EQUITY MARKET INFORMATION 2. Warrants listed on the JSE Main Board...

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1 CONTENTS EQUITY MARKET INFORMATION 2 Warrants listed on the JSE Main Board... EQUITY MARKET INFORMATION 3-4 Information Includes JSE at a Glance, Market Statistics, World Markets, Top Ten Companies, New Capital Raised and Specialist Securities.... EQUITY DERIVATIVES 5-7 Summary of Equities Derivatives, 6 Months Statistics: Trading Statistics, Number of contracts, Milestones Achieved, Traded value, Open Interest and Graphs, Monthly comparison.... COMMODITY DERIVATIVES 8 Monthly Comparison... FTSE/JSE STATISTICS 9-13 Information Includes FTSE/JSE Graphs, Market Capitalisation by Sector, Sectoral Information and FTSE/JSE Index Statistics.... FTSE/JSE AFRICA INDEX SERIES CONSTITUENTS Information of changes in weightings as at the last day of the month.... WARRANTS INFORMATION Information includes Alpha Code, Style, Issuer, Underlying Security, Cover ratio, Strike price, Expiry date and type.... SECURITIES INFORMATION Information includes share capital, dividends for past 3 years, Dividends for current year (pre-listings dividends excluded), monthly volume, value, trades, highest and lowest prices, month-end closing price, days traded. Current year s volume, value, trades, highest and lowest prices traded. Previous year s volume, value, trades, highest and lowest prices traded and other payments.... NOTES ON COMPANIES Where rights issues, capital issues, sub-divisions of shares, reduction of capital, consolidation of capital, repayments of capital, withdrawals from the official list, change of name or changes of classifications have taken place, these appear under the names of the individual companies listed alphabetically. Special situations are also included.... EQUITY MARKET INFORMATION 55 Information includes Rights Issues, Newly listed companies and Delisted companies.... ADVERTISING & SUBSCRIPTION INFORMATION The JSE Limited does not exercise any editorial power over advertisements placed in this Bulletin by third parties. Therefore the JSE accepts no responsibility for, or liability in relation to, any advertisement placed in this Bulletin by any third party. The copyright and other rights in the information contained in this Bulletin are held exclusively by the JSE, save that the rights in any advertisements are held by the relevant advertiser. The rights of the JSE and the advertisers are fully reserved in respect of any unauthorised reproduction, publication, adaptation, broadcasting, public performance or other communication to the public of the information contained in this Bulletin. The JSE is the registered proprietor in South Africa of the JSE trademark and logos.

2 EQUITY MARKET INFORMATION WARRANTS LISTED ON JSE MAIN BOARD September 2013 YEAR TO DATE - DAILY MOVEMENT OF VOLUME TRADED AND NUMBER OF TRADES LISTINGS AND TRADING TRADING BY ICB SECTOR -12 MONTHS PERIOD 2

3 JSE AT A GLANCE EQUITIES September 2013 Year to date Number of Trades 2,886,306 30,286,198 Equity Volume traded 4,979,744,861 49, 917,166,657 Equity Turnover value (R million) 318,886 3,082,132 Equity Total Market Capitalisation (R billion) 9,565 9,565 Total Money Raised (R million) 5,223 62,287 Liquidity % New Domestic & Foreign companies listed 1 5 Number of Companies listed Number of Securities listed Number of Trading days Total value of Kruger coins purchased R2,309,539 R36,479,705 MARKET STATISTICS EQUITY MARKET INFORMATION New companies listed includes both Domestic and Foreign Listings TOP TEN COMPANIES FOR THE MONTH Top 10 by Market Cap as at Month end *Prices Companies Market Cap (RMil) Volume (Mil) Value (R Mil) No. Shares (Mil) High Low Close British AM. Tobacco PLC 1,085, ,448 2,026 54,236 51,393 53,569 SABMiller PLC 857, ,692 1,670 51,998 48,097 51,339 BHP Billiton PLC 635, ,090 2,136 30,756 29,334 29,749 Compagnie Fin Richemont 526, ,861 5,220 10,277 9,600 10,094 Naspers Ltd -N- 386, , ,650 85,160 92,844 MTN Group Ltd 368, ,115 1,882 19,888 17,650 19,600 Anglo American PLC 346, ,569 1,405 25,764 23,760 24,649 Sasol Ltd 310, , ,387 47,015 47,893 Standard Bank Group Ltd 194, ,795 1,618 12,343 11,253 11,988 Firstrand Limited 188, ,016 5,638 3,470 3,010 3,350 Top 10 by Volume *Prices Companies Volume (Mil) Market Cap (R Mil) Value (R Mil) No. Shares (Mil) High Low Close Firstrand Limited ,871 8,016 5,638 3,470 3,010 3,350 Steinhoff International Holdings Limited ,643 5,925 1,836 3,575 2,896 3,575 MTN Group Ltd ,888 29,115 1,882 19,888 17,650 19,600 Growthpoint Properties Limited ,722 3,573 1,936 2,538 2,325 2,465 Old Mutual PLC ,947 4,378 4,896 3,077 2,885 3,042 Convergenet Holdings Limited Redefine Properties Limited ,622 1,234 2,936 1, Austro Group Limited Compagnie Fin Richemont ,907 10,861 5,220 10,277 9,600 10,094 Woolworth Holdings Limited 94 62,771 6, ,635 6,723 7,419 Top 10 by Value *Prices Companies Value (RMil) Market Cap (R Mil) Volume (Mil) No. Shares (Mil) High Low Close MTN Group Ltd 29, , ,882 19,888 17,650 19,600 Naspers Ltd -N- 27, , ,650 85,160 92,844 Sasol Limited 16, , ,387 47,015 47,893 Anglo American PLC 14, , ,405 25,764 23,760 24,649 BHP Billiton PLC 13, , ,136 30,756 29,334 29,749 SABMiller PLC 11, , ,670 51,998 48,097 51,339 Compagnie Fin Richemont 10, , ,220 10,277 9,600 10,094 Standard Bank Group Ltd 10, , ,618 12,343 11,253 11,988 British AM. Tobacco PLC 9,448 1,085, ,026 54,236 51,393 53,569 Firstrand Limited 8, , ,638 3,470 3,010 3,350 * Prices in cents per share: High = Highest of the month, Low = Lowest of the month, Close = Closing value as at Month end 3

