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Thu 30 Aug 2007, 13:00 MND/MNP - Mondi Limited / Mondi plc - Notification
MND   MNP
 MND   MNP                                                                       
MND/MNP - Mondi Limited / Mondi plc - Notification of major interests in shares 
Mondi Limited                                                                   
(Incorporated in the Republic of South Africa)                                  
(Registration number: 1967/013038/06)                                           
JSE share code: MND ISIN: ZAE000097051                                          
Mondi plc                                                                       
(Incorporated in England and Wales)                                             
(Registration number: 6209386)                                                  
JSE share code: MNP ISIN: GB00B1CRLC47                                          
Notification of Major Interests in Shares                                       
As part of the dual listed company structure, Mondi Limited and Mondi plc notify
both the JSE Limited and London Stock Exchange of matters required to be        
disclosed under the JSE listing requirements and/or the Disclosure and Listing  
Rules of the United Kingdom Listing Authority.                                  
1    Identity of the issuer or the underlying issuer of existing shares to which
voting rights are attached:                                                 
Mondi plc                                                                       
2    Reason for notification (yes/no)                                           
An acquisition or disposal of voting rights: Yes                                
An  acquisition or disposal of financial instruments which  may                 
result  in  the acquisition of shares already issued  to  which                 
voting rights are attached:                                                     
An event changing the breakdown of voting rights:                               
Other (please specify):                                                         
3    Full name of person(s) subject to the notification obligation:             
    AXA S.A., 25 Avenue Matignon, 75008 Paris and its group of companies        
4    Full name of shareholder(s) (if different from 3.):                        
5    Date of the transaction (and date on which the threshold is crossed or     
    reached if different):                                                      
    27/08/2007                                                                  
6    Date on which issuer notified:                                             
28/08/2007                                                                  
7    Threshold(s) that is/are crossed or reached:                               
    5%                                                                          
8    Notified details:                                                          
A: Voting rights attached to shares                                         
Class/type of Situation      Resulting situation after the triggering           
shares if     previous to    transaction                                        
possible      the                                                               
using the     triggering                                                        
ISIN Code     transaction                                                       
             No. of Shares  No. of     No. of        No. of  %         %        
             / No. of       shares -   voting        voting  Voting    Voting   
Voting Rights  Direct     rights -      rights  rights    rights   
                                       Direct        -       -         -        
                                                     Indire  Direct    Indire   
                                                     ct                ct       
GB00B1CRLC47  15,946,616     3,452,214  3,452,214     15,606  0.94      4.25    
                                                     ,958                       
B:  Financial Instruments                                                       
Resulting situation after the triggering transaction                            
Type of      Expirat  Exercise/       Number of        % of                     
financial    ion      Conversion      voting rights    voting                   
instrument   date     Period/ Date    that may be      rights                   
                                     acquired if the                            
instrument is                              
                                     exercised/                                 
                                     converted.                                 
Total (A+B)                                                                     
Number of voting rights        % of voting rights                               
19,059,172                     5.19                                             
                                                                                
9    Chain of controlled undertakings through which the voting rights and/or the
financial instruments are effectively held, if applicable:                  
Name of Company /   Direct or      Number of    % of Issued                     
Fund                Indirect       Shares       Share                           
                   Holding                     Capital                          

Sun Life Unit       Direct         157,500      0.04289                         
Assurance Ltd A/c X                                                             
Sun Life Unit       Direct         186,250      0.05072                         
Assurance Ltd                                                                   
AXA UK Investment   Indirect       18,750       0.00511                         
Co ICVC                                                                         
Distribution Fund                                                               
Sun Life Pensions   Direct         51,044       0.01390                         
Management Ltd                                                                  
Sun Life Pensions   Direct         212,500      0.05786                         
Management Ltd A/c                                                              
AXA UK Group        Indirect       90,000       0.02451                         
Pension Scheme                                                                  
AXA Financial, Inc  Indirect       14,674,568   3.99590                         
AXA Colonia Konzern Direct         1,353        0.00037                         
Sun Life            Direct         100,000      0.02723                         
International (IOM)                                                             
Ltd                                                                             
AXA France          Indirect       10,852       0.00296                         
AXA Rosenberg       Indirect       68,104       0.01854                         
AXA Financial, Inc  Indirect       580,790      0.15815                         
Sun Life Pensions   Direct         427          0.00012                         
Management Ltd                                                                  
Sun Life Unit       Direct         74,075       0.02017                         
Assurance Ltd LTAV                                                              
UK Equity                                                                       
Sun Life Unit       Direct         188,825      0.05142                         
Assurance Ltd ABL                                                               
High Alpha                                                                      
Sun Life Unit       Direct         66,990       0.01824                         
Assurance Ltd FTSE                                                              
All Share Tracker                                                               
Sun Life Pensions   Direct         334,070      0.09097                         
Management LTAV UK                                                              
Equity                                                                          
Sun Life Pensions   Direct         933,300      0.25414                         
Management ABL High                                                             
Alpha                                                                           
Sun Life Pensions   Direct         333,055      0.09069                         
Management FTSE All                                                             
Share Tracker                                                                   
AXA Framlington     Indirect       15,000       0.00408                         
Trustees for Roman                                                              
Catholics                                                                       
AXA Framlington     Indirect       6,250        0.00170                         
London Scottish                                                                 
Pension Fund                                                                    
AXA Framlington     Indirect       2,500        0.00068                         
City of Warren                                                                  
Retirement                                                                      
AXA Framlington St  Indirect       29,250       0.00796                         
James Place Exempt                                                              
(Pens) Fund                                                                     
AXA Framlington St  Indirect       32,750       0.00892                         
James Place Net                                                                 
(Life) Fund                                                                     
AXA Framlington St  Indirect       10,000       0.00272                         
James Place                                                                     
Offshore Fund                                                                   
AXA Framlington     Indirect       14,108       0.00384                         
Daimler Chrysler                                                                
AXA Framlington     Indirect       11,250       0.00306                         
Framlington Income                                                              
& Capital                                                                       
AXA Framlington     Indirect       7,500        0.00204                         
Managed Growth                                                                  
AXA Framlington     Indirect       30,000       0.00817                         
Managed Balanced                                                                
Framlington Onshore Indirect       5,286        0.00144                         
Private Clients                                                                 
AXA Winterthur      Direct         245,090      0.06674                         
ASL With Profit     Direct         307,760      0.08380                         
Transition Fund                                                                 
SLAS With Profit    Direct         259,975      0.07079                         
Transition                                                                      

Total Direct        3,452,214      0.94004%                                     
Total Indirect      15,606,958     4.24979%                                     
                                                                                
Total               19,059,172     5.18983%                                     
Proxy Voting:                                                                   
10   Name of the proxy holder:                                                  
    N/A                                                                         
11   Number of voting rights proxy holder will cease to hold:                   
    N/A                                                                         
12   Date on which proxy holder will cease to hold voting rights:               
    N/A                                                                         
13   Additional information:                                                    
14   Contact name:                                                              
    Jenny Peterkin                                                              
15   Contact telephone number:                                                  
01932 826368                                                                
Date: 30/08/2007 13:00:01 Produced by the JSE SENS Department.                  
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