Sale 129.80 22 Ordinary shares 22 2015 485 952

CBA Equities Thursday, 23 April Limited ACN 003 Sale 1,876.20 318 Ordinary shares 318 2015 485 952

CBA Equities Thursday, 23 April Limited ACN 003 Sale 146.00 25 Ordinary shares 25 2015 485 952

CBA Equities Thursday, 23 April Limited ACN 003 Sale 1,103.76 189 Ordinary shares 189 2015 485 952

CBA Equities Thursday, 23 April Limited ACN 003 Sale 438.00 75 Ordinary shares 75 2015 485 952

CBA Equities Thursday, 23 April Limited ACN 003 Sale 267.26 46 Ordinary shares 46 2015 485 952

CBA Equities Thursday, 23 April Limited ACN 003 Sale 2,534.40 440 Ordinary shares 440 2015 485 952

CBA Equities Thursday, 23 April Limited ACN 003 Sale 2,004.45 345 Ordinary shares 345 2015 485 952

CBA Equities Thursday, 23 April Limited ACN 003 Sale 1,978.80 340 Ordinary shares 340 2015 485 952

CBA Equities Monday, 20 April Limited ACN 003 Purchase 1,847.58 318 Ordinary shares 318 2015 485 952

CBA Equities Thursday, 23 April Limited ACN 003 Sale 23.32 4 Ordinary shares 4 2015 485 952

CBA Equities Thursday, 23 April Limited ACN 003 Sale 198.22 34 Ordinary shares 34 2015 485 952

48

CBA Equities Thursday, 23 April Limited ACN 003 Sale 932.80 160 Ordinary shares 160 2015 485 952

CBA Equities Thursday, 23 April 4,782 Ordinary Limited ACN 003 Sale 27,879.06 4,782 2015 shares 485 952

CBA Equities Thursday, 23 April 5,000 Ordinary Limited ACN 003 Sale 29,150.00 5,000 2015 shares 485 952

CBA Equities Tuesday, 21 April Limited ACN 003 Purchase 374.40 64 Ordinary shares 64 2015 485 952

CBA Equities Tuesday, 21 April Limited ACN 003 Purchase 2,059.20 352 Ordinary shares 352 2015 485 952

CBA Equities Tuesday, 21 April Limited ACN 003 Purchase 140.40 24 Ordinary shares 24 2015 485 952

CBA Equities Tuesday, 21 April Limited ACN 003 Purchase 1,992.40 340 Ordinary shares 340 2015 485 952

CBA Equities Tuesday, 21 April Limited ACN 003 Purchase 1,992.40 340 Ordinary shares 340 2015 485 952

CBA Equities Tuesday, 21 April Limited ACN 003 Purchase 1,995.80 340 Ordinary shares 340 2015 485 952

CBA Equities Tuesday, 21 April Limited ACN 003 Purchase 270.02 46 Ordinary shares 46 2015 485 952

CBA Equities Tuesday, 21 April Limited ACN 003 Purchase 217.19 37 Ordinary shares 37 2015 485 952

CBA Equities Tuesday, 21 April Limited ACN 003 Purchase 2,412.57 411 Ordinary shares 411 2015 485 952

CBA Equities Friday, 24 April 2015 Limited ACN 003 Sale 3,240.24 552 Ordinary shares 552 485 952

CBA Equities Friday, 24 April 2015 Limited ACN 003 Sale 1,649.47 281 Ordinary shares 281 485 952

CBA Equities Friday, 24 April 2015 Limited ACN 003 Sale 82.18 14 Ordinary shares 14 485 952

Friday, 24 April 2015 CBA Equities Sale 1,385.32 236 Ordinary shares 236 Limited ACN 003

49

485 952

CBA Equities Friday, 24 April 2015 Limited ACN 003 Sale 17.61 3 Ordinary shares 3 485 952

CBA Equities Friday, 24 April 2015 Limited ACN 003 Sale 17.61 3 Ordinary shares 3 485 952

CBA Equities Friday, 24 April 2015 Limited ACN 003 Sale 1,878.40 320 Ordinary shares 320 485 952

CBA Equities Friday, 24 April 2015 Limited ACN 003 Sale 23.48 4 Ordinary shares 4 485 952

CBA Equities Friday, 24 April 2015 Limited ACN 003 Sale 23.48 4 Ordinary shares 4 485 952

CBA Equities Friday, 24 April 2015 Limited ACN 003 Sale 2,600.41 443 Ordinary shares 443 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 680.92 116 Ordinary shares 116 2015 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 93.92 16 Ordinary shares 16 2015 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 88.05 15 Ordinary shares 15 2015 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 986.16 168 Ordinary shares 168 2015 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 275.89 47 Ordinary shares 47 2015 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 1,203.35 205 Ordinary shares 205 2015 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 751.36 128 Ordinary shares 128 2015 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 205.45 35 Ordinary shares 35 2015 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 2,893.91 493 Ordinary shares 493 2015 485 952

50

CBA Equities Wednesday, 22 April 2,184 Ordinary Limited ACN 003 Purchase 12,820.08 2,184 2015 shares 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 1,985.60 340 Ordinary shares 340 2015 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 489.72 84 Ordinary shares 84 2015 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 408.10 70 Ordinary shares 70 2015 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 274.01 47 Ordinary shares 47 2015 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 1,975.40 340 Ordinary shares 340 2015 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 1,009.75 175 Ordinary shares 175 2015 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 588.54 102 Ordinary shares 102 2015 485 952

CBA Equities Wednesday, 22 April 1,371 Ordinary Limited ACN 003 Purchase 7,979.22 1,371 2015 shares 485 952

CBA Equities Wednesday, 22 April 1,807 Ordinary Limited ACN 003 Purchase 10,516.74 1,807 2015 shares 485 952

CBA Equities Wednesday, 22 April 1,821 Ordinary Limited ACN 003 Purchase 10,598.22 1,821 2015 shares 485 952

CBA Equities Wednesday, 22 April 1,000 Ordinary Limited ACN 003 Purchase 5,820.00 1,000 2015 shares 485 952

CBA Equities Wednesday, 22 April 2,200 Ordinary Limited ACN 003 Purchase 12,804.00 2,200 2015 shares 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 4,027.44 692 Ordinary shares 692 2015 485 952

CBA Equities Wednesday, 22 April Limited ACN 003 Purchase 582.00 100 Ordinary shares 100 2015 485 952

CBA Equities Purchase 2,217.42 381 Ordinary shares 381 Wednesday, 22 April Limited ACN 003

51

2015 485 952

CBA Equities Tuesday, 28 April 3,063 Ordinary Limited ACN 003 Sale 17,765.40 3,063 2015 shares 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Sale 1,961.80 340 Ordinary shares 340 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Sale 4,500.60 780 Ordinary shares 780 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Sale 3,519.70 610 Ordinary shares 610 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Sale 3,548.55 615 Ordinary shares 615 2015 485 952

CBA Equities Thursday, 23 April Limited ACN 003 Purchase 555.84 96 Ordinary shares 96 2015 485 952

CBA Equities Thursday, 23 April Limited ACN 003 Purchase 2,304.42 398 Ordinary shares 398 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Sale 463.20 80 Ordinary shares 80 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Sale 1,580.67 273 Ordinary shares 273 2015 485 952

CBA Equities Tuesday, 28 April 1,249 Ordinary Limited ACN 003 Sale 7,231.71 1,249 2015 shares 485 952

CBA Equities Tuesday, 28 April 4,358 Ordinary Limited ACN 003 Sale 25,232.82 4,358 2015 shares 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Sale 3,717.18 642 Ordinary shares 642 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Sale 1,105.89 191 Ordinary shares 191 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Sale 5.79 1 Ordinary shares 1 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Sale 2,541.81 439 Ordinary shares 439 2015 485 952

52

CBA Equities 3,454 Ordinary Friday, 24 April 2015 Limited ACN 003 Purchase 20,136.82 3,454 shares 485 952

CBA Equities Friday, 24 April 2015 Limited ACN 003 Purchase 241.90 41 Ordinary shares 41 485 952

CBA Equities Friday, 24 April 2015 Limited ACN 003 Purchase 1,528.10 259 Ordinary shares 259 485 952

CBA Equities Friday, 24 April 2015 Limited ACN 003 Purchase 265.50 45 Ordinary shares 45 485 952

CBA Equities Friday, 24 April 2015 Limited ACN 003 Purchase 4,838.88 816 Ordinary shares 816 485 952

CBA Equities Friday, 24 April 2015 Limited ACN 003 Purchase 296.50 50 Ordinary shares 50 485 952

CBA Equities Wednesday, 29 April 1,958 Ordinary Limited ACN 003 Sale 11,610.94 1,958 2015 shares 485 952

CBA Equities Friday, 24 April 2015 Limited ACN 003 Purchase 723.46 122 Ordinary shares 122 485 952

CBA Equities Wednesday, 29 April 2,501 Ordinary Limited ACN 003 Sale 14,830.93 2,501 2015 shares 485 952

CBA Equities Thursday, 30 April 3,373 Ordinary Limited ACN 003 Sale 20,069.35 3,373 2015 shares 485 952

CBA Equities Monday, 27 April Limited ACN 003 Purchase 5.98 1 Ordinary shares 1 2015 485 952

CBA Equities Monday, 27 April Limited ACN 003 Purchase 17.94 3 Ordinary shares 3 2015 485 952

CBA Equities Monday, 27 April Limited ACN 003 Purchase 17.94 3 Ordinary shares 3 2015 485 952

CBA Equities Monday, 27 April Limited ACN 003 Purchase 520.26 87 Ordinary shares 87 2015 485 952

CBA Equities Monday, 27 April Limited ACN 003 Purchase 520.26 87 Ordinary shares 87 2015 485 952

CBA Equities Purchase 155.48 26 Ordinary shares 26 Monday, 27 April Limited ACN 003

53

2015 485 952

CBA Equities Monday, 27 April Limited ACN 003 Purchase 161.46 27 Ordinary shares 27 2015 485 952

CBA Equities Monday, 27 April Limited ACN 003 Purchase 5.98 1 Ordinary shares 1 2015 485 952

CBA Equities Monday, 27 April Limited ACN 003 Purchase 29.90 5 Ordinary shares 5 2015 485 952

CBA Equities Monday, 27 April Limited ACN 003 Purchase 29.90 5 Ordinary shares 5 2015 485 952

CBA Equities Monday, 27 April Limited ACN 003 Purchase 35.88 6 Ordinary shares 6 2015 485 952

CBA Equities Monday, 27 April Limited ACN 003 Purchase 35.88 6 Ordinary shares 6 2015 485 952

CBA Equities Monday, 27 April Limited ACN 003 Purchase 35.88 6 Ordinary shares 6 2015 485 952

CBA Equities Monday, 27 April Limited ACN 003 Purchase 59.80 10 Ordinary shares 10 2015 485 952

CBA Equities Monday, 27 April Limited ACN 003 Purchase 239.20 40 Ordinary shares 40 2015 485 952

CBA Equities Monday, 27 April Limited ACN 003 Purchase 131.56 22 Ordinary shares 22 2015 485 952

CBA Equities Monday, 27 April 3,335 Ordinary Limited ACN 003 Purchase 20,010.00 3,335 2015 shares 485 952

CBA Equities Tuesday, 28 April 2,776 Ordinary Limited ACN 003 Purchase 16,656.00 2,776 2015 shares 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Purchase 3,342.00 557 Ordinary shares 557 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Purchase 1,980.00 330 Ordinary shares 330 2015 485 952

CBA Equities Friday, 1 May 2015 Limited ACN 003 Sale 1,976.70 330 Ordinary shares 330 485 952

54

CBA Equities Tuesday, 28 April Limited ACN 003 Purchase 1,976.70 330 Ordinary shares 330 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Purchase 2,404.00 400 Ordinary shares 400 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Purchase 2,764.60 460 Ordinary shares 460 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Purchase 30.00 5 Ordinary shares 5 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Purchase 636.00 106 Ordinary shares 106 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Purchase 2,220.00 370 Ordinary shares 370 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Purchase 2,604.00 434 Ordinary shares 434 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Purchase 1,860.00 310 Ordinary shares 310 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Purchase 2,994.00 499 Ordinary shares 499 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Purchase 1,176.00 196 Ordinary shares 196 2015 485 952

CBA Equities Tuesday, 28 April Limited ACN 003 Purchase 498.00 83 Ordinary shares 83 2015 485 952

CBA Equities Monday, 4 May Limited ACN 003 Sale 396.66 66 Ordinary shares 66 2015 485 952

CBA Equities Monday, 4 May Limited ACN 003 Sale 1,346.24 224 Ordinary shares 224 2015 485 952

CBA Equities Monday, 4 May Limited ACN 003 Sale 90.15 15 Ordinary shares 15 2015 485 952

CBA Equities Monday, 4 May Limited ACN 003 Sale 5,814.78 974 Ordinary shares 974 2015 485 952

CBA Equities Sale 4,376.01 733 Ordinary shares 733 Monday, 4 May Limited ACN 003

55

2015 485 952

CBA Equities Tuesday, 19 May 2,699 Ordinary Limited ACN 003 Sale 16,490.89 2,699 2015 shares 485 952

CBA Equities Tuesday, 19 May Limited ACN 003 Sale 3,409.38 558 Ordinary shares 558 2015 485 952

CBA Equities Tuesday, 19 May Limited ACN 003 Sale 1,969.50 325 Ordinary shares 325 2015 485 952

CBA Equities Tuesday, 19 May Limited ACN 003 Sale 2,969.40 490 Ordinary shares 490 2015 485 952

CBA Equities Tuesday, 19 May Limited ACN 003 Sale 6.05 1 Ordinary shares 1 2015 485 952

CBA Equities Tuesday, 19 May Limited ACN 003 Sale 2,299.00 380 Ordinary shares 380 2015 485 952

CBA Equities Tuesday, 19 May Limited ACN 003 Sale 2,409.96 399 Ordinary shares 399 2015 485 952

CBA Equities Tuesday, 19 May Limited ACN 003 Sale 2,363.40 390 Ordinary shares 390 2015 485 952

CBA Equities Tuesday, 19 May Limited ACN 003 Sale 1,979.25 325 Ordinary shares 325 2015 485 952

CBA Equities Thursday, 14 May Limited ACN 003 Purchase 1,969.50 325 Ordinary shares 325 2015 485 952

CBA Equities Thursday, 14 May Limited ACN 003 Purchase 3,161.60 520 Ordinary shares 520 2015 485 952