4 EQUITY MARKET INFORMATION NEW CAPITAL RAISED BY INDUSTRIES MARKET STATISTICS September 2013 September 2012 No. of shares Capital Raised (R) No. of shares Capital Raised (R) Oil & Gas 324,500 65,701, ,700 94,505,325 Basic Materials 37,589,614 2,533,985,390 42,893, ,301,917 Industrials 3,322,624 26,077,732 2,763,792 3,571,290 Consumer Goods 1,699,330 30,497,688 6,097, ,260,639 Health Care 17,380,595 56,632,783 2,116, ,183,812 Consumer Sevices 3,301, ,585,964 8,490, ,763,929 Telecommunications , ,119 Financials 176,009,226 2,079,753, ,065,017 3,224,231,241 Additional 800, ,280, Alt X 44,600,000 36,452, ,564, ,120,116 Total 285,027,684 5,222,966, ,555,017 4,425,109,389 Variances in totals may occur from month to month MARKET STATISTICS Trades Volume Value Sept 2013 Aug 2013 Sep 2013 Aug 2013 Sep 2013 Aug 2013 TOTAL 2,886,306 3,013,607 4,979,744,861 5,312,210, ,886,477, ,796,524,502 Average 144, , ,987, ,962,381 15,944,323,894 14,752,215,452 High 188, , ,069, ,637,678 32,718,275,405 19,099,998,149 High Date 10/09/ /08/ /09/ /08/ /09/ /08/2013 Low 109,823 91, ,907, ,626,929 11,770,153,607 7,811,080,943 Low Date 03/09/ /08/ /09/ /08/ /09/ /08/2013 WORLD MARKETS Sep Sep % Sep Sep % Sep Sep % FTSE/JSE Top 40 39, , Frankfurt (DAX) 8, , Toronto (Comp.) 12, , Amsterdam Hong Kong 22, , Toronto (Gold) Brussels 2, , Paris (CAC 40) 4, , Zurich(SPI) 7, , Dow Jones 15, , Singapore 3, , Silver($) FTSE 100 6, , Sydney 5, , Platinum(PM)($) 1, , Tokyo 14, , Gold (PM Fix)($) 1, , Source: Inet-Bridge SPECIALIST SECURITIES 4 Sector name Volume Value Trades No of Instruments Full JSE M/Cap Corporate Debt 810,430 7,766, ,902,502,154 Exchange Traded Funds 81,859,324 3,653,595,397 11, ,731,699,580 Exchange Traded Notes 2,654,531 47,010, ,270,725,043 Investment Products 73,096,318 1,593,412,035 5, ,603,036,609 Kruger Rands 161 2,309, Other Securities 4,908, ,687, ,270,448,826 Preference Shares 17,257, ,359,727 5, ,994,574,333 Warrants 219,236,890 57,346,917 2, ,734,000,000

5 6 MONTHS TRADING IN EQUITIES DERIVATIVES April May June July August September No of Contracts Futures Total 6,986,758 6,135,678 24,250,123 4,636,484 7,410,013 24,364,825 Daily Avg 332, ,894 1,154, , ,858 1,218,241 Options Total 1,630,441 1,858,908 1,365,376 1,034,101 1,851,832 1,391,788 Daily Avg 77,640 84,496 65,018 44,961 88,182 69,589 No of Deals Futures Total 219, , , , , ,585 Daily Avg 10,432 11,391 13,632 11,631 10,231 11,529 Options Total 2,073 2,664 1,448 1,444 2,351 2,485 Daily Avg Traded Value Futures Total 311,585,320, ,570,272, ,494,164, ,076,789, ,292,452, ,887,786,284 Daily Avg 14,837,396,214 16,025,921,474 31,404,484,034 14,177,251,697 15,061,545,334 33,044,389,314 Options Total 178,988,194, ,877,585,995 2,716,103, ,234,601, ,039,659, ,290,229,926 Daily Avg 8,523,247,381 5,585,344, ,338,280 14,314,547,903 5,620,936,153 6,564,511,496 Premium Traded Options Total 5,067,991,248 3,296,226,170 2,716,103,879 3,157,812,734 2,985,366,327 2,756,158,830 Daily Avg 241,332, ,828, ,338, ,296, ,160, ,807,942 Open Interest Futures Total 12,250,940 12,831,339 11,909,681 12,174,295 14,078,411 14,964,691 Options Total 583,378 5,380,368 2,681,009 3,018,408 3,865,576 2,769,171 EQUITY DERIVATIVES NUMBER OF CONTRACTS April May June July August September Index Futures 1,101,242 1,172,770 2,274,031 1,037, ,330 2,059,774 Single Stock Futures 1,324,249 1,371,277 5,390, , ,741 3,942,449 Can-Do Futures 868, , , ,739 1,245,670 2,441,755 Dividend Futures 873, ,173 2,897, , ,269 3,584,234 IDX Futures 1,484,328 1,228,682 7,314,131 1,011,462 2,056,099 6,454,880 IDX Dividend Futures 1,330, ,160 5,985, ,517 1,865,277 5,851,200 Metal Futures ,264 Commodity Futures 3,199 8,329 3,490 4,570 11,061 ADX Futures Futures 0 1, , ,472 TOTAL FUTURES 6,986,758 6,135,678 24,250,123 4,636,484 7,410,013 24,364,825 Index Options 559, , , , , ,377 Single Stock Options 1,002,199 1,292, , ,184 1,277, ,346 Can-Do Options 69, ,421 71,590 47,924 89, ,065 Commodity Options TOTAL OPTIONS 1,630,441 1,858,908 1,365,376 1,034,101 1,851,832 1,391,788 TOTAL 8,617,199 7,994,586 25,615,499 5,670,585 48,542,515 25,756,613 MILESTONE ACHIEVED Index Futures Single Stock Futures Can-do Futures Dividend Futures Metal Futures Index Options Single Stock Options Can-do Options IDX Futures Commodity Futures Commodity Options ADX Futures Futures Contracts Month Value Month 2,909,127 Mar'08 702,925,703,555 Jun'08 121,341,791 Sep '08 60,180,087,535 Sep '08 5,346,977 Jan '10 13,502,430,244 Mar'13 4,394,596 Jun '11 295,810,186 Nov'10 15,437 Dec '06 72,508,214 Dec '06 1,973,445 Mar '09 26,381,656,762 Jan '08 3,178,928 Jan '08 1,259,465,220 Aug '08 3,808,964 Mar'13 683,009,682 Jul ' 08 7,314,131 Jun'13 1,805,791,928 Jun'13 11,061 Sep' 13 1,213,281,955 Sept' Oct' 12 2,314,143 Jan'12 19,472 Sep'13 1,569,516 Sep'13 5

