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Thu 5 Mar 2015, 9:00 NEWFUNDS COLLECTIVE INVEST SCHEME - Monthly distribution declaration - NFGOVI NFILBI NFTRCI
NFGOVI NFILBI NFTRCI 201503050012A
Monthly distribution declaration - NFGOVI, NFILBI, NFTRCI

NEWFUNDS GOVI EXCHANGE TRADED FUND PORTFOLIO
Share code: NFGOVI
ISIN: ZAE000161949

NEWFUNDS ILBI EXCHANGE TRADED FUND PORTFOLIO
Share code: NFILBI
ISIN: ZAE000162244

NEWFUNDS TRACI 3 MONTH EXCHANGE TRADED FUND PORTFOLIO
Share code: NFTRCI
ISIN: ZAE000162251

Portfolios in the NewFunds Collective Investment Scheme in Securities registered as such in
terms of the Collective Investment Schemes Control Act, 45 of 2002 and managed by
NewFunds Proprietary Limited (Registration Number 2005/034899/07)

INTEREST DISTRIBUTION AND RE-INVESTMENT ANNOUNCEMENT FOR THE MONTH
ENDING 31 MARCH 2015 – SALIENT DATES

Notice is hereby given that the following dates are of importance in regard to a possible
distribution and re-investment of interest by the above ETFs to investors of the ETF securities
for the month ending 31 March 2015:

Last day to trade "CUM" distribution:           Friday, 20 March 2015
Securities trade "EX" distribution:             Monday, 23 March 2015
Record date:                                    Friday, 27 March 2015

An announcement of the amount to be distributed and reinvested (if any) will be made on or
before Monday, 20 April 2015.

Investors are advised that the distribution amount will not comprise of any dividends,
therefore no dividend tax will be applicable to the distribution amount.

Additional information:

                 Number of securities in issue         Tax reference number
NFGOVI           3,325,000                             9019670224
NFILBI           1,100,000                             9398125170
NFTRCI           4,831,726                             9397128175

5 March 2015

Sponsor
Absa Bank Limited (acting through its Corporate and Investment Banking division)

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