CBA Equities Thursday, 14 May Limited ACN 003 Purchase 3,333.00 550 Ordinary shares 550 2015 485 952

CBA Equities Thursday, 14 May Limited ACN 003 Purchase 3,327.50 550 Ordinary shares 550 2015 485 952

CBA Equities Thursday, 14 May Limited ACN 003 Purchase 1,537.65 255 Ordinary shares 255 2015 485 952

CBA Equities Thursday, 14 May Limited ACN 003 Purchase 301.50 50 Ordinary shares 50 2015 485 952

56

CBA Equities Thursday, 14 May Limited ACN 003 Purchase 6.06 1 Ordinary shares 1 2015 485 952

CBA Equities Thursday, 14 May Limited ACN 003 Purchase 551.46 91 Ordinary shares 91 2015 485 952

CBA Equities Thursday, 14 May Limited ACN 003 Purchase 1,957.38 323 Ordinary shares 323 2015 485 952

CBA Equities Thursday, 14 May 1,784 Ordinary Limited ACN 003 Purchase 10,811.04 1,784 2015 shares 485 952

CBA Equities Thursday, 14 May 10,320 Ordinary Limited ACN 003 Purchase 62,539.20 10,320 2015 shares 485 952

CBA Equities Tuesday, 19 May 6,860 Ordinary Limited ACN 003 Sale 42,120.40 6,860 2015 shares 485 952

CBA Equities Friday, 15 May 2015 Limited ACN 003 Purchase 1,205.64 197 Ordinary shares 197 485 952

CBA Equities Friday, 15 May 2015 Limited ACN 003 Purchase 4,124.88 674 Ordinary shares 674 485 952

CBA Equities Friday, 15 May 2015 Limited ACN 003 Purchase 3,053.88 499 Ordinary shares 499 485 952

CBA Equities Friday, 15 May 2015 Limited ACN 003 Purchase 6.12 1 Ordinary shares 1 485 952

CBA Equities Friday, 15 May 2015 Limited ACN 003 Purchase 42.77 7 Ordinary shares 7 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 2,011.75 325 Ordinary shares 325 2015 485 952

CBA Equities Friday, 15 May 2015 Limited ACN 003 Purchase 1,971.20 320 Ordinary shares 320 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 1,995.50 325 Ordinary shares 325 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 1,969.50 325 Ordinary shares 325 2015 485 952

CBA Equities Sale 2,003.10 330 Ordinary shares 330 Wednesday, 20 May Limited ACN 003

57

2015 485 952

CBA Equities Friday, 15 May 2015 Limited ACN 003 Purchase 1,956.50 325 Ordinary shares 325 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 2,832.00 472 Ordinary shares 472 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 138.23 23 Ordinary shares 23 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 1,986.60 330 Ordinary shares 330 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 1,973.40 330 Ordinary shares 330 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 1,966.80 330 Ordinary shares 330 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 1,970.10 330 Ordinary shares 330 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 1,767.05 295 Ordinary shares 295 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 1,617.00 275 Ordinary shares 275 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 2,002.60 340 Ordinary shares 340 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 1,976.50 335 Ordinary shares 335 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 1,979.85 335 Ordinary shares 335 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 3,067.29 519 Ordinary shares 519 2015 485 952

CBA Equities Wednesday, 20 May 1,967 Ordinary Limited ACN 003 Sale 11,624.97 1,967 2015 shares 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 1,300.20 220 Ordinary shares 220 2015 485 952

58

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 3,498.72 592 Ordinary shares 592 2015 485 952

CBA Equities Wednesday, 20 May 4,078 Ordinary Limited ACN 003 Sale 24,100.98 4,078 2015 shares 485 952

CBA Equities Wednesday, 20 May 1,339 Ordinary Limited ACN 003 Sale 7,913.49 1,339 2015 shares 485 952

CBA Equities Wednesday, 20 May 7,845 Ordinary Limited ACN 003 Sale 46,363.95 7,845 2015 shares 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 1,483.41 251 Ordinary shares 251 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 2,192.61 371 Ordinary shares 371 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Sale 5,827.26 986 Ordinary shares 986 2015 485 952

CBA Equities Friday, 15 May 2015 Limited ACN 003 Purchase 5,827.26 986 Ordinary shares 986 485 952

CBA Equities Thursday, 21 May Limited ACN 003 Sale 265.50 45 Ordinary shares 45 2015 485 952

CBA Equities Thursday, 21 May Limited ACN 003 Sale 4,124.10 699 Ordinary shares 699 2015 485 952

CBA Equities Monday, 18 May Limited ACN 003 Purchase 3,813.52 653 Ordinary shares 653 2015 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Sale 460.57 79 Ordinary shares 79 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Sale 460.57 79 Ordinary shares 79 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Sale 227.37 39 Ordinary shares 39 485 952

CBA Equities Tuesday, 19 May 2,340 Ordinary Limited ACN 003 Purchase 13,642.20 2,340 2015 shares 485 952

CBA Equities Purchase 3,136.54 538 Ordinary shares 538 Tuesday, 19 May Limited ACN 003

59

2015 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Sale 1,872.00 320 Ordinary shares 320 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Sale 398.48 68 Ordinary shares 68 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Sale 1,591.20 272 Ordinary shares 272 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Sale 1,992.40 340 Ordinary shares 340 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Sale 1,995.80 340 Ordinary shares 340 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Sale 2,006.00 340 Ordinary shares 340 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Sale 1,956.40 335 Ordinary shares 335 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Sale 1,978.80 340 Ordinary shares 340 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Sale 2,869.26 493 Ordinary shares 493 485 952

CBA Equities Tuesday, 19 May Limited ACN 003 Purchase 791.52 136 Ordinary shares 136 2015 485 952

CBA Equities Tuesday, 19 May Limited ACN 003 Purchase 1,006.86 173 Ordinary shares 173 2015 485 952

CBA Equities Tuesday, 19 May Limited ACN 003 Purchase 5,296.20 910 Ordinary shares 910 2015 485 952

CBA Equities Tuesday, 19 May Limited ACN 003 Purchase 599.46 103 Ordinary shares 103 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Purchase 1,142.68 196 Ordinary shares 196 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Purchase 542.19 93 Ordinary shares 93 2015 485 952

60

CBA Equities Wednesday, 20 May Limited ACN 003 Purchase 227.37 39 Ordinary shares 39 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Purchase 279.84 48 Ordinary shares 48 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Purchase 1,434.18 246 Ordinary shares 246 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Purchase 192.39 33 Ordinary shares 33 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Purchase 58.30 10 Ordinary shares 10 2015 485 952

CBA Equities Wednesday, 20 May Limited ACN 003 Purchase 2,157.10 370 Ordinary shares 370 2015 485 952

CBA Equities Monday, 25 May Limited ACN 003 Sale 1,978.80 340 Ordinary shares 340 2015 485 952

CBA Equities Monday, 25 May Limited ACN 003 Sale 2,415.30 415 Ordinary shares 415 2015 485 952

CBA Equities Monday, 25 May Limited ACN 003 Sale 1,985.60 340 Ordinary shares 340 2015 485 952

CBA Equities Monday, 25 May Limited ACN 003 Sale 1,995.80 340 Ordinary shares 340 2015 485 952

CBA Equities Monday, 25 May Limited ACN 003 Sale 35.10 6 Ordinary shares 6 2015 485 952

CBA Equities Monday, 25 May Limited ACN 003 Sale 1,246.05 213 Ordinary shares 213 2015 485 952

CBA Equities Monday, 25 May Limited ACN 003 Sale 140.40 24 Ordinary shares 24 2015 485 952

CBA Equities Monday, 25 May Limited ACN 003 Sale 567.45 97 Ordinary shares 97 2015 485 952

CBA Equities Monday, 25 May Limited ACN 003 Sale 1,989.00 340 Ordinary shares 340 2015 485 952

CBA Equities Sale 8,388.90 1,434 Monday, 25 May 1,434 Ordinary Limited ACN 003

61

2015 485 952 shares

CBA Equities Monday, 25 May 1,829 Ordinary Limited ACN 003 Sale 10,699.65 1,829 2015 shares 485 952

CBA Equities Monday, 25 May 3,490 Ordinary Limited ACN 003 Sale 20,311.80 3,490 2015 shares 485 952

CBA Equities Tuesday, 26 May 1,960 Ordinary Limited ACN 003 Sale 11,524.80 1,960 2015 shares 485 952

CBA Equities Tuesday, 26 May 1,960 Ordinary Limited ACN 003 Sale 11,524.80 1,960 2015 shares 485 952

CBA Equities Tuesday, 26 May Limited ACN 003 Sale 35.28 6 Ordinary shares 6 2015 485 952

CBA Equities Tuesday, 26 May Limited ACN 003 Sale 41.16 7 Ordinary shares 7 2015 485 952

CBA Equities Tuesday, 26 May 1,000 Ordinary Limited ACN 003 Sale 5,880.00 1,000 2015 shares 485 952

CBA Equities Tuesday, 26 May 2,412 Ordinary Limited ACN 003 Sale 14,182.56 2,412 2015 shares 485 952

CBA Equities Tuesday, 26 May Limited ACN 003 Sale 2,002.60 340 Ordinary shares 340 2015 485 952

CBA Equities Thursday, 21 May Limited ACN 003 Purchase 1,963.10 335 Ordinary shares 335 2015 485 952

CBA Equities Thursday, 21 May Limited ACN 003 Purchase 434.38 74 Ordinary shares 74 2015 485 952

CBA Equities Thursday, 21 May 1,279 Ordinary Limited ACN 003 Purchase 7,507.73 1,279 2015 shares 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Purchase 241.49 41 Ordinary shares 41 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Purchase 217.93 37 Ordinary shares 37 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Purchase 695.02 118 Ordinary shares 118 485 952

62

CBA Equities Wednesday, 27 May Limited ACN 003 Sale 47.12 8 Ordinary shares 8 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Sale 100.13 17 Ordinary shares 17 2015 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Purchase 1,992.40 340 Ordinary shares 340 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Purchase 1,992.40 340 Ordinary shares 340 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Purchase 82.60 14 Ordinary shares 14 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Purchase 1,510.40 256 Ordinary shares 256 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Purchase 3,964.80 672 Ordinary shares 672 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Purchase 1,156.40 196 Ordinary shares 196 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Purchase 1,156.40 196 Ordinary shares 196 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Purchase 29.50 5 Ordinary shares 5 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Purchase 29.50 5 Ordinary shares 5 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Purchase 283.20 48 Ordinary shares 48 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Purchase 3,510.50 595 Ordinary shares 595 485 952

CBA Equities 6,933 Ordinary Friday, 22 May 2015 Limited ACN 003 Purchase 40,904.70 6,933 shares 485 952

CBA Equities Friday, 22 May 2015 Limited ACN 003 Purchase 2,896.90 491 Ordinary shares 491 485 952

CBA Equities Purchase 16,537.70 2,803 Tuesday, 26 May 2,803 Ordinary Limited ACN 003

63

2015 485 952 shares

CBA Equities Tuesday, 26 May Limited ACN 003 Purchase 3,457.40 586 Ordinary shares 586 2015 485 952

CBA Equities Tuesday, 26 May Limited ACN 003 Purchase 5.90 1 Ordinary shares 1 2015 485 952

CBA Equities Tuesday, 26 May Limited ACN 003 Purchase 1,966.45 335 Ordinary shares 335 2015 485 952

CBA Equities Tuesday, 26 May Limited ACN 003 Purchase 3,017.90 515 Ordinary shares 515 2015 485 952

CBA Equities Tuesday, 26 May Limited ACN 003 Purchase 1,995.80 340 Ordinary shares 340 2015 485 952

CBA Equities Tuesday, 26 May Limited ACN 003 Purchase 1,992.40 340 Ordinary shares 340 2015 485 952

CBA Equities Tuesday, 26 May Limited ACN 003 Purchase 1,995.80 340 Ordinary shares 340 2015 485 952

CBA Equities Tuesday, 26 May Limited ACN 003 Purchase 11.74 2 Ordinary shares 2 2015 485 952

CBA Equities Tuesday, 26 May Limited ACN 003 Purchase 1,843.18 314 Ordinary shares 314 2015 485 952

CBA Equities Tuesday, 26 May Limited ACN 003 Purchase 76.31 13 Ordinary shares 13 2015 485 952

CBA Equities Tuesday, 26 May Limited ACN 003 Purchase 950.94 162 Ordinary shares 162 2015 485 952

CBA Equities 2,040 Ordinary Friday, 29 May 2015 Limited ACN 003 Sale 11,974.80 2,040 shares 485 952

CBA Equities Friday, 29 May 2015 Limited ACN 003 Sale 5,846.52 996 Ordinary shares 996 485 952

CBA Equities Friday, 29 May 2015 Limited ACN 003 Sale 1,761.00 300 Ordinary shares 300 485 952

CBA Equities Friday, 29 May 2015 Limited ACN 003 Sale 5,693.90 970 Ordinary shares 970 485 952

64

CBA Equities 1,141 Ordinary Friday, 29 May 2015 Limited ACN 003 Sale 6,697.67 1,141 shares 485 952

CBA Equities Friday, 29 May 2015 Limited ACN 003 Sale 5.87 1 Ordinary shares 1 485 952

CBA Equities Friday, 29 May 2015 Limited ACN 003 Sale 1,755.13 299 Ordinary shares 299 485 952

CBA Equities Friday, 29 May 2015 Limited ACN 003 Sale 4,367.28 744 Ordinary shares 744 485 952

CBA Equities Friday, 29 May 2015 Limited ACN 003 Sale 3,146.32 536 Ordinary shares 536 485 952

CBA Equities Friday, 29 May 2015 Limited ACN 003 Sale 17.61 3 Ordinary shares 3 485 952

CBA Equities Friday, 29 May 2015 Limited ACN 003 Sale 3,968.12 676 Ordinary shares 676 485 952

CBA Equities Monday, 1 June Limited ACN 003 Sale 1,341.94 229 Ordinary shares 229 2015 485 952

CBA Equities Monday, 1 June Limited ACN 003 Sale 17.58 3 Ordinary shares 3 2015 485 952

CBA Equities Monday, 1 June Limited ACN 003 Sale 87.90 15 Ordinary shares 15 2015 485 952

CBA Equities Monday, 1 June 2,500 Ordinary Limited ACN 003 Sale 14,650.00 2,500 2015 shares 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 1,992.40 340 Ordinary shares 340 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 176.10 30 Ordinary shares 30 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 1,109.43 189 Ordinary shares 189 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 2,706.07 461 Ordinary shares 461 2015 485 952