6 EQUITY DERIVATIVES TRADED VALUE Index Futures Single Stock Futures Can-Do Futures Dividend Futures IDX Futures IDX Dividend Futures Metal Futures Commodity Futures ADX Futures Futures TOTAL FUTURES Index Options Single Stock Options Can-Do Options Commodity Options TOTAL OPTIONS TOTAL April May June July August September 303,710,216, ,803,123, ,620,462, ,282,245, ,041,942, ,894,867,933 6,117,676,890 8,420,682,879 24,731,343,184 7,141,737,237 7,979,586,713 23,861,107, ,544,736 2,422,184,048 8,400,651,795 2,813,123,513 10,817,153,924 19,798,036, , ,697 2,660,591 98, ,723 14,030, ,003, ,753,195 1,805,791, ,575, ,312,094 2,104,655,393 67,965 67, ,710 33,456 36, , ,333, ,692, ,035, ,862, ,030,074 1,213,281, ,048 22, ,946 27,966 1,569, ,585,320, ,570,272, ,494,164, ,076,789, ,292,452, ,887,786,284 4,696,979,339 2,927,891,814 2,316,264,199 2,843,442,823 2,421,906,486 2,300,336, ,555, ,774, ,124, ,205, ,346, ,612,754 59,112, ,481, ,710,741 62,094, ,113, ,210, ,512 78,386 4,800 69, ,067,991,248 3,296,226,170 2,716,103,879 3,157,812,734 2,985,366,327 2,756,158, ,653,311, ,866,498, ,210,268, ,234,601, ,277,818, ,643,945,114 OPEN INTEREST Index Futures Single Stock Futures Can-Do Futures Dividend Futures IDX Futures IDX Dividend Futures Metal Futures Commodity Futures ADX Futures Futures TOTAL FUTURES Index Options Single Stock Options Can-Do Options Commodity Options TOTAL OPTIONS TOTAL April May June July August September 402, , , , , ,770 3,101,076 3,145,355 2,970,729 2,845,718 3,006,515 2,991, , , ,342 1,111,304 1,397,434 1,716,268 2,140,110 2,071,252 2,165,127 2,098,041 2,143,517 2,776,679 3,049,403 3,413,045 3,042,879 3,028,451 3,724,686 3,690,269 2,749,034 3,052,736 3,042,879 2,690,440 3,376,586 3,379, ,131 2,881 2,365 3,019 2,505 3, ,392 12,250,940 12,831,339 12,233,179 12,174,295 14,078,411 14,964, ,266 1,121, , ,518 1,047, ,213 2,163,610 2,373,750 1,644,908 1,952,676 2,650,703 1,707,721 1,872,696 1,884, , , , , ,997,957 5,380,368 2,681,009 3,018,408 3,865,576 2,769,171 17,248,897 18,211,707 14,914,188 15,192,703 17,943,987 17,733,862 The total number of contracts traded for the month of September 6

7 MARKET STATISTICS Sep 2013 Aug 2013 % Change Sep 2012 % Change Year on Year Futures Trades African Derivatives Can Do Futures Dividend Futures 16,270 10, , Index Futures 191, , , Single Stock Futures 19,745 11, , International Dividend Futures 1, International Derivative Futures 1, Total 229, , , Options Trades Can Do Options Index Options 1,488 1, , Single Stock Options Dividend Options Total 2,485 2, , Futures Contracts African Derivatives 19, , Can Do Futures 2,441,755 1,245, , Dividend Futures 3,584, , ,390, Index Futures 2,059, , ,128, Single Stock Futures 3,942, , ,928, International Dividend Futures 5,851,200 1,865, ,760, International Derivative Futures 6,454,880 2,056, ,874, Total 24,353,764 7,405, ,542, Options Contracts Can Do Options 108,065 89, , Index Options 372, , , Single Stock Options 911,346 1,277, , Dividend Options Total 1,391,788 1,851, ,101, Futures Turnover value(r 000) African Derivatives 1, , Can Do Futures 19,798,036 10,817, ,855, Dividend Futures 14, , , Index Futures 613,894, ,041, ,353, Single Stock Futures 23,861,108 7,979, ,651, International Dividend Futures , International Derivative Futures 2,104, , ,074, Total 659,674, ,746, ,968, Options Turnover value(r 000) Can Do Options 146, , , Index Options 2,300,336 2,421, ,308, Single Stock Options 309, , , Dividend Options Total 2,756,159 2,985, ,605, Futures Open Interest African Derivatives 19, , Can Do Futures 1,716,268 1,397, , Dividend Futures 2,776,679 2,143, ,038, Index Futures 387, , , Single Stock Futures 2,991,221 3,006, ,947, International Dividend Futures 3,379,314 3,376, ,979, International Derivative Futures 3,690,269 3,724, ,376, Options Open Interest Can Do Options 193, , , Index Options 868,213 1,047, , Single Stock Options 1,707,721 2,650, ,254, EQUITY DERIVATIVES MARKET INFORMATION Data disclaimer To the extent allowed by law, JSE Limited (the JSE) does not (expressly, tacitly or impliedly) guarantee or warrant the availability, sequence, accuracy, completeness, reliability or any other aspect of any of the below data (Data), or that any Data is up to date. To the extent allowed by law, neither the JSE nor any of its directors, officers, employees, contractors, agents or representatives are liable in any way to the reader or to any other natural or juristic person (Person) for any loss or damage as a result of (i) the display of any Data on this website, or (ii) any Data being unavailable on this website at any time and for any reason, or (iii) any delay, inaccuracy, error, or omission in relation to any Data, or (iv) any actions taken or not taken by or on behalf of any Person in reliance on any Data. The JSE is entitled to terminate the display of any Data at any time, without notice and without liability to any Person. 7

