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Thu 3 Sep 2015, 17:00 SUN INTERNATIONAL LIMITED - Dealing in securities
SUI 201509030049A
Dealing in securities

Sun International Limited
(Registration number: 1967/007528/06)
Share code: SUI
ISIN: ZAE000097580
("Sun International")

DEALING IN SECURITIES
In compliance with the JSE Limited Listings Requirements, the following information is disclosed:

PURCHASE OF SHARES IN TERMS OF THE BONUS SHARE MATCHING PLAN ("BSMP")

Share plan                                           :        BSMP
Company                                              :        Sun International Limited
Nature of transaction                                :        On market purchase of shares to settle
                                                              obligations in terms of the BSMP
Class of securities                                  :        Ordinary shares

 Date of transactions     Number of       Average prices of    Highest prices    Lowest prices      Total value of
                          shares          purchases            traded            traded             transactions
 24 August 2015           118 222         R 100.9907           R 101.00          R 99.85            R 11 939 322.54
 25 August 2015           69 722          R 102.3416           R 103.00          R 102.00           R 7 135 461.04
 26 August 2015           175 080         R 102.8863           R 103.00          R 102.32           R 18 013 333.40
 27 August 2015           86 692          R 103.9821           R 104.00          R 103.80           R 9 014 416.21
 31 August 2015           349             R 104.0000           R 104.00          R 104.00           R     36 296.00

Nature of interest                                   :        Indirect non-beneficial (purchased in respect
                                                              of participants)
Clearance obtained                                   :        Yes

PURCHASE OF SHARES IN TERMS OF THE RESTRICTED SHARE PLAN ("RSP")

Share plan                                           :        RSP
Company                                              :        Sun International Limited
Nature of transaction                                :        On market purchase of shares to settle
                                                              obligations in terms of the RSP
Class of securities                                  :        Ordinary shares

 Date of transaction      Number of       Average price of     Highest price     Lowest price       Total value of
                          shares          purchases            traded            traded             transaction
 24 August 2015           69 430          R 100.0139           R 102.60          R 100.00           R 6 943 965.08

Nature of interest                                   :        Indirect non-beneficial (purchased in respect
                                                              of participants)
Clearance obtained                                   :        Yes


03 September 2015

Sponsor:
RAND MERCHANT BANK (A division of First Rand Bank Limited)

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