CBA Equities Purchase 1,995.80 340 Ordinary shares 340 Wednesday, 27 May Limited ACN 003

65

2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 3,984.80 680 Ordinary shares 680 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 471.20 80 Ordinary shares 80 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 2,420.79 411 Ordinary shares 411 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 3,916.85 665 Ordinary shares 665 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 2,373.67 403 Ordinary shares 403 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 129.58 22 Ordinary shares 22 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 35.34 6 Ordinary shares 6 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 1,743.44 296 Ordinary shares 296 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 23.56 4 Ordinary shares 4 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 5,778.09 981 Ordinary shares 981 2015 485 952

CBA Equities Wednesday, 27 May 3,574 Ordinary Limited ACN 003 Purchase 21,050.86 3,574 2015 shares 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 3,080.47 523 Ordinary shares 523 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 889.39 151 Ordinary shares 151 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 577.22 98 Ordinary shares 98 2015 485 952

CBA Equities Wednesday, 27 May 1,009 Ordinary Limited ACN 003 Purchase 5,943.01 1,009 2015 shares 485 952

66

CBA Equities Wednesday, 27 May 1,000 Ordinary Limited ACN 003 Purchase 5,890.00 1,000 2015 shares 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 2,273.54 386 Ordinary shares 386 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 3,051.02 518 Ordinary shares 518 2015 485 952

CBA Equities Wednesday, 27 May Limited ACN 003 Purchase 1,967.26 334 Ordinary shares 334 2015 485 952

CBA Equities Thursday, 28 May Limited ACN 003 Purchase 1,154.44 196 Ordinary shares 196 2015 485 952

CBA Equities Thursday, 28 May Limited ACN 003 Purchase 23.56 4 Ordinary shares 4 2015 485 952

CBA Equities Thursday, 28 May Limited ACN 003 Purchase 854.05 145 Ordinary shares 145 2015 485 952

CBA Equities Thursday, 28 May Limited ACN 003 Purchase 600.78 102 Ordinary shares 102 2015 485 952

CBA Equities Thursday, 28 May 2,000 Ordinary Limited ACN 003 Purchase 11,780.00 2,000 2015 shares 485 952

CBA Equities Thursday, 28 May 1,074 Ordinary Limited ACN 003 Purchase 6,325.86 1,074 2015 shares 485 952

CBA Equities Thursday, 28 May Limited ACN 003 Purchase 418.19 71 Ordinary shares 71 2015 485 952

CBA Equities Tuesday, 2 June Limited ACN 003 Sale 1,302.98 227 Ordinary shares 227 2015 485 952

CBA Equities Tuesday, 2 June Limited ACN 003 Sale 619.92 108 Ordinary shares 108 2015 485 952

CBA Equities Tuesday, 2 June Limited ACN 003 Sale 1,980.30 345 Ordinary shares 345 2015 485 952

CBA Equities Tuesday, 2 June Limited ACN 003 Sale 1,994.10 345 Ordinary shares 345 2015 485 952

CBA Equities Sale 1,980.30 345 Ordinary shares 345 Tuesday, 2 June Limited ACN 003

67

2015 485 952

CBA Equities Tuesday, 2 June 2,889 Ordinary Limited ACN 003 Sale 16,582.86 2,889 2015 shares 485 952

CBA Equities Friday, 29 May 2015 Limited ACN 003 Purchase 563.50 98 Ordinary shares 98 485 952

CBA Equities Friday, 29 May 2015 Limited ACN 003 Purchase 563.50 98 Ordinary shares 98 485 952

CBA Equities Friday, 29 May 2015 Limited ACN 003 Purchase 4,847.25 843 Ordinary shares 843 485 952

CBA Equities Friday, 29 May 2015 Limited ACN 003 Purchase 2,007.90 345 Ordinary shares 345 485 952

CBA Equities Friday, 29 May 2015 Limited ACN 003 Purchase 1,975.40 340 Ordinary shares 340 485 952

CBA Equities Friday, 29 May 2015 Limited ACN 003 Purchase 1,978.80 340 Ordinary shares 340 485 952

CBA Equities Friday, 29 May 2015 Limited ACN 003 Purchase 1,968.60 340 Ordinary shares 340 485 952

CBA Equities Wednesday, 3 June 8,805 Ordinary Limited ACN 003 Sale 51,509.25 8,805 2015 shares 485 952

CBA Equities Thursday, 4 June Limited ACN 003 Sale 278.88 48 Ordinary shares 48 2015 485 952

CBA Equities Thursday, 4 June Limited ACN 003 Sale 546.14 94 Ordinary shares 94 2015 485 952

CBA Equities Thursday, 4 June Limited ACN 003 Sale 313.74 54 Ordinary shares 54 2015 485 952

CBA Equities Monday, 1 June Limited ACN 003 Purchase 220.78 38 Ordinary shares 38 2015 485 952

CBA Equities Monday, 1 June Limited ACN 003 Purchase 29.05 5 Ordinary shares 5 2015 485 952

CBA Equities Monday, 1 June Limited ACN 003 Purchase 854.07 147 Ordinary shares 147 2015 485 952

68

CBA Equities Monday, 1 June Limited ACN 003 Purchase 871.50 150 Ordinary shares 150 2015 485 952

CBA Equities Monday, 1 June Limited ACN 003 Purchase 836.64 144 Ordinary shares 144 2015 485 952

CBA Equities Monday, 1 June Limited ACN 003 Purchase 1,968.60 340 Ordinary shares 340 2015 485 952

CBA Equities Thursday, 4 June Limited ACN 003 Sale 1,990.65 345 Ordinary shares 345 2015 485 952

CBA Equities Thursday, 4 June Limited ACN 003 Sale 892.80 155 Ordinary shares 155 2015 485 952

CBA Equities Thursday, 4 June Limited ACN 003 Sale 1,094.40 190 Ordinary shares 190 2015 485 952

CBA Equities Thursday, 4 June Limited ACN 003 Sale 2,543.20 440 Ordinary shares 440 2015 485 952

CBA Equities Thursday, 4 June Limited ACN 003 Sale 1,990.65 345 Ordinary shares 345 2015 485 952

CBA Equities Monday, 1 June Limited ACN 003 Purchase 1,994.10 345 Ordinary shares 345 2015 485 952

CBA Equities Thursday, 4 June Limited ACN 003 Sale 1,296.96 224 Ordinary shares 224 2015 485 952

CBA Equities Monday, 1 June Limited ACN 003 Purchase 2,852.71 491 Ordinary shares 491 2015 485 952

CBA Equities Thursday, 4 June Limited ACN 003 Sale 3,863.65 665 Ordinary shares 665 2015 485 952

CBA Equities Thursday, 4 June Limited ACN 003 Sale 3,317.51 571 Ordinary shares 571 2015 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 4,917.90 845 Ordinary shares 845 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 570.36 98 Ordinary shares 98 485 952

Friday, 5 June 2015 CBA Equities Sale 570.36 98 Ordinary shares 98 Limited ACN 003

69

485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 116.40 20 Ordinary shares 20 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 337.56 58 Ordinary shares 58 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 261.90 45 Ordinary shares 45 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 285.18 49 Ordinary shares 49 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 314.28 54 Ordinary shares 54 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 360.84 62 Ordinary shares 62 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 256.08 44 Ordinary shares 44 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 1,999.20 340 Ordinary shares 340 485 952

CBA Equities Tuesday, 2 June Limited ACN 003 Purchase 1,995.80 340 Ordinary shares 340 2015 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 1,999.20 340 Ordinary shares 340 485 952

CBA Equities Tuesday, 2 June Limited ACN 003 Purchase 1,956.40 335 Ordinary shares 335 2015 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 1,968.60 340 Ordinary shares 340 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 2,070.00 360 Ordinary shares 360 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 2,386.25 415 Ordinary shares 415 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 1,983.75 345 Ordinary shares 345 485 952

70

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 463.20 80 Ordinary shares 80 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 1,204.32 208 Ordinary shares 208 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 57.90 10 Ordinary shares 10 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 162.12 28 Ordinary shares 28 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 40.53 7 Ordinary shares 7 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 40.53 7 Ordinary shares 7 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 28.95 5 Ordinary shares 5 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 3,335.00 580 Ordinary shares 580 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 4,003.20 695 Ordinary shares 695 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Sale 3,988.20 690 Ordinary shares 690 485 952

CBA Equities Tuesday, 2 June Limited ACN 003 Purchase 4,148.63 719 Ordinary shares 719 2015 485 952

CBA Equities Tuesday, 9 June Limited ACN 003 Sale 3,047.50 530 Ordinary shares 530 2015 485 952

CBA Equities Tuesday, 9 June Limited ACN 003 Sale 3,985.83 695 Ordinary shares 695 2015 485 952

CBA Equities Tuesday, 9 June Limited ACN 003 Sale 2,922.30 510 Ordinary shares 510 2015 485 952

CBA Equities Tuesday, 9 June Limited ACN 003 Sale 3,211.60 560 Ordinary shares 560 2015 485 952

CBA Equities Sale 2,984.80 520 Ordinary shares 520 Tuesday, 9 June Limited ACN 003

71

2015 485 952

CBA Equities Tuesday, 9 June Limited ACN 003 Sale 154.85 27 Ordinary shares 27 2015 485 952

CBA Equities Tuesday, 9 June Limited ACN 003 Sale 3,978.87 695 Ordinary shares 695 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 120.65 21 Ordinary shares 21 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 534.28 93 Ordinary shares 93 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 40.22 7 Ordinary shares 7 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 74.69 13 Ordinary shares 13 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 86.17 15 Ordinary shares 15 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 137.88 24 Ordinary shares 24 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 459.60 80 Ordinary shares 80 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 459.60 80 Ordinary shares 80 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 229.80 40 Ordinary shares 40 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 3,960.60 690 Ordinary shares 690 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 2,872.50 500 Ordinary shares 500 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 2,872.50 500 Ordinary shares 500 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 281.51 49 Ordinary shares 49 2015 485 952

72

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 430.88 75 Ordinary shares 75 2015 485 952

CBA Equities Wednesday, 3 June 1,234 Ordinary Limited ACN 003 Purchase 7,126.35 1,234 2015 shares 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 202.13 35 Ordinary shares 35 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 427.35 74 Ordinary shares 74 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 386.93 67 Ordinary shares 67 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 196.35 34 Ordinary shares 34 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 300.30 52 Ordinary shares 52 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 4,616.00 800 Ordinary shares 800 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 847.45 147 Ordinary shares 147 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 1,389.37 241 Ordinary shares 241 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 962.76 167 Ordinary shares 167 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 1,268.30 220 Ordinary shares 220 2015 485 952

CBA Equities Wednesday, 3 June 3,150 Ordinary Limited ACN 003 Purchase 18,175.50 3,150 2015 shares 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 588.54 102 Ordinary shares 102 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 1,875.25 325 Ordinary shares 325 2015 485 952

CBA Equities Purchase 2,596.50 450 Ordinary shares 450 Wednesday, 3 June Limited ACN 003

73

2015 485 952

CBA Equities Wednesday, 3 June 1,490 Ordinary Limited ACN 003 Purchase 8,597.30 1,490 2015 shares 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 1,448.27 251 Ordinary shares 251 2015 485 952

CBA Equities Wednesday, 3 June Limited ACN 003 Purchase 392.36 68 Ordinary shares 68 2015 485 952

CBA Equities Tuesday, 9 June 3,477 Ordinary Limited ACN 003 Sale 20,062.29 3,477 2015 shares 485 952

CBA Equities Tuesday, 9 June 3,477 Ordinary Limited ACN 003 Sale 20,062.29 3,477 2015 shares 485 952

CBA Equities Thursday, 4 June Limited ACN 003 Purchase 46.24 8 Ordinary shares 8 2015 485 952

CBA Equities Thursday, 4 June Limited ACN 003 Purchase 11.56 2 Ordinary shares 2 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 1,994.10 345 Ordinary shares 345 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 1,994.10 345 Ordinary shares 345 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 2,001.00 345 Ordinary shares 345 June 2015 485 952

CBA Equities Thursday, 4 June Limited ACN 003 Purchase 3,132.00 540 Ordinary shares 540 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 1,961.80 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 3,991.65 690 Ordinary shares 690 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 1,994.10 345 Ordinary shares 345 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 1,791.80 310 Ordinary shares 310 June 2015 485 952

74

CBA Equities Wednesday, 10 Limited ACN 003 Sale 203.00 35 Ordinary shares 35 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 1,972.00 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 1,972.00 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 1,968.60 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 2,001.00 345 Ordinary shares 345 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 1,997.55 345 Ordinary shares 345 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 1,997.55 345 Ordinary shares 345 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 1,988.93 345 Ordinary shares 345 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 1,990.65 345 Ordinary shares 345 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 2,861.10 495 Ordinary shares 495 June 2015 485 952

CBA Equities Wednesday, 10 2,120 Ordinary Limited ACN 003 Sale 12,264.20 2,120 June 2015 shares 485 952

CBA Equities Wednesday, 10 1,060 Ordinary Limited ACN 003 Sale 6,132.10 1,060 June 2015 shares 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 3,991.65 690 Ordinary shares 690 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 2,895.00 500 Ordinary shares 500 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Sale 1,994.10 345 Ordinary shares 345 June 2015 485 952

CBA Equities Sale 2,842.00 490 Ordinary shares 490 Wednesday, 10 Limited ACN 003

75

June 2015 485 952

CBA Equities Wednesday, 10 7,078 Ordinary Limited ACN 003 Sale 41,052.40 7,078 June 2015 shares 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 955.24 167 Ordinary shares 167 485 952

CBA Equities 3,281 Ordinary Friday, 5 June 2015 Limited ACN 003 Purchase 18,767.32 3,281 shares 485 952

CBA Equities Thursday, 11 June Limited ACN 003 Sale 3,171.82 555 Ordinary shares 555 2015 485 952

CBA Equities Thursday, 11 June Limited ACN 003 Sale 1,931.20 340 Ordinary shares 340 2015 485 952

CBA Equities Thursday, 11 June Limited ACN 003 Sale 1,966.50 345 Ordinary shares 345 2015 485 952

CBA Equities Thursday, 11 June Limited ACN 003 Sale 23.04 4 Ordinary shares 4 2015 485 952

CBA Equities Thursday, 11 June Limited ACN 003 Sale 466.56 81 Ordinary shares 81 2015 485 952