8 COMMODITY DERIVATIVES MARKET INFORMATION 8 MARKET STATISTICS Sep 2013 Aug 2013 % Change Sep 2012 % Change Year on Year Futures Trades 10 Ton White Maize Future Ton Yellow Maize Future Corn 1,043 1, , Crude Oil Copper Gold Silver Platinum Sorghum Mini Soya Bean (25t) 1,648 1, , CBOT Soybean CBOT Soybean Meal CBOT Soybean Wheat Cape Wheat CBOT Soybean Oil Brent Crude Oil Quanto Copper Quanto Corn Quanto Gold Quanto Cotton Quanto Natural Gas Quanto Palladium Quanto Coffee Quanto KCBT Hard Red Winter Wheat Futures Platinum Quanto Silver Quanto Sugar#11 Quanto Soya Bean Future (50t) Suns 963 1, Wheat 2,076 2, , White Maize 7,275 10, , Yellow Maize 3,770 5, , Total 18,028 23, , Options Trades Corn Crude Oil Gold Platinum Mini Soya Bean (25t) Sorghum CBOT Soybean Suns Soya Bean Future (50t) Wheat White Maize 950 1, , Yellow Maize Total 1,642 1, , Futures Volume 10 Ton White Maize Future Ton Yellow Maize Future Corn 6,290 14, , Crude Oil 3,163 2, , Copper Gold 2, Silver Platinum 2, , Sorghum Mini Soya Bean (25t) 23,157 37, , CBOT Soybean CBOT Soybean Meal CBOT Soybean Wheat Cape Wheat CBOT Soybean Oil Brent Crude Oil Quanto Copper Quanto Gold Quanto , Cotton Quanto 2, Corn Quanto Coffee Quanto KCBT Hard Red Winter Wheat Futures Platinum Quanto Palladium Quanto Silver Quanto Sugar#11 Quanto Natural Gas Quanto Soya Bean Future (50t) 1,301 1, Suns 6,454 15, , Wheat 24,824 24, , White Maize 50,380 69, , Yellow Maize 29,865 39, , Total 155, , , Options Volume Corn , Crude Oil Gold Platinum Mini Soya Bean (25t) 2,752 2, , Soya Bean Future (50t) Sorghum CBOT Soybean Suns Wheat 1,349 1, , White Maize 9,333 12, , Yellow Maize 3,049 2, , Total 17,713 19, , Futures Value (R 000) 10 Ton White Maize Future 5,654 6, Ton Yellow Maize Future Corn 1,165,319 2,929, ,047, Crude Oil 331, , , Copper 8,113 2, , Gold 325, , , Silver 9,509 11, , Platinum 347,818 65, , Sorghum 3,311 23, , Mini Soya Bean (25t) 3,280,157 5,048, ,894, CBOT Soybean 439, , , CBOT Soybean Meal 16,495 22, , CBOT Soybean Wheat 107,992 77, , KCBT Hard Red Winter Wheat 19,820 23, , Cape Wheat 6,117 19, , CBOT Soybean Oil 5,232 5, Brent Crude Oil Quanto - 7, , Copper Quanto Coffee Quanto 1,282 2, Gold Quanto 54,468 23, ,854 1, Cotton Quanto 91, Platinum Quanto 42,250 27, Palladium Quanto Silver Quanto - 1, Natural Gas Quanto Corn Quanto Soya Bean Future (50t) 333, , Sugar #11 Quanto 408 1, Suns 1,637,058 3,815, ,930, Wheat 4,192,560 4,140, ,835, White Maize 11,679,266 16,202, ,675, Yellow Maize 6,404,878 8,685, ,596, Total 30,509,742 42,258, ,004, Options Value (R 000) Corn 1, Crude Oil Gold Platinum Mini Soya Bean (25t) 7,710 54, , Soya Bean Future (50t) 8,909 15, Sorghum CBOT Soybean Suns 2,473 4, , Wheat 5,190 9, , White Maize 58, , , Yellow Maize 26,929 18, , Total 111, , , Open Interest Futures 10 Ton White Maize Future Ton Yellow Maize Future Corn 5,614 5, , Crude Oil Copper Gold Silver Platinum Sorghum Mini Soya Bean (25t) 10,991 13, , CBOT Soybean CBOT Soybean Meal CBOT Soybean Wheat 2,220 1, , KCBT Hard Red Winter Wheat Cape Wheat CBOT Soybean Oil Brent Crude Oil Quanto Copper Quanto Coffee Quanto Corn Quanto Gold Quanto Cotton Quanto 1, Platinum Quanto Palladium Quanto Silver Quanto Sugar #11 Quanto Natural Gas Quanto Soya Bean (50t) 1,642 1, Suns 3,867 4, , Wheat 15,077 12, , White Maize 22,003 22, , Yellow Maize 14,698 15, , Options Corn , Crude Oil Gold Platinum Mini Soya Bean (25t) 1, , Soya Bean (50t) 1, Sorghum CBOT Soybean Suns Wheat 3,564 2, , White Maize 20,785 18, , Yellow Maize 5,615 3, , Data disclaimer To the extent allowed by law, JSE Limited (the JSE) does not (expressly, tacitly or impliedly) guarantee or warrant the availability, sequence, accuracy, completeness, reliability or any other aspect of any of the below data (Data), or that any Data is up to date. To the extent allowed by law, neither the JSE nor any of its directors, officers, employees, contractors, agents or representatives are liable in any way to the reader or to any other natural or juristic person (Person) for any loss or damage as a result of (i) the display of any Data on this website, or (ii) any Data being unavailable on this website at any time and for any reason, or (iii) any delay, inaccuracy, error, or omission in relation to any Data, or (iv) any actions taken or not taken by or on behalf of any Person in reliance on any Data. The JSE is entitled to terminate the display of any Data at any time, without notice and without liability to any Person.

9 J253- SA Listed Property Daily Movement for September 2013 J863-Real Estate Development & Services Daily Movement for September 2013 FTSE/JSE AFRICA INDEX SERIES J857- Life Insurance Daily Movement for September 2013 J203 - All Share Index Daily Movement for September 2013 OVERALL MARKET AND SECTORAL INFORMATION J258-SA Resources Daily Movement for September 2013 J580 - Financials Daily Movement for September

