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Thu 22 Sep 2016, 14:30 SATRIX COLLECTIVE INVESTMENT SCHEME - Distribution Announcement Salient Dates Quarter Ended 30 September 2016 - STXRES
STXRES 201609220030A
Distribution Announcement – Salient Dates – Quarter Ended 30 September 2016 - STXRES

SATRIX RESI PORTFOLIO
JSE Code: STXRES
ISIN: ZAE000078622
("Satrix Resi" or the "ETF")

A portfolio in the Satrix Collective Investment Scheme, registered
as such in terms of the Collective Investment Schemes Control Act,
45 of 2002

DISTRIBUTION ANNOUNCEMENT – SALIENT DATES – QUARTER ENDED 30
SEPTEMBER 2016

Notice is hereby given that the following dates are of importance in
regard to a possible quarterly distribution for the quarter ended 30
September 2016 by the ETF to holders of Satrix Resi securities:

Last day to trade “cum” distribution:      Tuesday, 27   September   2016
Securities trade “ex” distribution:      Wednesday, 28   September   2016
Record date:                                Friday, 30   September   2016
Announcement of distribution amount            Friday,   7 October   2016
(if any) and the payment date will be
made on or before:

No dematerialisation or rematerialisation may take place between
Wednesday, 28 September 2016 and Friday, 30 September 2016, both
days inclusive.

The original announcement containing the above dates can be accessed
from the Satrix website – www.satrix.co.za.

22 September 2016

Sponsor
Vunani Corporate Finance

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