CBA Equities Thursday, 11 June Limited ACN 003 Sale 40.32 7 Ordinary shares 7 2015 485 952

CBA Equities Thursday, 11 June Limited ACN 003 Sale 17.27 3 Ordinary shares 3 2015 485 952

CBA Equities Thursday, 11 June Limited ACN 003 Sale 466.56 81 Ordinary shares 81 2015 485 952

CBA Equities Thursday, 11 June Limited ACN 003 Sale 553.87 97 Ordinary shares 97 2015 485 952

CBA Equities Thursday, 11 June Limited ACN 003 Sale 2,120.10 370 Ordinary shares 370 2015 485 952

CBA Equities Thursday, 11 June Limited ACN 003 Sale 2,365.50 415 Ordinary shares 415 2015 485 952

CBA Equities Thursday, 11 June Limited ACN 003 Sale 2,565.00 450 Ordinary shares 450 2015 485 952

76

CBA Equities Thursday, 11 June Limited ACN 003 Sale 1,998.50 350 Ordinary shares 350 2015 485 952

CBA Equities Thursday, 11 June Limited ACN 003 Sale 1,991.50 350 Ordinary shares 350 2015 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 392.96 69 Ordinary shares 69 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 290.44 51 Ordinary shares 51 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 296.14 52 Ordinary shares 52 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 996.63 175 Ordinary shares 175 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 5,233.70 919 Ordinary shares 919 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 91.28 16 Ordinary shares 16 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 68.46 12 Ordinary shares 12 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 68.46 12 Ordinary shares 12 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 1,995.00 350 Ordinary shares 350 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 661.78 116 Ordinary shares 116 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 302.37 53 Ordinary shares 53 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 479.64 84 Ordinary shares 84 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 4,876.34 854 Ordinary shares 854 485 952

Friday, 5 June 2015 CBA Equities Purchase 2,626.60 460 Ordinary shares 460 Limited ACN 003

77

485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 205.56 36 Ordinary shares 36 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 1,553.12 272 Ordinary shares 272 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 1,947.11 341 Ordinary shares 341 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 1,347.56 236 Ordinary shares 236 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 473.93 83 Ordinary shares 83 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 2,278.29 399 Ordinary shares 399 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 1,895.72 332 Ordinary shares 332 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 3,009.17 527 Ordinary shares 527 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 114.20 20 Ordinary shares 20 485 952

CBA Equities Friday, 5 June 2015 Limited ACN 003 Purchase 268.37 47 Ordinary shares 47 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 557.62 98 Ordinary shares 98 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 335.71 59 Ordinary shares 59 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 5.69 1 Ordinary shares 1 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 216.22 38 Ordinary shares 38 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 1,981.00 350 Ordinary shares 350 2015 485 952

78

CBA Equities Friday, 12 June Limited ACN 003 Sale 1,981.00 350 Ordinary shares 350 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 2,943.20 520 Ordinary shares 520 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 1,981.00 350 Ordinary shares 350 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 1,981.00 350 Ordinary shares 350 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 1,977.50 350 Ordinary shares 350 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 1,017.00 180 Ordinary shares 180 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 1,970.50 350 Ordinary shares 350 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 2,005.75 355 Ordinary shares 355 2015 485 952

CBA Equities Friday, 12 June 1,840 Ordinary Limited ACN 003 Sale 10,405.20 1,840 2015 shares 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 5,202.60 920 Ordinary shares 920 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 3,986.78 705 Ordinary shares 705 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 3,169.60 560 Ordinary shares 560 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 1,988.00 350 Ordinary shares 350 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 17.01 3 Ordinary shares 3 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 39.69 7 Ordinary shares 7 2015 485 952

CBA Equities Sale 442.26 78 Ordinary shares 78 Friday, 12 June Limited ACN 003

79

2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 1,598.94 282 Ordinary shares 282 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 34.02 6 Ordinary shares 6 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Sale 646.38 114 Ordinary shares 114 2015 485 952

CBA Equities Friday, 12 June 5,528 Ordinary Limited ACN 003 Sale 31,343.76 5,528 2015 shares 485 952

CBA Equities Friday, 12 June 7,129 Ordinary Limited ACN 003 Sale 40,706.59 7,129 2015 shares 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Purchase 3,553.85 629 Ordinary shares 629 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Purchase 553.70 98 Ordinary shares 98 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Purchase 440.70 78 Ordinary shares 78 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Purchase 898.35 159 Ordinary shares 159 June 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Purchase 587.60 104 Ordinary shares 104 June 2015 485 952

CBA Equities Wednesday, 10 1,962 Ordinary Limited ACN 003 Purchase 11,085.30 1,962 June 2015 shares 485 952

CBA Equities Monday, 15 June Limited ACN 003 Sale 1,981.00 350 Ordinary shares 350 2015 485 952

CBA Equities Wednesday, 10 Limited ACN 003 Purchase 1,953.00 350 Ordinary shares 350 June 2015 485 952

CBA Equities Monday, 15 June Limited ACN 003 Sale 28.05 5 Ordinary shares 5 2015 485 952

CBA Equities Monday, 15 June Limited ACN 003 Sale 336.60 60 Ordinary shares 60 2015 485 952

80

CBA Equities Monday, 15 June Limited ACN 003 Sale 100.98 18 Ordinary shares 18 2015 485 952

CBA Equities Monday, 15 June Limited ACN 003 Sale 1,525.92 272 Ordinary shares 272 2015 485 952

CBA Equities Monday, 15 June Limited ACN 003 Sale 1,300.53 231 Ordinary shares 231 2015 485 952

CBA Equities Monday, 15 June Limited ACN 003 Sale 388.47 69 Ordinary shares 69 2015 485 952

CBA Equities Monday, 15 June Limited ACN 003 Sale 1,748.40 310 Ordinary shares 310 2015 485 952

CBA Equities Monday, 15 June Limited ACN 003 Sale 794.53 141 Ordinary shares 141 2015 485 952

CBA Equities Monday, 15 June Limited ACN 003 Sale 62.15 11 Ordinary shares 11 2015 485 952

CBA Equities Monday, 15 June Limited ACN 003 Sale 1,717.60 304 Ordinary shares 304 2015 485 952

CBA Equities Monday, 15 June Limited ACN 003 Sale 1,836.25 325 Ordinary shares 325 2015 485 952

CBA Equities Monday, 15 June Limited ACN 003 Sale 1,458.60 260 Ordinary shares 260 2015 485 952

CBA Equities Monday, 15 June Limited ACN 003 Sale 1,717.15 305 Ordinary shares 305 2015 485 952

CBA Equities Monday, 15 June Limited ACN 003 Sale 2,023.50 355 Ordinary shares 355 2015 485 952

CBA Equities Monday, 15 June Limited ACN 003 Sale 1,988.00 350 Ordinary shares 350 2015 485 952

CBA Equities Monday, 15 June 4,982 Ordinary Limited ACN 003 Sale 28,397.40 4,982 2015 shares 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 2,012.50 350 Ordinary shares 350 2015 485 952

CBA Equities Sale 1,995.83 345 Ordinary shares 345 Tuesday, 16 June Limited ACN 003

81

2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 1,858.59 321 Ordinary shares 321 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 138.96 24 Ordinary shares 24 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 3,395.90 580 Ordinary shares 580 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 3,057.60 520 Ordinary shares 520 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 214.02 36 Ordinary shares 36 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 89.18 15 Ordinary shares 15 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 65.40 11 Ordinary shares 11 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 243.75 41 Ordinary shares 41 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 208.08 35 Ordinary shares 35 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 65.40 11 Ordinary shares 11 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 35.67 6 Ordinary shares 6 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 17.84 3 Ordinary shares 3 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 267.53 45 Ordinary shares 45 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 23.78 4 Ordinary shares 4 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 23.78 4 Ordinary shares 4 2015 485 952

82

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 11.89 2 Ordinary shares 2 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 11.89 2 Ordinary shares 2 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 77.28 13 Ordinary shares 13 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 2,796.50 470 Ordinary shares 470 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Sale 3,189.20 536 Ordinary shares 536 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Purchase 3,498.70 593 Ordinary shares 593 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 1,128.60 190 Ordinary shares 190 June 2015 485 952

CBA Equities Friday, 12 June Limited ACN 003 Purchase 1,069.71 181 Ordinary shares 181 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 2,999.70 505 Ordinary shares 505 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 3,989.25 675 Ordinary shares 675 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 596.40 101 Ordinary shares 101 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 631.84 107 Ordinary shares 107 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 684.98 116 Ordinary shares 116 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 1,198.72 203 Ordinary shares 203 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 53.15 9 Ordinary shares 9 June 2015 485 952

CBA Equities Sale 2,979.50 505 Ordinary shares 505 Wednesday, 17 Limited ACN 003

83

June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 41.20 7 Ordinary shares 7 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 23.54 4 Ordinary shares 4 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 712.08 121 Ordinary shares 121 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 41.20 7 Ordinary shares 7 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 788.59 134 Ordinary shares 134 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 776.82 132 Ordinary shares 132 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 512.00 87 Ordinary shares 87 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 812.13 138 Ordinary shares 138 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 11.77 2 Ordinary shares 2 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 41.20 7 Ordinary shares 7 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 676.77 115 Ordinary shares 115 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 200.09 34 Ordinary shares 34 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 253.05 43 Ordinary shares 43 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 629.69 107 Ordinary shares 107 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 1,973.15 335 Ordinary shares 335 June 2015 485 952

84

CBA Equities Wednesday, 17 Limited ACN 003 Sale 1,382.94 234 Ordinary shares 234 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Sale 330.96 56 Ordinary shares 56 June 2015 485 952

CBA Equities Wednesday, 17 1,234 Ordinary Limited ACN 003 Sale 7,292.94 1,234 June 2015 shares 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Purchase 1,976.00 325 Ordinary shares 325 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 1,980.00 330 Ordinary shares 330 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 515.95 85 Ordinary shares 85 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 1,504.30 245 Ordinary shares 245 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Purchase 1,995.50 325 Ordinary shares 325 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 2,002.00 325 Ordinary shares 325 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Purchase 1,961.60 320 Ordinary shares 320 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 183.60 30 Ordinary shares 30 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 1,787.04 292 Ordinary shares 292 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Purchase 1,982.50 325 Ordinary shares 325 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Purchase 1,982.50 325 Ordinary shares 325 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 1,950.00 325 Ordinary shares 325 2015 485 952

CBA Equities Sale 1,963.50 330 Ordinary shares 330 Friday, 19 June Limited ACN 003

85

2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 3,061.68 515 Ordinary shares 515 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 5.96 1 Ordinary shares 1 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 196.52 33 Ordinary shares 33 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 3,069.40 515 Ordinary shares 515 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 1,538.97 258 Ordinary shares 258 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 1,999.95 335 Ordinary shares 335 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 1,014.90 170 Ordinary shares 170 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 2,003.30 335 Ordinary shares 335 2015 485 952

CBA Equities Tuesday, 16 June Limited ACN 003 Purchase 1,999.95 335 Ordinary shares 335 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 378.00 63 Ordinary shares 63 2015 485 952

CBA Equities Friday, 19 June 1,260 Ordinary Limited ACN 003 Sale 7,560.00 1,260 2015 shares 485 952

CBA Equities Friday, 19 June Limited ACN 003 Sale 906.00 151 Ordinary shares 151 2015 485 952

CBA Equities Friday, 19 June 1,403 Ordinary Limited ACN 003 Sale 8,418.00 1,403 2015 shares 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 646.92 108 Ordinary shares 108 June 2015 485 952

CBA Equities Wednesday, 17 1,260 Ordinary Limited ACN 003 Purchase 7,547.40 1,260 June 2015 shares 485 952

86

CBA Equities Wednesday, 17 1,965 Ordinary Limited ACN 003 Purchase 11,770.35 1,965 June 2015 shares 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,963.50 330 Ordinary shares 330 June 2015 485 952

CBA Equities Monday, 22 June Limited ACN 003 Sale 488.04 83 Ordinary shares 83 2015 485 952

CBA Equities Monday, 22 June Limited ACN 003 Sale 892.43 154 Ordinary shares 154 2015 485 952

CBA Equities Monday, 22 June Limited ACN 003 Sale 884.86 151 Ordinary shares 151 2015 485 952

CBA Equities Monday, 22 June Limited ACN 003 Sale 591.86 101 Ordinary shares 101 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,140.75 195 Ordinary shares 195 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 104.85 18 Ordinary shares 18 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 768.90 132 Ordinary shares 132 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 518.43 89 Ordinary shares 89 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 361.15 62 Ordinary shares 62 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 518.43 89 Ordinary shares 89 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 518.43 89 Ordinary shares 89 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 518.43 89 Ordinary shares 89 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 606.84 104 Ordinary shares 104 June 2015 485 952

CBA Equities Purchase 735.21 126 Ordinary shares 126 Wednesday, 17 Limited ACN 003

87

June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 735.21 126 Ordinary shares 126 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 735.21 126 Ordinary shares 126 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 262.57 45 Ordinary shares 45 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 2,527.35 435 Ordinary shares 435 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,957.97 337 Ordinary shares 337 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 17.43 3 Ordinary shares 3 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 470.61 81 Ordinary shares 81 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,504.79 259 Ordinary shares 259 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 185.92 32 Ordinary shares 32 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 395.08 68 Ordinary shares 68 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 644.91 111 Ordinary shares 111 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 749.49 129 Ordinary shares 129 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 17.43 3 Ordinary shares 3 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 453.18 78 Ordinary shares 78 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 5.81 1 Ordinary shares 1 June 2015 485 952

88

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 110.39 19 Ordinary shares 19 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,975.40 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 255.64 44 Ordinary shares 44 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,162.00 200 Ordinary shares 200 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 557.76 96 Ordinary shares 96 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 505.47 87 Ordinary shares 87 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,162.00 200 Ordinary shares 200 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 168.49 29 Ordinary shares 29 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 284.69 49 Ordinary shares 49 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,162.00 200 Ordinary shares 200 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 813.40 140 Ordinary shares 140 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 139.44 24 Ordinary shares 24 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 46.48 8 Ordinary shares 8 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 145.25 25 Ordinary shares 25 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,057.42 182 Ordinary shares 182 June 2015 485 952

CBA Equities Purchase 1,975.40 340 Ordinary shares 340 Wednesday, 17 Limited ACN 003