10 OVERALL MARKET AND SECTORAL INFORMATION FTSE/JSE AFRICA INDEX SERIES MARKET CAPITALISATION BY SECTOR (R MILLION) FOR 30 SEPTEMBER 2013 Sectors Full JSE Market Cap % of Index Constituents Only % of JSE Total All Share Capped All Share Shareholder Weighted All Share Top Capped Top Shareholder Weighted Top Mid Cap Small Cap Fledgling SA Listed Property Capped Property SA Industrials SA Resources Development Capital Venture Capital Alternative Exchange BEE Board Oil & Gas Oil & Gas Producers Basic Materials Chemicals Forestry & Paper Industrial Metals & Mining Mining Coal , Diamonds & Gemstones General Mining Gold Mining Platinum & Precious Metals , Industrials Construction & Materials General Industrials Electronic & Electrical Equipment Industrial Engineering Industrial Transportation Support Services Consumer Goods Automobiles & Parts Beverages Food Producers Household Goods & Home Construction Leisure Goods Personal Goods Tobacco Health Care Health Care Equipment & Services Pharmaceuticals & Biotechnology Consumer Services Food & Drug Retailers General Retailers Media Travel & Leisure Telecommunications Fixed Line Telecommunications Mobile Telecommunications Financials Banks Nonlife Insurance Life Insurance Real Estate Investment & Services Real Estate Investment Trusts Financial Services Technology Software & Computer Services Technology Hardware & Equipment

11 FTSE/JSE AFRICA INDEX SERIES Industry / Economic Group Super Sector Sector Sub Sector Number of Instruments(Million) Dividend Yield Earnings Yield PE Ratio Total JSE Sectors Nr 222, Main Board 183, Oil & Gas Oil & Gas Oil & Gas Prod Basic Materials Chemicals Chemicals Spec. Chemicals Basic Resources Forest & paper Forestry Paper 1, Industr. Metals & Min Aluminium Nom-ferr Metals Iron & Steel 1, Mining Coal 6, Diamonds & Gems 1, Gen Mining 9, Gold 7, Plat & Prec. Met 6, Industrials Construction & Materials Constr & Mat Build Mat & Fix 1, Heavy Contr. 3, Industrial Goods & Services Gen Indust Cont & Pack 1, Div Indust 3, Electro & electr Equip Electr Comp & eq 1, Electro Equipm Industr. Eng Comm Veh & Tru Industr mach Ind Transp Marine Tranp Transp serv 1, Trucking Supp serv Buss Supp Serv 2, Bus Train & empl agen Fin Admin Ind Supp Consumer Goods Automobiles & Parts Aut & Parts Auto parts Food & Beverage Beverage Brewers 1, Dist & Vint 1, Food Prod Farm & Fish 1, Food Prod 1, Personal & Household Goods Housh Goods & Home Const Furnish 1, Leisu Goods Cons. Electro Pers goods Cloth & access 5, Tobacco Tobacco 2, Health Care Health Care Health Equio & ser Healthc Prov 3, Pham & Biotech Pharmac 1, OVERALL MARKET & SECTORAL INFORMATION 11

12 OVERALL MARKET & SECTORAL INFORMATION FTSE/JSE AFRICA INDEX SERIES Industry / Economic Group Super Sector Sector Sub Sector Number of Instruments(Million) Dividend Yield Earnings Yield PE Ratio Consumer Services Retail Media Travel & Leisure Food & drug Ret Drug Ret Food Ret & Whole 1, Gen Retail Appar Retail 1, Broad Retail 1, Home Imp Ret 1, Spec Cons Serv Spec Retail Media Trav & leis Telecommunications Telecommunications Fixed Line Tel Financials Technology Banks Insurance Real Estate Financial Services Broadcast & ent Publishing Airlines Gambling 1, Hotels Rest & Bars Travel & Tour Fixed Line Tel Mobile Telecomm. Mobile Telecom 4, Banks Nonlife Ins Life Ins Banks 10, Prop & Casual Ins Life Ins 9, Real Estate Investment & Serv Real Estate Holding & Dev 5, Real Estate Investment Trusts Industrial & Office REITs 1, Retail REITs 5, Diversified REITs 8, Specialty REITs Fin Services Investment Instruments Equity inv Instr. Technology Asset man 2, Cons Fin Spec Finance 3, Inv serv 2, Equity inv Instr 5, Softw & Comp Serv Comp Serv 4, Tech hardw & eq Comp hardw Venture Capital Market Board Development Capital Market Board Alternative Exchange 38, BEE Board Additional Asset Backed Securities Warrants Warrants 10, Inv. Prod Inv. Prod 8, Debt Corp Debt Corp Debt Pref Shares Pref Shares Exchange Traded Products ETF ETF 2, Exchange Traded Notes Exchange Traded Notes 2, Other Other Sec Other Sec

13 MOVEMENTS BY SECTOR FTSE/JSE AFRICA INDEX SERIES September 2013 Year To date Index Names Date High Date Low Close D/Y E/Y High Low All Share 26 44, ,228 44, ,602 37,718 JSE Socially Responsible Investment 26 19, ,166 18, ,123 16,329 Capped All Share 26 22, ,371 22, ,591 19,116 Shareholder Weighted All Share 26 9, ,966 9, ,541 8,071 Shareholder Weighted Top , ,115 8, ,653 7,161 Capped Top , ,999 20, ,165 17,517 Top , ,848 39, ,994 33,157 Mid Cap 26 58, ,750 57, ,105 51,995 Small Cap 27 48, ,796 48, ,702 40,915 Fledgling 30 5, ,699 5, ,357 5,489 Industrial , ,988 51, ,633 40,403 Financial and Industrial , ,777 53, ,560 43,943 Resource , ,415 49, ,143 41,498 Shariah All Share 26 3, ,728 3, ,890 3,167 RAFI , ,367 8, ,807 7,425 Altx Oil & Gas 09 37, ,616 36, ,366 27,419 Basic Materials 10 27, ,498 26, ,065 22,180 Chemicals 26 23, ,855 23, ,694 16,538 Forestry & Paper 11 28, ,592 27, ,178 17,458 Industrial Metals & Mining 19 25, ,482 24, , Mining 10 31, ,988 30, ,882 24,896 Gold Mining 05 1, ,161 1, ,335 1,123 Platinum & Precious Metals General Mining 10 9, ,577 8, ,325 7,085 Industrials 19 43, ,072 42, ,464 37,678 Construction & Materials General Industrials Electronic & Electrical Equipment 17 23, ,660 22, ,037 19,385 Industrial Engineering 20 81, ,622 80, ,546 72,160 Industrial Transportation Support Services 03 2, ,490 2, ,931 2,180 Consumer Goods 27 54, ,585 54, ,960 40,786 Automobiles & Parts 03 7, ,269 7, ,831 7,079 Beverages Food Producers 26 72, ,633 71, ,450 66,144 Household Goods & Home Construction Personal Goods 23 1, , , Health Care 25 75, ,888 73, ,624 53,802 Health Care Equipment & Services 25 83, ,540 80, ,532 65,784 Pharmaceuticals & Biotechnology 16 28, ,695 27, ,155 17,097 Consumer Services 26 10, ,304 10, ,331 8,896 Food & Drug Retailers 26 8, ,003 8, ,089 7,856 General Retailers 25 65, ,069 63, ,131 54,608 Media Travel & Leisure 16 5, ,407 5, ,766 4,665 Telecommunication 30 9, ,457 9, ,655 8,330 Fixed Line Telecommunications Mobile Telecommunications Financials 27 32, ,067 31, ,500 26,736 Financial , ,339 11, ,198 10,382 Banks 27 56, ,852 54, ,347 45,732 NonLife Insurance 30 51, ,450 47, ,894 42,614 Life Insurance 20 30, ,528 29, ,567 25,578 Real Estate Development & Services 27 1, , , General Financial 13 2, ,807 2, ,942 2,574 Equity Investment Instruments 27 3, ,189 3, ,323 2,611 Technology 27 44, ,025 43, ,099 31,392 Software & Computer Services SA Resources 10 28, ,039 27, ,775 22,692 SA Listed Property Capped Property Property Unit Trust Property Loan Stock 26 1, ,790 1, ,248 1,749 Dividend OVERALL MARKET AND SECTORAL INFORMATION 13