89

June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,812.72 312 Ordinary shares 312 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 162.68 28 Ordinary shares 28 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,975.40 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 139.44 24 Ordinary shares 24 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 342.79 59 Ordinary shares 59 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,347.92 232 Ordinary shares 232 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,975.40 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,975.40 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,975.40 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,975.40 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 888.93 153 Ordinary shares 153 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,086.47 187 Ordinary shares 187 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 98.77 17 Ordinary shares 17 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 406.70 70 Ordinary shares 70 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 104.58 18 Ordinary shares 18 June 2015 485 952

90

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 5.81 1 Ordinary shares 1 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,972.00 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 272.60 47 Ordinary shares 47 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 829.40 143 Ordinary shares 143 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 800.40 138 Ordinary shares 138 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 69.60 12 Ordinary shares 12 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,972.00 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 46.40 8 Ordinary shares 8 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,258.60 217 Ordinary shares 217 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 46.40 8 Ordinary shares 8 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 620.60 107 Ordinary shares 107 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 411.80 71 Ordinary shares 71 June 2015 485 952

CBA Equities Monday, 22 June Limited ACN 003 Sale 57.75 10 Ordinary shares 10 2015 485 952

CBA Equities Monday, 22 June Limited ACN 003 Sale 103.95 18 Ordinary shares 18 2015 485 952

CBA Equities Monday, 22 June Limited ACN 003 Sale 17.33 3 Ordinary shares 3 2015 485 952

CBA Equities Sale 2,985.68 517 Ordinary shares 517 Monday, 22 June Limited ACN 003

91

2015 485 952

CBA Equities Monday, 22 June Limited ACN 003 Sale 2,196.40 380 Ordinary shares 380 2015 485 952

CBA Equities Monday, 22 June 1,918 Ordinary Limited ACN 003 Sale 11,114.81 1,918 2015 shares 485 952

CBA Equities Monday, 22 June 1,420 Ordinary Limited ACN 003 Sale 8,228.90 1,420 2015 shares 485 952

CBA Equities Monday, 22 June Limited ACN 003 Sale 1,363.00 235 Ordinary shares 235 2015 485 952

CBA Equities Monday, 22 June Limited ACN 003 Sale 51.88 9 Ordinary shares 9 2015 485 952

CBA Equities Monday, 22 June Limited ACN 003 Sale 386.26 67 Ordinary shares 67 2015 485 952

CBA Equities Monday, 22 June Limited ACN 003 Sale 103.77 18 Ordinary shares 18 2015 485 952

CBA Equities Monday, 22 June Limited ACN 003 Sale 2,611.55 453 Ordinary shares 453 2015 485 952

CBA Equities Monday, 22 June Limited ACN 003 Sale 513.08 89 Ordinary shares 89 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,983.75 345 Ordinary shares 345 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,976.85 345 Ordinary shares 345 June 2015 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 2,788.10 490 Ordinary shares 490 June 2015 485 952

CBA Equities Wednesday, 17 4,094 Ordinary Limited ACN 003 Purchase 23,294.86 4,094 June 2015 shares 485 952

CBA Equities Wednesday, 17 Limited ACN 003 Purchase 1,576.13 277 Ordinary shares 277 June 2015 485 952

CBA Equities Wednesday, 17 6,461 Ordinary Limited ACN 003 Purchase 36,763.09 6,461 June 2015 shares 485 952

92

CBA Equities Thursday, 18 June 5,517 Ordinary Limited ACN 003 Purchase 31,005.54 5,517 2015 shares 485 952

CBA Equities Thursday, 18 June Limited ACN 003 Purchase 2,781.90 495 Ordinary shares 495 2015 485 952

CBA Equities Thursday, 18 June 9,635 Ordinary Limited ACN 003 Purchase 54,148.70 9,635 2015 shares 485 952

CBA Equities Thursday, 18 June Limited ACN 003 Purchase 3,467.54 617 Ordinary shares 617 2015 485 952

CBA Equities Thursday, 18 June 16,279 Ordinary Limited ACN 003 Purchase 91,487.98 16,279 2015 shares 485 952

CBA Equities Thursday, 18 June 3,941 Ordinary Limited ACN 003 Purchase 22,148.42 3,941 2015 shares 485 952

CBA Equities Thursday, 18 June 3,515 Ordinary Limited ACN 003 Purchase 19,754.30 3,515 2015 shares 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Sale 1,963.50 350 Ordinary shares 350 2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Sale 1,991.55 355 Ordinary shares 355 2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Sale 3,160.65 570 Ordinary shares 570 2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Sale 1,977.35 355 Ordinary shares 355 2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Sale 1,984.45 355 Ordinary shares 355 2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Sale 1,991.55 355 Ordinary shares 355 2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Sale 1,991.55 355 Ordinary shares 355 2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Sale 1,991.55 355 Ordinary shares 355 2015 485 952

CBA Equities Sale 2,005.75 355 Ordinary shares 355 Tuesday, 23 June Limited ACN 003

93

2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Sale 2,785.45 493 Ordinary shares 493 2015 485 952

CBA Equities Tuesday, 23 June 1,376 Ordinary Limited ACN 003 Sale 7,774.40 1,376 2015 shares 485 952

CBA Equities Tuesday, 23 June 10,866 Ordinary Limited ACN 003 Sale 61,392.90 10,866 2015 shares 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Sale 1,497.25 265 Ordinary shares 265 2015 485 952

CBA Equities Tuesday, 23 June 5,690 Ordinary Limited ACN 003 Sale 32,148.50 5,690 2015 shares 485 952

CBA Equities Tuesday, 23 June 3,144 Ordinary Limited ACN 003 Sale 17,763.60 3,144 2015 shares 485 952

CBA Equities Friday, 19 June 3,351 Ordinary Limited ACN 003 Purchase 19,067.19 3,351 2015 shares 485 952

CBA Equities Friday, 19 June Limited ACN 003 Purchase 1,953.00 350 Ordinary shares 350 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Sale 50.49 9 Ordinary shares 9 June 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Sale 84.15 15 Ordinary shares 15 June 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Purchase 2,016.40 355 Ordinary shares 355 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Purchase 1,977.50 350 Ordinary shares 350 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Purchase 186.62 33 Ordinary shares 33 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Purchase 3,022.75 535 Ordinary shares 535 2015 485 952

CBA Equities Friday, 19 June Limited ACN 003 Purchase 214.89 38 Ordinary shares 38 2015 485 952

94

CBA Equities Friday, 19 June Limited ACN 003 Purchase 3,993.82 705 Ordinary shares 705 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Sale 1,083.00 190 Ordinary shares 190 June 2015 485 952

CBA Equities Wednesday, 24 3,108 Ordinary Limited ACN 003 Sale 17,715.60 3,108 June 2015 shares 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Sale 68.40 12 Ordinary shares 12 June 2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Sale 3,300.44 577 Ordinary shares 577 2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Sale 1,126.84 197 Ordinary shares 197 2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Sale 400.40 70 Ordinary shares 70 2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Sale 51.48 9 Ordinary shares 9 2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Sale 51.48 9 Ordinary shares 9 2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Sale 2,511.08 439 Ordinary shares 439 2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Sale 1,103.96 193 Ordinary shares 193 2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Sale 28.60 5 Ordinary shares 5 2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Sale 1,859.00 325 Ordinary shares 325 2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Sale 1,864.72 326 Ordinary shares 326 2015 485 952

CBA Equities Thursday, 25 June 1,300 Ordinary Limited ACN 003 Sale 7,436.00 1,300 2015 shares 485 952

CBA Equities Purchase 2,037.00 350 Ordinary shares 350 Monday, 22 June Limited ACN 003

95

2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Sale 1,961.80 340 Ordinary shares 340 2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Sale 1,990.65 345 Ordinary shares 345 2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Sale 2,014.80 345 Ordinary shares 345 2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Sale 1,985.60 340 Ordinary shares 340 2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Sale 1,985.60 340 Ordinary shares 340 2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Sale 1,985.60 340 Ordinary shares 340 2015 485 952

CBA Equities Monday, 22 June 3,962 Ordinary Limited ACN 003 Purchase 23,138.08 3,962 2015 shares 485 952

CBA Equities Monday, 22 June Limited ACN 003 Purchase 2,873.28 492 Ordinary shares 492 2015 485 952

CBA Equities Thursday, 25 June 3,501 Ordinary Limited ACN 003 Sale 19,955.70 3,501 2015 shares 485 952

CBA Equities Friday, 26 June 3,425 Ordinary Limited ACN 003 Sale 20,173.25 3,425 2015 shares 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Purchase 3,014.10 510 Ordinary shares 510 2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Purchase 1,979.85 335 Ordinary shares 335 2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Purchase 1,976.50 335 Ordinary shares 335 2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Purchase 1,973.15 335 Ordinary shares 335 2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Purchase 1,969.80 335 Ordinary shares 335 2015 485 952

96

CBA Equities Tuesday, 23 June Limited ACN 003 Purchase 1,816.92 309 Ordinary shares 309 2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Purchase 181.66 31 Ordinary shares 31 2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Purchase 3,513.00 600 Ordinary shares 600 2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Purchase 3,017.90 515 Ordinary shares 515 2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Purchase 1,995.80 340 Ordinary shares 340 2015 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Purchase 1,992.40 340 Ordinary shares 340 2015 485 952

CBA Equities Tuesday, 23 June 1,042 Ordinary Limited ACN 003 Purchase 6,116.54 1,042 2015 shares 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Purchase 1,127.04 192 Ordinary shares 192 2015 485 952

CBA Equities Tuesday, 23 June 2,119 Ordinary Limited ACN 003 Purchase 12,438.53 2,119 2015 shares 485 952

CBA Equities Tuesday, 23 June Limited ACN 003 Purchase 2,893.91 493 Ordinary shares 493 2015 485 952

CBA Equities Tuesday, 23 June 17,064 Ordinary Limited ACN 003 Purchase 100,165.68 17,064 2015 shares 485 952

CBA Equities Monday, 29 June 3,407 Ordinary Limited ACN 003 Sale 20,101.30 3,407 2015 shares 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 1,506.02 257 Ordinary shares 257 June 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 486.38 83 Ordinary shares 83 June 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 1,941.40 340 Ordinary shares 340 June 2015 485 952

CBA Equities Sale 809.34 141 Ordinary shares 141 Monday, 29 June Limited ACN 003

97

2015 485 952

CBA Equities Monday, 29 June Limited ACN 003 Sale 1,199.66 209 Ordinary shares 209 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 1,958.40 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 410.74 71 Ordinary shares 71 June 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 1,946.35 335 Ordinary shares 335 June 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 1,975.40 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 1,975.40 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 1,972.00 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 1,948.20 340 Ordinary shares 340 June 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 967.86 171 Ordinary shares 171 June 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 1,013.14 179 Ordinary shares 179 June 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 2,043.26 361 Ordinary shares 361 June 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 4,038.48 711 Ordinary shares 711 June 2015 485 952

CBA Equities Monday, 29 June Limited ACN 003 Sale 1,988.00 350 Ordinary shares 350 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 1,988.00 350 Ordinary shares 350 June 2015 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 1,991.50 350 Ordinary shares 350 June 2015 485 952

98

CBA Equities Wednesday, 24 14,000 Ordinary Limited ACN 003 Purchase 81,340.00 14,000 June 2015 shares 485 952

CBA Equities Wednesday, 24 44,105 Ordinary Limited ACN 003 Purchase 256,250.05 44,105 June 2015 shares 485 952

CBA Equities Wednesday, 24 31,895 Ordinary Limited ACN 003 Purchase 185,309.95 31,895 June 2015 shares 485 952

CBA Equities Wednesday, 24 Limited ACN 003 Purchase 2,858.52 492 Ordinary shares 492 June 2015 485 952

CBA Equities Monday, 29 June 7,642 Ordinary Limited ACN 003 Sale 44,400.02 7,642 2015 shares 485 952

CBA Equities Monday, 29 June 5,878 Ordinary Limited ACN 003 Sale 34,151.18 5,878 2015 shares 485 952

CBA Equities Monday, 29 June Limited ACN 003 Sale 2,085.79 359 Ordinary shares 359 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 4,993.56 858 Ordinary shares 858 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 1,553.94 267 Ordinary shares 267 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 2,281.44 392 Ordinary shares 392 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 1,024.32 176 Ordinary shares 176 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 1,140.72 196 Ordinary shares 196 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 1,140.72 196 Ordinary shares 196 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 1,140.72 196 Ordinary shares 196 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 1,140.72 196 Ordinary shares 196 2015 485 952

CBA Equities Sale 1,140.72 196 Ordinary shares 196 Tuesday, 30 June Limited ACN 003

99

2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 1,140.72 196 Ordinary shares 196 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 1,140.72 196 Ordinary shares 196 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 1,140.72 196 Ordinary shares 196 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 1,053.42 181 Ordinary shares 181 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 403.55 70 Ordinary shares 70 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 3,718.42 645 Ordinary shares 645 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 80.71 14 Ordinary shares 14 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 2,497.67 434 Ordinary shares 434 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 3,412.88 592 Ordinary shares 592 2015 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 507.76 88 Ordinary shares 88 2015 485 952

CBA Equities Thursday, 25 June Limited ACN 003 Purchase 507.76 88 Ordinary shares 88 2015 485 952

CBA Equities Thursday, 25 June 7,550 Ordinary Limited ACN 003 Purchase 43,563.50 7,550 2015 shares 485 952

CBA Equities Tuesday, 30 June Limited ACN 003 Sale 5,181.46 898 Ordinary shares 898 2015 485 952

CBA Equities Wednesday, 1 July 1,184 Ordinary Limited ACN 003 Sale 6,760.64 1,184 2015 shares 485 952

CBA Equities Friday, 26 June Limited ACN 003 Purchase 112.60 20 Ordinary shares 20 2015 485 952

100

CBA Equities Friday, 26 June Limited ACN 003 Purchase 439.14 78 Ordinary shares 78 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 2,195.70 390 Ordinary shares 390 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 591.67 105 Ordinary shares 105 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 653.66 116 Ordinary shares 116 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 1,279.15 227 Ordinary shares 227 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 2,664.75 475 Ordinary shares 475 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 617.65 110 Ordinary shares 110 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 511.88 91 Ordinary shares 91 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 709.38 126 Ordinary shares 126 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 90.00 16 Ordinary shares 16 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 2,193.75 390 Ordinary shares 390 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 1,488.96 264 Ordinary shares 264 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 1,652.88 291 Ordinary shares 291 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 215.65 38 Ordinary shares 38 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 2,054.35 362 Ordinary shares 362 2015 485 952