14 OVERALL MARKET AND SECTORAL INFORMATION CONSTITUENTS AS AT MONTH END (R MILLIONS) FTSE/JSE AFRICA INDEX SERIES Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. J200 Top 40 ANG Anglogold Ashanti 100% 51,238 54,073 GFI Gold Fields 100% 34,098 34,190 IMP Impala Platinum Hlds 82% 64,083 78,312 AMS Anglo American Platinum 22% 25, ,633 AGL Anglo American 94% 325, ,432 ARI African Rainbow Minerals Ltd 36% 15,284 42,572 ASR Assore Ltd 24% 14,602 60,841 INL Investec Ltd 86% 16,052 18,665 NED Nedbank Group 39% 40, ,357 SBK Standard Bank Group 75% 144, ,005 BGA Barclays Africa Group Ltd 38% 47, ,958 GRT Growthpoint Prop Ltd 92% 42,897 47,722 CFR Compagnie Financiere Richemont AG 96% 505, ,907 SAB SABMiller 59% 503, ,541 SOL Sasol 85% 262, ,939 TBS Tiger Brands 83% 47,140 57,288 MDC Mediclinic International 50% 30,715 61,426 SHP Shoprite 76% 71,724 94,374 FSR Firstrand Limited 52% 97, ,871 IPL Imperial Holdings 83% 37,991 45,770 BVT Bidvest Group 82% 67,563 82,491 APN Aspen Pharmacare Holdings 60% 71, ,745 RMH RMB Holdings 52% 33,878 65,150 NPN Naspers 94% 362, ,177 MTN MTN Group 95% 350, ,888 BIL BHP Billiton 100% 635, ,494 WHL Woolworths Holdings 87% 53,920 62,771 TRU Truworths International 91% 37,638 41,743 SHF Steinhoff International Holdings 100% 65,428 65,643 SLM Sanlam 90% 88,565 98,406 ITU Intu Properties Plc 70% 35,429 50,613 OML Old Mutual 96% 142, ,947 DSY Discovery Ltd 50% 23,825 47,989 MSM Massmart Holdings 50% 18,102 36,489 REM Remgro 100% 93,335 93,335 EXX Exxaro Resources 36% 21,194 58,910 INP Investec PLC 100% 39,414 39,645 KIO Kumba Iron Ore 18% 26, ,448 MND Mondi Ltd 100% 20,237 20,237 MNP Mondi Plc 100% 62,464 62,464 BTI British American Tobacco PLC 14% 151,940 1,085,550 VOD Vodacom Group 22% 40, ,176 4,822,435 7,272, J211 Industrial 25 CFR Compagnie Financiere Richemont AG 96% 505, ,907 SAB SABMiller 59% 503, ,541 TBS Tiger Brands 83% 47,140 57,288 NPK Nampak 85% 18,400 21,781 MDC Mediclinic International 50% 30,715 61,426 TFG The Foschini Group Ltd 80% 18,744 23,430 PIK Pick N Pay Stores 46% 9,195 19,989 SHP Shoprite 76% 71,724 94,374 MPC Mr Price Group 92% 31,873 34,927 IPL Imperial Holdings 83% 37,991 45,770 BVT Bidvest Group 82% 67,563 82,491 APN Aspen Pharmacare Holdings 60% 71, ,745 NPN Naspers 94% 362, ,177 MTN MTN Group 95% 350, ,888

15 CONSTITUENTS AS AT MONTH END (R MILLIONS) FTSE/JSE AFRICA INDEX SERIES Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. NTC Netcare 100% 35,367 35,403 WHL Woolworths Holdings 87% 53,920 62,771 TRU Truworths International 91% 37,638 41,743 SHF Steinhoff International Holdings 100% 65,428 65,643 MSM Massmart Holdings 50% 18,102 36,489 REM Remgro 100% 93,335 93,335 KIO Kumba Iron Ore 18% 26, ,448 MND Mondi Ltd 100% 20,237 20,237 MNP Mondi Plc 100% 62,464 62,464 BTI British American Tobacco PLC 14% 151,940 1,085,550 VOD Vodacom Group 22% 40, ,176 LHC Life Healthcare Group Holdings 88% 32,779 37,249 2,766,728 4,576,241 J212 Financial 15 INL Investec Ltd 86% 16,052 18,665 NED Nedbank Group 39% 40, ,357 SBK Standard Bank Group 75% 144, ,005 BGA Barclays Africa Group Ltd 38% 47, ,958 MMI MMI Holdings 65% 24,902 38,303 GRT Growthpoint Prop Ltd 92% 42,897 47,722 FSR Firstrand Limited 52% 97, ,871 RMH RMB Holdings 52% 33,878 65,150 SLM Sanlam 90% 88,565 98,406 ITU Intu Properties Plc 70% 35,429 50,613 OML Old Mutual 96% 142, ,947 DSY Discovery Ltd 50% 23,825 47,989 INP Investec PLC 100% 39,414 39,645 REI Reinet Investments 75% 28,509 38,013 CCO Capital & Counties Properties PLC 30% 12,273 41,092 RMI Rand Merchant Insurance Holdings Ltd 47% 18,686 39, ,858 1,286,493 OVERALL MARKET AND SECTORAL INFORMATION J213 Financial and Industrial 30 INL Investec Ltd 86% 16,052 18,665 NED Nedbank Group 39% 40, ,357 SBK Standard Bank Group 75% 144, ,005 BGA Barclays Africa Group Ltd 38% 47, ,958 GRT Growthpoint Prop Ltd 92% 42,897 47,722 CFR Compagnie Financiere Richemont AG 96% 505, ,907 SAB SABMiller 59% 503, ,541 TBS Tiger Brands 83% 47,140 57,288 MDC Mediclinic International 50% 30,715 61,426 SHP Shoprite 76% 71,724 94,374 FSR Firstrand Limited 52% 97, ,871 IPL Imperial Holdings 83% 37,991 45,770 BVT Bidvest Group 82% 67,563 82,491 APN Aspen Pharmacare Holdings 60% 71, ,745 RMH RMB Holdings 52% 33,878 65,150 NPN Naspers 94% 362, ,177 MTN MTN Group 95% 350, ,888 WHL Woolworths Holdings 87% 53,920 62,771 TRU Truworths International 91% 37,638 41,743 SHF Steinhoff International Holdings 100% 65,428 65,643 SLM Sanlam 90% 88,565 98,406 ITU Intu Properties Plc 70% 35,429 50,613 OML Old Mutual 96% 142, ,947 DSY Discovery Ltd 50% 23,825 47,989 REM Remgro 100% 93,335 93,335 INP Investec PLC 100% 39,414 39,645 KIO Kumba Iron Ore 18% 26, ,448 15

16 OVERALL MARKET AND SECTORAL INFORMATION CONSTITUENTS AS AT MONTH END (R MILLIONS) FTSE/JSE AFRICA INDEX SERIES Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. MND Mondi Ltd 100% 20,237 20,237 MNP Mondi Plc 100% 62,464 62,464 BTI British American Tobacco PLC 14% 151,940 1,085,550 VOD Vodacom Group 22% 40, ,176 RMI Rand Merchant Insurance Holdings Ltd 47% 18,686 39,757 3,373,441 5,536,058 J201 Mid Cap 761,306 1,073,556 J202 Small Cap 153, ,795 J203 All Share 5,737,462 8,573,537 J257 SA Industrials 3,147,580 5,096,111 J258 SA Resources 1,517,725 1,835,227 J259 Dividend+ 1,753,644 3,449,590 J537 General Retailers JDG JD Group 50% 3,589 7,178 CMH Combined Motor Hldgs Ltd 30% 438 1,472 CSB Cashbuild Ltd 81% 3,049 3,765 TFG The Foschini Group Ltd 80% 18,744 23,430 MPC Mr Price Group 92% 31,873 34,927 WHL Woolworths Holdings 87% 53,920 62,771 ADH Advtech 88% 2,426 2,759 TRU Truworths International 91% 37,638 41,743 MSM Massmart Holdings 50% 18,102 36,489 LEW Lewis Group 90% 5,766 6,406 HSP Holdsport 60% 1,333 2, , ,163 J835 Banks NED Nedbank Group 39% 40, ,357 SBK Standard Bank Group 75% 144, ,005 BGA Barclays Africa Group Ltd 38% 47, ,958 FSR Firstrand Limited 52% 97, ,871 RMH RMB Holdings 52% 33,878 65,150 CPI Capitec Bank Hldgs Ltd 53% 12,189 23, , ,516 J135 Chemicals AFE AECI 91% 13,946 15,325 OMN Omnia Holdings Ltd 91% 12,361 13,584 AFX African Oxygen 40% 3,021 7,553 29,328 36,462 J153 Platinum & Precious Metals IMP Impala Platinum Hlds 82% 64,083 78,312 NHM Northam Platinum 69% 11,135 16,222 AMS Anglo American Platinum 22% 25, ,633 LON Lonmin PLC 76% 22,414 29,616 AQP Aquarius Platinum 31% 1,261 4,067 RBP Royal Bafokeng Platinum 30% 3,036 10, , , J154 General Mining AGL Anglo American 94% 325, ,432 ARI African Rainbow Minerals Ltd 36% 15,284 42,572 ASR Assore Ltd 24% 14,602 60,841 MRF Merafe Resources 49% 764 1,571 PET Petmin Ltd. 50% 586 1,171 BIL BHP Billiton 100% 635, , ,374 1,088,081

17 CONSTITUENTS AS AT MONTH END (R MILLIONS) FTSE/JSE AFRICA INDEX SERIES Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. J173 Forestry & Paper YRK York Timber Holdings 43% 536 1,245 SAP Sappi 100% 13,562 13,672 MND Mondi Ltd 100% 20,237 20,237 MNP Mondi Plc 100% 62,464 62,464 96,799 97,618 J175 Industrial Metals & Mining PAM Palabora Mining 26% 1,457 5,605 ACL ArcelorMittal South Africa Ltd 36% 5,673 15,757 KIO Kumba Iron Ore 18% 26, ,448 33, ,810 J177 Mining DRD DRD Gold 100% 2,252 2,254 ANG Anglogold Ashanti 100% 51,238 54,073 HAR Harmony 86% 12,970 15,083 GFI Gold Fields 100% 34,098 34,190 IMP Impala Platinum Hlds 82% 64,083 78,312 NHM Northam Platinum 69% 11,135 16,222 AMS Anglo American Platinum 22% 25, ,633 AGL Anglo American 94% 325, ,432 ARI African Rainbow Minerals Ltd 36% 15,284 42,572 ASR Assore Ltd 24% 14,602 60,841 MRF Merafe Resources 49% 764 1,571 LON Lonmin PLC 76% 22,414 29,616 PET Petmin Ltd. 50% 586 1,171 BIL BHP Billiton 100% 635, ,494 EXX Exxaro Resources 36% 21,194 58,910 AQP Aquarius Platinum 31% 1,261 4,067 CZA Coal of Africa 30% 437 1,457 PAN Pan African Resource 84% 4,101 4,930 RBP Royal Bafokeng Platinum 30% 3,036 10,201 SGL Sibanye Gold 100% 9,192 9,259 1,255,663 1,524,288 OVERALL MARKET AND SECTORAL INFORMATION J231 Venture Capital LAB Labat Africa 67% SLO SOUTHERN ELECTRICITY CO 20% 3 14 JDH John Daniel Holdings 44% J232 Alternative Exchange BEG Beige Holdings 20% ISA ISA Holdings 32% ADW African Dawn Capital 66% SVB Silverbridge Holdings 30% 6 21 FWX Foneworx Holdings 36% MNY MoneyWeb Holdings 20% STA Stratcorp 30% 3 11 CMO Chrometco 26% 6 25 OAS Oasis Crescent Property Fund 86% WEA W G Wearne 44% PSV PSV Holdings Ltd. 40% GDN Gooderson Leisure Corp 22% IPS IPSA Group 20% WKF Workforce Holdings 16% ACE ACCENTUATE 70% MSA M&S Holdings Ltd 25% NUT Nutritional Holdings 85% RAR Rare Holding 25%