CBA Equities Sale 562.32 99 Ordinary shares 99 Wednesday, 1 July Limited ACN 003

101

2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 4,150.05 730 Ordinary shares 730 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 3,044.15 535 Ordinary shares 535 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 1,319.01 231 Ordinary shares 231 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 4,308.75 750 Ordinary shares 750 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 3,404.30 590 Ordinary shares 590 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 98.34 17 Ordinary shares 17 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 3,753.75 650 Ordinary shares 650 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 769.40 133 Ordinary shares 133 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 69.48 12 Ordinary shares 12 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 306.61 53 Ordinary shares 53 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 607.95 105 Ordinary shares 105 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 2,703.93 467 Ordinary shares 467 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 1,134.84 196 Ordinary shares 196 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 2,262.00 390 Ordinary shares 390 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 92.88 16 Ordinary shares 16 2015 485 952

102

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 4,556.93 785 Ordinary shares 785 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 3,477.00 600 Ordinary shares 600 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 4,556.93 785 Ordinary shares 785 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 2,263.95 390 Ordinary shares 390 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 4,375.23 755 Ordinary shares 755 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 3,480.00 600 Ordinary shares 600 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 3,505.97 605 Ordinary shares 605 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 307.66 53 Ordinary shares 53 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 3,515.05 605 Ordinary shares 605 2015 485 952

CBA Equities Friday, 26 June Limited ACN 003 Purchase 1,069.04 184 Ordinary shares 184 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 1,069.04 184 Ordinary shares 184 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 2,980.53 513 Ordinary shares 513 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 11.62 2 Ordinary shares 2 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 929.60 160 Ordinary shares 160 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Sale 737.87 127 Ordinary shares 127 2015 485 952

CBA Equities Purchase 56,903.14 9,794 Friday, 26 June 9,794 Ordinary Limited ACN 003

103

2015 485 952 shares

CBA Equities Friday, 26 June 1,962 Ordinary Limited ACN 003 Purchase 11,399.22 1,962 2015 shares 485 952

CBA Equities Friday, 26 June Limited ACN 003 Purchase 2,864.33 493 Ordinary shares 493 2015 485 952

CBA Equities Friday, 26 June Limited ACN 003 Purchase 4,839.73 833 Ordinary shares 833 2015 485 952

CBA Equities Friday, 26 June 3,232 Ordinary Limited ACN 003 Purchase 18,777.92 3,232 2015 shares 485 952

CBA Equities Friday, 26 June Limited ACN 003 Purchase 2,527.35 435 Ordinary shares 435 2015 485 952

CBA Equities Friday, 26 June Limited ACN 003 Purchase 342.79 59 Ordinary shares 59 2015 485 952

CBA Equities Friday, 26 June Limited ACN 003 Purchase 2,172.94 374 Ordinary shares 374 2015 485 952

CBA Equities Wednesday, 1 July 13,930 Ordinary Limited ACN 003 Sale 80,376.10 13,930 2015 shares 485 952

CBA Equities Wednesday, 1 July 13,930 Ordinary Limited ACN 003 Sale 80,376.10 13,930 2015 shares 485 952

CBA Equities Monday, 29 June 2,541 Ordinary Limited ACN 003 Purchase 14,458.29 2,541 2015 shares 485 952

CBA Equities Thursday, 2 July 2,541 Ordinary Limited ACN 003 Sale 14,458.29 2,541 2015 shares 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 938.85 165 Ordinary shares 165 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 1,303.01 229 Ordinary shares 229 2015 485 952

CBA Equities Monday, 29 June Limited ACN 003 Purchase 5,126.69 901 Ordinary shares 901 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 709.38 125 Ordinary shares 125 2015 485 952

104

CBA Equities Thursday, 2 July Limited ACN 003 Sale 3,361.75 595 Ordinary shares 595 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,195.70 390 Ordinary shares 390 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 101.61 18 Ordinary shares 18 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 180.64 32 Ordinary shares 32 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 67.74 12 Ordinary shares 12 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 1,851.56 328 Ordinary shares 328 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,203.50 390 Ordinary shares 390 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,207.40 390 Ordinary shares 390 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,179.10 385 Ordinary shares 385 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,065.90 365 Ordinary shares 365 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 1,947.04 344 Ordinary shares 344 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 566.50 100 Ordinary shares 100 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 5.67 1 Ordinary shares 1 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,985.45 527 Ordinary shares 527 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,305.66 407 Ordinary shares 407 2015 485 952

CBA Equities Sale 147.42 26 Ordinary shares 26 Thursday, 2 July Limited ACN 003

105

2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 90.80 16 Ordinary shares 16 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 329.15 58 Ordinary shares 58 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 465.35 82 Ordinary shares 82 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,182.95 385 Ordinary shares 385 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 624.25 110 Ordinary shares 110 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 90.80 16 Ordinary shares 16 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 272.64 48 Ordinary shares 48 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,027.76 357 Ordinary shares 357 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,389.80 420 Ordinary shares 420 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,479.50 435 Ordinary shares 435 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 4,470.57 785 Ordinary shares 785 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 3,192.00 560 Ordinary shares 560 2015 485 952

CBA Equities Monday, 29 June Limited ACN 003 Purchase 2,219.10 390 Ordinary shares 390 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 191.59 34 Ordinary shares 34 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 4,415.63 785 Ordinary shares 785 2015 485 952

106

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,195.70 390 Ordinary shares 390 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 4,384.23 785 Ordinary shares 785 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 84.23 15 Ordinary shares 15 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 1,027.55 183 Ordinary shares 183 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 3,343.90 595 Ordinary shares 595 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,195.70 390 Ordinary shares 390 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 985.71 174 Ordinary shares 174 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 1,043.28 184 Ordinary shares 184 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 1,467.23 259 Ordinary shares 259 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 1,170.08 206 Ordinary shares 206 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 1,310.93 231 Ordinary shares 231 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 198.97 35 Ordinary shares 35 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 3,294.40 580 Ordinary shares 580 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,219.10 390 Ordinary shares 390 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 563.81 99 Ordinary shares 99 2015 485 952

CBA Equities Sale 580.89 102 Ordinary shares 102 Thursday, 2 July Limited ACN 003

107

2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 3,442.45 605 Ordinary shares 605 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,223.00 390 Ordinary shares 390 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,223.00 390 Ordinary shares 390 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,223.00 390 Ordinary shares 390 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,223.00 390 Ordinary shares 390 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,533.02 444 Ordinary shares 444 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 308.07 54 Ordinary shares 54 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 2,223.00 390 Ordinary shares 390 2015 485 952

CBA Equities Thursday, 2 July 1,971 Ordinary Limited ACN 003 Sale 11,214.99 1,971 2015 shares 485 952

CBA Equities Thursday, 2 July 9,331 Ordinary Limited ACN 003 Sale 53,093.39 9,331 2015 shares 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Sale 5,405.50 950 Ordinary shares 950 2015 485 952

CBA Equities Thursday, 2 July 8,757 Ordinary Limited ACN 003 Sale 49,827.33 8,757 2015 shares 485 952

CBA Equities Tuesday, 30 June 3,325 Ordinary Limited ACN 003 Purchase 18,753.00 3,325 2015 shares 485 952

CBA Equities 3,325 Ordinary Friday, 3 July 2015 Limited ACN 003 Sale 18,753.00 3,325 shares 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 1,071.60 190 Ordinary shares 190 485 952

108

CBA Equities Tuesday, 30 June Limited ACN 003 Purchase 1,071.60 190 Ordinary shares 190 2015 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 3,555.68 631 Ordinary shares 631 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 162.84 29 Ordinary shares 29 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 179.68 32 Ordinary shares 32 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 179.68 32 Ordinary shares 32 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 190.91 34 Ordinary shares 34 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 185.30 33 Ordinary shares 33 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 490.25 87 Ordinary shares 87 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 2,197.65 390 Ordinary shares 390 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 2,203.50 390 Ordinary shares 390 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 39.79 7 Ordinary shares 7 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 187.28 33 Ordinary shares 33 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 130.53 23 Ordinary shares 23 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 28.38 5 Ordinary shares 5 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 130.53 23 Ordinary shares 23 485 952

Friday, 3 July 2015 CBA Equities Sale 68.10 12 Ordinary shares 12 Limited ACN 003

109

485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 62.42 11 Ordinary shares 11 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 51.07 9 Ordinary shares 9 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 45.40 8 Ordinary shares 8 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 34.05 6 Ordinary shares 6 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 28.38 5 Ordinary shares 5 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 28.38 5 Ordinary shares 5 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 22.70 4 Ordinary shares 4 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 17.02 3 Ordinary shares 3 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 17.02 3 Ordinary shares 3 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 11.35 2 Ordinary shares 2 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 11.35 2 Ordinary shares 2 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 28.38 5 Ordinary shares 5 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 22.70 4 Ordinary shares 4 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 22.70 4 Ordinary shares 4 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 17.02 3 Ordinary shares 3 485 952

110

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 39.73 7 Ordinary shares 7 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 34.05 6 Ordinary shares 6 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 28.38 5 Ordinary shares 5 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 22.70 4 Ordinary shares 4 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 17.02 3 Ordinary shares 3 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 17.02 3 Ordinary shares 3 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 11.35 2 Ordinary shares 2 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 11.35 2 Ordinary shares 2 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 5.67 1 Ordinary shares 1 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 5.67 1 Ordinary shares 1 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 5.67 1 Ordinary shares 1 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 5.67 1 Ordinary shares 1 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 5.67 1 Ordinary shares 1 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 5.67 1 Ordinary shares 1 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 51.07 9 Ordinary shares 9 485 952

Friday, 3 July 2015 CBA Equities Sale 5.67 1 Ordinary shares 1 Limited ACN 003

111

485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 5.67 1 Ordinary shares 1 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 5.67 1 Ordinary shares 1 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 11.35 2 Ordinary shares 2 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 11.35 2 Ordinary shares 2 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 5.67 1 Ordinary shares 1 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 3,178.00 560 Ordinary shares 560 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 2,215.20 390 Ordinary shares 390 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 240.87 42 Ordinary shares 42 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 407.19 71 Ordinary shares 71 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 206.46 36 Ordinary shares 36 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 97.50 17 Ordinary shares 17 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 80.29 14 Ordinary shares 14 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 68.82 12 Ordinary shares 12 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 57.35 10 Ordinary shares 10 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 45.88 8 Ordinary shares 8 485 952

112

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 194.31 34 Ordinary shares 34 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 74.30 13 Ordinary shares 13 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 160.02 28 Ordinary shares 28 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 160.02 28 Ordinary shares 28 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 57.15 10 Ordinary shares 10 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 51.44 9 Ordinary shares 9 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 51.44 9 Ordinary shares 9 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 51.44 9 Ordinary shares 9 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 45.72 8 Ordinary shares 8 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 3,228.97 565 Ordinary shares 565 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 3,137.75 550 Ordinary shares 550 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 2,234.70 390 Ordinary shares 390 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 4,486.27 785 Ordinary shares 785 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 2,123.80 370 Ordinary shares 370 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 22.94 4 Ordinary shares 4 485 952

Friday, 3 July 2015 CBA Equities Sale 200.73 35 Ordinary shares 35 Limited ACN 003

113

485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 269.55 47 Ordinary shares 47 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 1,468.16 256 Ordinary shares 256 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 746.85 130 Ordinary shares 130 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 4,517.68 785 Ordinary shares 785 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 3,744.22 645 Ordinary shares 645 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 1,618.20 279 Ordinary shares 279 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 3,506.45 603 Ordinary shares 603 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 34.71 6 Ordinary shares 6 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 40.50 7 Ordinary shares 7 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 28.93 5 Ordinary shares 5 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 86.78 15 Ordinary shares 15 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 52.06 9 Ordinary shares 9 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 46.28 8 Ordinary shares 8 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 40.50 7 Ordinary shares 7 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 57.85 10 Ordinary shares 10 485 952

114

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 52.06 9 Ordinary shares 9 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 57.85 10 Ordinary shares 10 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 46.28 8 Ordinary shares 8 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 40.50 7 Ordinary shares 7 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 28.93 5 Ordinary shares 5 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 23.14 4 Ordinary shares 4 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 23.14 4 Ordinary shares 4 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 17.36 3 Ordinary shares 3 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 17.36 3 Ordinary shares 3 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 4,487.25 775 Ordinary shares 775 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 196.35 34 Ordinary shares 34 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 150.15 26 Ordinary shares 26 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 150.15 26 Ordinary shares 26 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 34.59 6 Ordinary shares 6 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 28.82 5 Ordinary shares 5 485 952

Friday, 3 July 2015 CBA Equities Sale 23.06 4 Ordinary shares 4 Limited ACN 003

115

485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 23.06 4 Ordinary shares 4 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 51.88 9 Ordinary shares 9 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 17.29 3 Ordinary shares 3 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 17.29 3 Ordinary shares 3 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 11.53 2 Ordinary shares 2 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 11.53 2 Ordinary shares 2 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 5.76 1 Ordinary shares 1 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 425.13 74 Ordinary shares 74 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 126.17 22 Ordinary shares 22 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 194.99 34 Ordinary shares 34 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 269.55 47 Ordinary shares 47 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 62.97 11 Ordinary shares 11 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 171.75 30 Ordinary shares 30 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 3,372.18 588 Ordinary shares 588 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 74.69 13 Ordinary shares 13 485 952

116

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 201.08 35 Ordinary shares 35 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 218.31 38 Ordinary shares 38 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 183.84 32 Ordinary shares 32 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 103.41 18 Ordinary shares 18 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 86.17 15 Ordinary shares 15 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 327.47 57 Ordinary shares 57 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 74.69 13 Ordinary shares 13 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 63.20 11 Ordinary shares 11 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 51.70 9 Ordinary shares 9 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 109.16 19 Ordinary shares 19 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 28.73 5 Ordinary shares 5 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 229.80 40 Ordinary shares 40 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 45.96 8 Ordinary shares 8 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 3,421.25 595 Ordinary shares 595 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 51.70 9 Ordinary shares 9 485 952

Friday, 3 July 2015 CBA Equities Sale 57.45 10 Ordinary shares 10 Limited ACN 003

117

485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 40.22 7 Ordinary shares 7 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 40.22 7 Ordinary shares 7 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 1,947.56 339 Ordinary shares 339 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 28.73 5 Ordinary shares 5 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 40.22 7 Ordinary shares 7 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 34.47 6 Ordinary shares 6 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 28.73 5 Ordinary shares 5 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 22.98 4 Ordinary shares 4 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 17.23 3 Ordinary shares 3 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 17.23 3 Ordinary shares 3 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 11.49 2 Ordinary shares 2 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 11.49 2 Ordinary shares 2 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 11.49 2 Ordinary shares 2 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 5.75 1 Ordinary shares 1 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 5.75 1 Ordinary shares 1 485 952

118

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 5.75 1 Ordinary shares 1 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 5.75 1 Ordinary shares 1 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 5.75 1 Ordinary shares 1 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 5.75 1 Ordinary shares 1 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 3,906.60 680 Ordinary shares 680 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 2,242.50 390 Ordinary shares 390 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Sale 3,271.59 567 Ordinary shares 567 485 952

CBA Equities 7,235 Ordinary Friday, 3 July 2015 Limited ACN 003 Sale 41,167.15 7,235 shares 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Purchase 85.95 15 Ordinary shares 15 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Purchase 1,042.86 182 Ordinary shares 182 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Purchase 1,747.65 305 Ordinary shares 305 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Purchase 395.37 69 Ordinary shares 69 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Purchase 962.64 168 Ordinary shares 168 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Purchase 424.02 74 Ordinary shares 74 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Purchase 956.91 167 Ordinary shares 167 2015 485 952

CBA Equities Purchase 1,845.06 322 Ordinary shares 322 Wednesday, 1 July Limited ACN 003

119

2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Purchase 160.44 28 Ordinary shares 28 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Purchase 223.47 39 Ordinary shares 39 2015 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Purchase 1,123.08 196 Ordinary shares 196 2015 485 952

CBA Equities Wednesday, 1 July 1,580 Ordinary Limited ACN 003 Purchase 9,053.40 1,580 2015 shares 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Purchase 1,839.33 321 Ordinary shares 321 2015 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 2,242.50 390 Ordinary shares 390 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 4,085.47 705 Ordinary shares 705 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 39.94 7 Ordinary shares 7 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 302.37 53 Ordinary shares 53 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 171.15 30 Ordinary shares 30 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 1,139.00 200 Ordinary shares 200 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 615.06 108 Ordinary shares 108 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 563.81 99 Ordinary shares 99 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 398.65 70 Ordinary shares 70 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 187.94 33 Ordinary shares 33 485 952

120

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 96.81 17 Ordinary shares 17 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 79.73 14 Ordinary shares 14 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 17.09 3 Ordinary shares 3 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 182.24 32 Ordinary shares 32 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 79.73 14 Ordinary shares 14 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 808.69 142 Ordinary shares 142 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 432.82 76 Ordinary shares 76 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 3,300.20 580 Ordinary shares 580 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 437.74 77 Ordinary shares 77 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 318.36 56 Ordinary shares 56 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 170.55 30 Ordinary shares 30 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 3,385.55 595 Ordinary shares 595 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 3,322.80 585 Ordinary shares 585 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 2,223.00 390 Ordinary shares 390 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 3,457.57 605 Ordinary shares 605 485 952

Monday, 6 July 2015 CBA Equities Sale 3,385.55 595 Ordinary shares 595 Limited ACN 003

121

485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 159.46 28 Ordinary shares 28 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 182.24 32 Ordinary shares 32 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 1,161.78 204 Ordinary shares 204 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 11.39 2 Ordinary shares 2 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 148.07 26 Ordinary shares 26 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 273.36 48 Ordinary shares 48 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 34.17 6 Ordinary shares 6 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 785.91 138 Ordinary shares 138 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 148.07 26 Ordinary shares 26 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 62.65 11 Ordinary shares 11 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 34.17 6 Ordinary shares 6 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 512.55 90 Ordinary shares 90 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 318.92 56 Ordinary shares 56 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 91.12 16 Ordinary shares 16 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 216.41 38 Ordinary shares 38 485 952

122

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 370.18 65 Ordinary shares 65 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 17.09 3 Ordinary shares 3 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 34.17 6 Ordinary shares 6 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 56.95 10 Ordinary shares 10 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 56.95 10 Ordinary shares 10 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 22.78 4 Ordinary shares 4 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 529.63 93 Ordinary shares 93 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 68.34 12 Ordinary shares 12 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 130.99 23 Ordinary shares 23 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 119.60 21 Ordinary shares 21 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 336.01 59 Ordinary shares 59 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 108.21 19 Ordinary shares 19 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 34.17 6 Ordinary shares 6 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 74.03 13 Ordinary shares 13 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 91.12 16 Ordinary shares 16 485 952

Monday, 6 July 2015 CBA Equities Sale 290.44 51 Ordinary shares 51 Limited ACN 003

123

485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 637.84 112 Ordinary shares 112 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 125.29 22 Ordinary shares 22 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 108.21 19 Ordinary shares 19 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 62.65 11 Ordinary shares 11 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 205.02 36 Ordinary shares 36 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 11.40 2 Ordinary shares 2 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 45.60 8 Ordinary shares 8 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 1,350.90 237 Ordinary shares 237 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 171.00 30 Ordinary shares 30 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 56.95 10 Ordinary shares 10 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 1,571.82 276 Ordinary shares 276 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 313.23 55 Ordinary shares 55 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 130.99 23 Ordinary shares 23 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 11.40 2 Ordinary shares 2 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 39.87 7 Ordinary shares 7 485 952

124

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 45.60 8 Ordinary shares 8 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 5.70 1 Ordinary shares 1 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 2,034.90 357 Ordinary shares 357 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 3,363.00 590 Ordinary shares 590 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 5.68 1 Ordinary shares 1 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 108.01 19 Ordinary shares 19 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 22.74 4 Ordinary shares 4 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 3,302.98 581 Ordinary shares 581 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 3,442.45 605 Ordinary shares 605 485 952

CBA Equities Wednesday, 1 July Limited ACN 003 Purchase 2,215.20 390 Ordinary shares 390 2015 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 1,023.30 180 Ordinary shares 180 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 2,416.13 425 Ordinary shares 425 485 952

CBA Equities Monday, 6 July 2015 Limited ACN 003 Sale 4,483.72 788 Ordinary shares 788 485 952

CBA Equities 2,056 Ordinary Monday, 6 July 2015 Limited ACN 003 Sale 11,698.64 2,056 shares 485 952

CBA Equities 1,775 Ordinary Monday, 6 July 2015 Limited ACN 003 Sale 10,099.75 1,775 shares 485 952

CBA Equities Sale 301.57 53 Ordinary shares 53 Tuesday, 7 July Limited ACN 003

125

2015 485 952

CBA Equities Tuesday, 7 July 1,054 Ordinary Limited ACN 003 Sale 5,997.26 1,054 2015 shares 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 2,250.30 390 Ordinary shares 390 2015 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 241.29 42 Ordinary shares 42 2015 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 1,566.72 272 Ordinary shares 272 2015 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 679.68 118 Ordinary shares 118 2015 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 830.16 144 Ordinary shares 144 2015 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 2,250.30 390 Ordinary shares 390 2015 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 207.54 36 Ordinary shares 36 2015 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 843.15 146 Ordinary shares 146 2015 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 3,690.23 639 Ordinary shares 639 2015 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 2,254.20 390 Ordinary shares 390 2015 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 1,356.03 234 Ordinary shares 234 2015 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 1,338.65 231 Ordinary shares 231 2015 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 2,254.20 390 Ordinary shares 390 2015 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 2,177.18 377 Ordinary shares 377 2015 485 952

126

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 1,992.38 345 Ordinary shares 345 2015 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 300.30 52 Ordinary shares 52 2015 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 3,020.33 523 Ordinary shares 523 2015 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Sale 4,162.33 722 Ordinary shares 722 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Purchase 173.10 30 Ordinary shares 30 2015 485 952

CBA Equities Thursday, 2 July Limited ACN 003 Purchase 5,683.45 985 Ordinary shares 985 2015 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Purchase 199.85 35 Ordinary shares 35 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Purchase 5,041.93 883 Ordinary shares 883 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Purchase 222.69 39 Ordinary shares 39 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Purchase 222.69 39 Ordinary shares 39 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Sale 855.00 150 Ordinary shares 150 2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Sale 45.16 8 Ordinary shares 8 2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Sale 976.58 173 Ordinary shares 173 2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Sale 56.15 10 Ordinary shares 10 2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Sale 252.68 45 Ordinary shares 45 2015 485 952

CBA Equities Sale 3,340.93 595 Ordinary shares 595 Wednesday, 8 July Limited ACN 003

127

2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Sale 3,343.90 595 Ordinary shares 595 2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Sale 1,970.10 349 Ordinary shares 349 2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Sale 2,203.50 390 Ordinary shares 390 2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Sale 1,186.50 210 Ordinary shares 210 2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Sale 2,207.40 390 Ordinary shares 390 2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Sale 2,207.40 390 Ordinary shares 390 2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Sale 5,555.40 985 Ordinary shares 985 2015 485 952

CBA Equities 15,215 Ordinary Friday, 3 July 2015 Limited ACN 003 Purchase 85,812.60 15,215 shares 485 952

CBA Equities Friday, 3 July 2015 Limited ACN 003 Purchase 3,333.24 591 Ordinary shares 591 485 952

CBA Equities Wednesday, 8 July 14,012 Ordinary Limited ACN 003 Sale 80,849.24 14,012 2015 shares 485 952

CBA Equities Thursday, 9 July 3,050 Ordinary Limited ACN 003 Sale 17,232.50 3,050 2015 shares 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 2,802.40 496 Ordinary shares 496 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 2,176.20 390 Ordinary shares 390 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 94.61 17 Ordinary shares 17 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 50.09 9 Ordinary shares 9 2015 485 952

128

CBA Equities Thursday, 9 July Limited ACN 003 Sale 430.05 77 Ordinary shares 77 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 55.85 10 Ordinary shares 10 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 351.86 63 Ordinary shares 63 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 358.08 64 Ordinary shares 64 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 50.27 9 Ordinary shares 9 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 473.88 85 Ordinary shares 85 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 94.78 17 Ordinary shares 17 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 887.22 159 Ordinary shares 159 2015 485 952

CBA Equities Thursday, 9 July 1,029 Ordinary Limited ACN 003 Sale 5,736.68 1,029 2015 shares 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 122.65 22 Ordinary shares 22 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 144.95 26 Ordinary shares 26 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 195.13 35 Ordinary shares 35 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 596.52 107 Ordinary shares 107 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 44.60 8 Ordinary shares 8 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 2,949.18 529 Ordinary shares 529 2015 485 952

CBA Equities Sale 3,236.40 580 Ordinary shares 580 Thursday, 9 July Limited ACN 003

129

2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 245.30 44 Ordinary shares 44 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 61.33 11 Ordinary shares 11 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 780.50 140 Ordinary shares 140 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 50.18 9 Ordinary shares 9 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 663.43 119 Ordinary shares 119 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 523.11 94 Ordinary shares 94 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 3,292.20 590 Ordinary shares 590 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 2,176.20 390 Ordinary shares 390 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 3,348.00 600 Ordinary shares 600 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 2,172.30 390 Ordinary shares 390 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 4,364.60 785 Ordinary shares 785 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 72.41 13 Ordinary shares 13 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 2,099.89 377 Ordinary shares 377 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 1,169.70 210 Ordinary shares 210 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 808.38 145 Ordinary shares 145 2015 485 952

130

CBA Equities Thursday, 9 July Limited ACN 003 Sale 4,706.65 845 Ordinary shares 845 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 423.70 76 Ordinary shares 76 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 524.05 94 Ordinary shares 94 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 33.45 6 Ordinary shares 6 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 44.60 8 Ordinary shares 8 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 306.63 55 Ordinary shares 55 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 223.00 40 Ordinary shares 40 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 301.05 54 Ordinary shares 54 2015 485 952

CBA Equities Thursday, 9 July 1,049 Ordinary Limited ACN 003 Sale 5,848.18 1,049 2015 shares 485 952

CBA Equities Thursday, 9 July 1,925 Ordinary Limited ACN 003 Sale 10,751.13 1,925 2015 shares 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 826.58 148 Ordinary shares 148 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 313.88 56 Ordinary shares 56 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 3,093.96 552 Ordinary shares 552 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 947.25 169 Ordinary shares 169 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 224.20 40 Ordinary shares 40 2015 485 952

CBA Equities Sale 44.32 8 Ordinary shares 8 Thursday, 9 July Limited ACN 003

131

2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 5,412.58 977 Ordinary shares 977 2015 485 952

CBA Equities Thursday, 9 July 1,066 Ordinary Limited ACN 003 Sale 5,905.64 1,066 2015 shares 485 952

CBA Equities Thursday, 9 July 3,750 Ordinary Limited ACN 003 Sale 20,775.00 3,750 2015 shares 485 952

CBA Equities Thursday, 9 July 2,082 Ordinary Limited ACN 003 Sale 11,534.28 2,082 2015 shares 485 952

CBA Equities Thursday, 9 July 1,143 Ordinary Limited ACN 003 Sale 6,332.22 1,143 2015 shares 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Sale 5.54 1 Ordinary shares 1 2015 485 952

CBA Equities Tuesday, 7 July 2,932 Ordinary Limited ACN 003 Purchase 16,155.32 2,932 2015 shares 485 952

CBA Equities Tuesday, 7 July Limited ACN 003 Purchase 3,735.78 678 Ordinary shares 678 2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Purchase 2,145.00 390 Ordinary shares 390 2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Purchase 2,156.70 390 Ordinary shares 390 2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Purchase 5,406.50 983 Ordinary shares 983 2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Purchase 5,175.50 941 Ordinary shares 941 2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Purchase 5.50 1 Ordinary shares 1 2015 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Purchase 1,721.50 313 Ordinary shares 313 2015 485 952

CBA Equities Wednesday, 8 July 1,165 Ordinary Limited ACN 003 Purchase 6,407.50 1,165 2015 shares 485 952

132

CBA Equities Wednesday, 8 July 2,501 Ordinary Limited ACN 003 Purchase 13,755.50 2,501 2015 shares 485 952

CBA Equities Wednesday, 8 July Limited ACN 003 Purchase 1,413.50 257 Ordinary shares 257 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Purchase 2,098.20 390 Ordinary shares 390 2015 485 952

CBA Equities Thursday, 9 July Limited ACN 003 Purchase 285.95 70 Ordinary shares 70 2015 485 952

Colonial First State Friday, 13 March Asset Management 22,328 Ordinary Sale 122,973.69 22,328 2015 (Australia) Limited shares ACN 114 194 311

Colonial First State Monday, 16 March Asset Management Sale 496.80 92 Ordinary shares 92 2015 (Australia) Limited ACN 114 194 311

Colonial First State Monday, 18 May Asset Management 46,744 Ordinary Sale 283,268.64 46,744 2015 (Australia) Limited shares ACN 114 194 311

Per Scheme of Arrangement with Colonial First State Amcom. The Thursday, 9 July Asset Management Scheme 671,040 Ordinary Purchase 671,040 2015 (Australia) Limited consideration is shares ACN 114 194 311 0.4614 VOC shares for every 1 AMM share.

Per Scheme of Arrangement with Colonial First State Amcom. The Thursday, 9 July Asset Management Scheme 2,369,189 Ordinary Purchase 2,369,189 2015 (Australia) Limited consideration is shares ACN 114 194 311 0.4614 VOC shares for every 1 AMM share.

Per Scheme of Arrangement with Colonial First State Amcom. The Thursday, 9 July Asset Management Scheme 60,987 Ordinary Purchase 60,987 2015 (Australia) Limited consideration is shares ACN 114 194 311 0.4614 VOC shares for every 1 AMM share.

Per Scheme of Colonial First State Arrangement with Thursday, 9 July Asset Management 240,603 Ordinary Purchase Amcom. The 240,603 2015 (Australia) Limited shares Scheme ACN 114 194 311 consideration is 0.4614 VOC shares

133

for every 1 AMM share.

Colonial First State Asset Management Friday, 24 April 2015 Sale 5,030.59 857 Ordinary shares 857 (Australia) Limited ACN 114 194 311

Colonial First State Asset Management 1,089 Ordinary Friday, 24 April 2015 Sale 6,392.43 1,089 (Australia) Limited shares ACN 114 194 311

Colonial First State Asset Management Friday, 24 April 2015 Purchase 978.45 165 Ordinary shares 165 (Australia) Limited ACN 114 194 311

Colonial First State Wednesday, 24 Asset Management 5,632 Ordinary Purchase 32,361.47 5,632 June 2015 (Australia) Limited shares ACN 114 194 311

Colonial First State Tuesday, 30 June Asset Management Sale 3,796.66 658 Ordinary shares 658 2015 (Australia) Limited ACN 114 194 311

Colonial First State Wednesday, 25 Asset Management Sale 4,096.58 667 Ordinary shares 667 March 2015 (Australia) Limited ACN 114 194 311

Colonial First State Asset Management Friday, 22 May 2015 Sale 5,133.24 882 Ordinary shares 882 (Australia) Limited ACN 114 194 311

Per Scheme of Arrangement with Colonial First State Amcom. The Thursday, 9 July Asset Management Scheme 66,382 Ordinary Purchase 66,382 2015 (Australia) Limited consideration is shares ACN 114 194 311 0.4614 VOC shares for every 1 AMM share.

Colonial First State Monday, 18 May Asset Management 96,591 Ordinary Sale 585,341.46 96,591 2015 (Australia) Limited shares ACN 114 194 311

Colonial First State Friday, 19 June Asset Management Purchase 3,533.32 620 Ordinary shares 620 2015 (Australia) Limited ACN 114 194 311

Colonial First State Wednesday, 24 Asset Management 22,319 Ordinary Purchase 128,244.97 22,319 June 2015 (Australia) Limited shares ACN 114 194 311

134

Colonial First State Wednesday, 1 July Asset Management 2,839 Ordinary Sale 16,494.59 2,839 2015 (Australia) Limited shares ACN 114 194 311

Per Scheme of Arrangement with Colonial First State Amcom. The Thursday, 9 July Asset Management Scheme 728,008 Ordinary Purchase 728,008 2015 (Australia) Limited consideration is shares ACN 114 194 311 0.4614 VOC shares for every 1 AMM share.

Colonial First State Wednesday, 24 Asset Management 31,551 Ordinary Purchase 181,292.05 31,551 June 2015 (Australia) Limited shares ACN 114 194 311

Colonial First State Friday, 13 March Asset Management 59,979 Ordinary Sale 330,340.34 59,979 2015 (Australia) Limited shares ACN 114 194 311

Colonial First State Monday, 16 March Asset Management Sale 1,339.20 248 Ordinary shares 248 2015 (Australia) Limited ACN 114 194 311

Colonial First State Monday, 18 May Asset Management 250,000 Ordinary Sale 1,515,000.00 250,000 2015 (Australia) Limited shares ACN 114 194 311

Colonial First State Tuesday, 7 April Asset Management 1,397 Ordinary Purchase 8,298.18 1,397 2015 (Australia) Limited shares ACN 114 194 311

Colonial First State Tuesday, 21 April Asset Management Purchase 5,030.59 857 Ordinary shares 857 2015 (Australia) Limited ACN 114 194 311

Colonial First State Wednesday, 6 May Asset Management 1,382 Ordinary Purchase 8,001.78 1,382 2015 (Australia) Limited shares ACN 114 194 311

Colonial First State Tuesday, 19 May Asset Management Purchase 5,133.24 882 Ordinary shares 882 2015 (Australia) Limited ACN 114 194 311

Colonial First State Friday, 12 June Asset Management 1,261 Ordinary Purchase 7,452.51 1,261 2015 (Australia) Limited shares ACN 114 194 311

Colonial First State Wednesday, 24 Asset Management 128,642 Ordinary Purchase 739,176.93 128,642 June 2015 (Australia) Limited shares ACN 114 194 311

135

Colonial First State Asset Management 1,638 Ordinary Friday, 3 July 2015 Purchase 9,238.32 1,638 (Australia) Limited shares ACN 114 194 311

Colonial First State Thursday, 9 July Asset Management 33,710 Ordinary Purchase 180,685.60 33,710 2015 (Australia) Limited shares ACN 114 194 311

Per Scheme of Arrangement with Colonial First State Amcom. The Thursday, 9 July Asset Management Scheme 186,358 Ordinary Purchase 186,358 2015 (Australia) Limited consideration is shares ACN 114 194 311 0.4614 VOC shares for every 1 AMM share.

Per Scheme of Arrangement with Colonial First State Amcom. The Thursday, 9 July Asset Management Scheme 193,788 Ordinary Purchase 193,788 2015 (Australia) Limited consideration is shares ACN 114 194 311 0.4614 VOC shares for every 1 AMM share.

2,295 Ordinary shares Colonial First State (borrowed from Monday, 30 March Investments Limited Borrow Increase N/A Citigroup Global 2,295 2015 (Note 1) ACN 002 Markets Limited 348 352 (Agreement 1), see Annexure C)

1,353 Ordinary shares Colonial First State (borrowed from Tuesday, 31 March Investments Limited Borrow Increase N/A Citigroup Global 1,353 2015 (Note 1) ACN 002 Markets Limited 348 352 (Agreement 1), see Annexure C)

1,286 Ordinary shares Colonial First State (borrowed from Tuesday, 7 April Investments Limited Borrow Increase N/A Citigroup Global 1,286 2015 (Note 1) ACN 002 Markets Limited 348 352 (Agreement 1), see Annexure C)

4,960 Ordinary shares Colonial First State (borrowed from Monday, 13 April Investments Limited Borrow Increase N/A Citigroup Global 4,960 2015 (Note 1) ACN 002 Markets Limited 348 352 (Agreement 1), see Annexure C)

Colonial First State 4,173 Ordinary Wednesday, 15 April Investments Limited shares Borrow Increase N/A 4,173 2015 (Note 1) ACN 002 (borrowed from 348 352 Citigroup Global Markets Limited

136

(Agreement 1), see Annexure C)

Colonial First State 946 Ordinary shares Wednesday, 25 Investments Limited (returned to UBS AG Borrow Decrease N/A 946 March 2015 (Note 1) ACN 002 (Agreement 2), see 348 352 Annexure C)

45,255 Ordinary Colonial First State shares Thursday, 9 July Investments Limited Borrow Increase N/A (borrowed from UBS 45,255 2015 (Note 1) ACN 002 AG (Agreement 2), 348 352 see Annexure C)

Colonial First State Thursday, 19 March Investments Limited 25,777 Ordinary Purchase 158,477.00 25,777 2015 (Note 1) ACN 002 shares 348 352

Colonial First State Monday, 23 March Investments Limited 16,334 Ordinary Purchase 100,276.06 16,334 2015 (Note 1) ACN 002 shares 348 352

Colonial First State Tuesday, 24 March Investments Limited 18,204 Ordinary Purchase 110,381.77 18,204 2015 (Note 1) ACN 002 shares 348 352

Colonial First State Wednesday, 25 Investments Limited 34,410 Ordinary Purchase 208,689.77 34,410 March 2015 (Note 1) ACN 002 shares 348 352

Colonial First State Thursday, 26 March Investments Limited 33,041 Ordinary Purchase 197,149.04 33,041 2015 (Note 1) ACN 002 shares 348 352

Colonial First State Tuesday, 21 April Investments Limited Sale 2,581.03 433 Ordinary shares 433 2015 (Note 1) ACN 002 348 352

Colonial First State Investments Limited 2,363 Ordinary Friday, 24 April 2015 Purchase 13,819.06 2,363 (Note 1) ACN 002 shares 348 352

Colonial First State Monday, 27 April Investments Limited 16,030 Ordinary Purchase 95,460.25 16,030 2015 (Note 1) ACN 002 shares 348 352

Colonial First State Wednesday, 29 April Investments Limited 21,023 Ordinary Purchase 125,486.29 21,023 2015 (Note 1) ACN 002 shares 348 352

Thursday, 30 April Colonial First State 40,781 Ordinary Purchase 237,288.33 40,781 2015 Investments Limited shares (Note 1) ACN 002

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348 352

Colonial First State Wednesday, 3 June Investments Limited 1,449 Ordinary Sale 8,437.67 1,449 2015 (Note 1) ACN 002 shares 348 352

Colonial First State Tuesday, 16 June Investments Limited 121,286 Ordinary Purchase 734,689.94 121,286 2015 (Note 1) ACN 002 shares 348 352

Colonial First State Tuesday, 23 June Investments Limited 61,156 Ordinary Purchase 359,805.21 61,156 2015 (Note 1) ACN 002 shares 348 352

Colonial First State Investments Limited 13,046 Ordinary Friday, 3 July 2015 Purchase 73,695.55 13,046 (Note 1) ACN 002 shares 348 352

Per Scheme of Arrangement with Colonial First State Amcom. The Thursday, 9 July Investments Limited Scheme 60,029 Ordinary Purchase 60,029 2015 (Note 1) ACN 002 consideration is shares 348 352 0.4614 VOC shares for every 1 AMM share.

Colonial First State Tuesday, 31 March Investments Limited 19,074 Ordinary Purchase 111,964.38 19,074 2015 (Note 1) ACN 002 shares 348 352

Colonial First State Tuesday, 30 June Investments Limited 33,025 Ordinary Purchase 190,554.25 33,025 2015 (Note 1) ACN 002 shares 348 352

Per Scheme of Arrangement with Colonial First State Amcom. The Thursday, 9 July Investments Limited Scheme 256,224 Ordinary Purchase 256,224 2015 (Note 1) ACN 002 consideration is shares 348 352 0.4614 VOC shares for every 1 AMM share.

Per Scheme of Arrangement with Realindex Amcom. The Thursday, 9 July Investments Pty Scheme 240,682 Ordinary Purchase 240,682 2015 Limited ACN 133 consideration is shares 312 017 0.4614 VOC shares for every 1 AMM share.

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Annexure C

This is annexure C referred to in Form 604, Notice of change of interest of substantial holder dated 09/07/2015

Carla Collingwood Company Secretary Dated the 10 July 2015

Commonwealth Bank of Australia will, if requested by the company or responsible entity to whom this form must be given or by the Australian Securities and Investments Commission (ASIC), give a copy of one or more of the following agreements to the company, responsible entity or ASIC (as appropriate).

Citigroup Global Markets Limited (Agreement 1)

Type of agreement: Australian Master Securities Lending Agreement

(1) Citigroup Global Markets Limited; and (2) Colonial First State Parties to agreement: Investments Limited

Can the parties exercise voting rights attaching to the No securities?

If yes, in what circumstances? N/A

Date on which the securities were (or are) expected to be The dates indicated in Annexure B on which securities were delivered to the borrower or its nominee (ie borrow date): borrowed.

Scheduled date (if any) when the securities are expected to be Any particular day. returned to the borrower or its nominee (ie return date):

Does the borrower have the right to return the securities early? Yes [Yes/No]

If yes, in which circumstances? At any time subject to giving notice.

Does the lender have the right to recall the securities early (ie Yes before the scheduled return date)? [Yes/No]

If yes, in which circumstances? At any time subject to giving notice.

Are there circumstances in which the borrower will not be No required to return the securities on settlement? [Yes/No]

If yes, in which circumstances? N/A

Barclays Capital Securities Ltd

Type of agreement: Global Master Securities Lending Agreement

(1) Commonwealth Bank of Australia and (2) Barclays Capital Parties to agreement: Securities Ltd

Can the parties exercise voting rights attaching to the No securities?

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If yes, in what circumstances? N/A

Date on which the securities were (or are) expected to be The dates indicated in Annexure B on which securities were delivered to the borrower or its nominee (ie borrow date): borrowed.

Scheduled date (if any) when the securities are expected to be Any particular day. returned to the borrower or its nominee (ie return date):

Does the borrower have the right to return the securities early? Yes [Yes/No]

If yes, in which circumstances? At any time subject to giving notice.

Does the lender have the right to recall the securities early (ie Yes before the scheduled return date)? [Yes/No]

If yes, in which circumstances? At any time subject to giving notice.

Are there circumstances in which the borrower will not be No required to return the securities on settlement? [Yes/No]

If yes, in which circumstances? N/A

UBS AG (Agreement 2)

Type of agreement: Australian Master Securities Lending Agreement

Parties to agreement: (1) UBS AG; and (2) Colonial First State Investments Limited

Can the parties exercise voting rights attaching to the No securities?

If yes, in what circumstances? N/A

Date on which the securities were (or are) expected to be The dates indicated in Annexure B on which securities were delivered to the borrower or its nominee (ie borrow date): borrowed.

Scheduled date (if any) when the securities are expected to be Any particular day. returned to the borrower or its nominee (ie return date):

Does the borrower have the right to return the securities early? Yes [Yes/No]

If yes, in which circumstances? At any time subject to giving notice.

Does the lender have the right to recall the securities early (ie Yes before the scheduled return date)? [Yes/No]

If yes, in which circumstances? At any time subject to giving notice.

Are there circumstances in which the borrower will not be No required to return the securities on settlement? [Yes/No]

If yes, in which circumstances? N/A

140