18 OVERALL MARKET AND SECTORAL INFORMATION CONSTITUENTS AS AT MONTH END (R MILLIONS) FTSE/JSE AFRICA INDEX SERIES Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. AET Alert Steel Holdings 37% FGL Finbond Group Ltd 30% 372 1,240 ANS Ansys 66% IWE INTERWASTE HOLDINGS 41% BWI B&W INSTRUMENTATION AND ELEC 40% HUG Huge Group Ltd 30% ILE IMBALIE BEAUTY LTD 48% RBA RBA Holdings 50% RAC Racec Group Ltd 30% BSS BSI Steel LTD 17% CSP Chemical Specialities 32% VUN Vunani Ltd 30% TCS Total Client Services 62% 5 8 POY Poynting Holdings 16% MSP MAS Real Estate Inc 57% 802 1,408 UBU Ububele Holdings Ltd 50% BCK Blackstar Group 50% MRI Mine Restoration Investments 37% TOR Torre Industrial Holdings 80% ROC Rockcastle Global Real Estate Co Ltd 86% 4,033 4,690 GAM Global Asset Management Ltd 28% ,611 12,863 J235 Construction & Materials MUR Murray & Roberts 92% 11,252 12,230 GRF Group Five/South Africa 69% 3,356 4,907 PPC PPC Ltd 75% 13,712 18,282 WBO Wilson Bayly Holmes-Ovcon 75% 7,920 10,560 AEG Aveng 100% 9,512 9,512 RBX Raubex Group 68% 2,943 4,359 SSK Stefanutti & Bressan Holding 67% 1,091 1,629 49,786 61,480 J255 Property Unit Trust CPL Capital Property Fund 83% 14,112 17,002 FPT Fountainhead Property Trust 55% 5,033 9,151 SYC Sycom Property Fund 49% 3,578 7,303 SAC SA Corporate Real Estate Fund 91% 7,208 7,920 EMI Emira Property Fund 87% 6,414 7,320 36,345 48,696 J256 Property Loan Stock OCT Octodec Investments 65% 1,361 2,094 PMM Premium Properties 57% 1,607 2,819 AWA Arrowhead Properties (A) 100% 1,426 1,426 AWB Arrowhead Properties (B) 100% 1,375 1,375 DLT Delta Property Fund 88% 2,844 3,272 8,613 10,986 18

19 CONSTITUENTS AS AT MONTH END (R MILLIONS) FTSE/JSE AFRICA INDEX SERIES Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. J272 General Industrials BAW Barloworld 91% 20,002 22,043 NPK Nampak 85% 18,400 21,781 BVT Bidvest Group 82% 67,563 82,491 KAP KAP Industrial Holdings Ltd 39% 3,373 8,681 REM Remgro 100% 93,335 93,335 EQS Eqstra Holdings 87% 2,827 3,250 MPT Mpact Ltd 100% 4,393 4, , , Industrial Engineering HDC Hudaco Industries 98% 3,334 3,415 IVT Invicta Holdings 36% 2,600 7,224 BEL Bell Equipment 31% 672 2,186 HWN Howden Africa Holdings 45% 1,213 2,695 MDI Master Drilling Group Limited 31% 483 1,557 8,301 17,077 OVERALL MARKET AND SECTORAL INFORMATION J277 Industrial Transportation GND Grindrod 60% 9,041 14,971 TRE Trencor Ltd 94% 11,472 12,218 IPL Imperial Holdings 83% 37,991 45,770 SPG Super Group 93% 7,141 7,678 65,644 80,638 J279 Support Services ADR Adcorp Holdings 100% 2,984 2,990 MFL Metrofile Holdings 61% 1,295 2,122 4,278 5,112 J335 Automobiles & Parts MTA Metair Investments Ord 58% 2,902 5,034 2,902 5,034 J353 Beverages SAB SABMiller 59% 503, ,541 CVH Capevin Holdings Ltd 65% 4,062 6, , ,790 J357 Food Producers AVI AVI 89% 18,321 20,586 OCE Oceana Group 30% 2,994 10,068 TBS Tiger Brands 83% 47,140 57,288 TON Tongaat Hulett 99% 12,897 13,045 RCL RCL Foods 24% 2,525 10,572 ILV Illovo Sugar 50% 7,300 14,737 AFR Afgri Ltd 89% 2,196 2,478 ARL Astral Foods Ltd 91% 3,674 4,004 PFG Pioneer Food Group 56% 11,273 20,213 CLR Clover Industries Ltd 71% 2,170 3, , ,048 19

20 OVERALL MARKET AND SECTORAL INFORMATION CONSTITUENTS AS AT MONTH END (R MILLIONS) FTSE/JSE AFRICA INDEX SERIES Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. J372 Household Goods & Home Construction SHF Steinhoff International Holdings 100% 65,428 65,643 65,428 65,643 J453 Health Care Equipment & Services MDC Mediclinic International 50% 30,715 61,426 NTC Netcare 100% 35,367 35,403 LHC Life Healthcare Group Holdings 88% 32,779 37,249 98, ,078 J457 Pharmaceuticals & Biotechnology APN Aspen Pharmacare Holdings 60% 71, ,745 LHG Litha Healthcare Group Ltd 30% 449 1,539 AIP Adcock Ingram Holdings 85% 10,152 12,009 82, ,293 J500 Oil & Gas SOL Sasol 85% 262, , , ,939 J533 Food & Drug Retailers PIK Pick N Pay Stores 46% 9,195 19,989 SHP Shoprite 76% 71,724 94,374 CLS Clicks Group Ltd 94% 13,809 14,691 SPP The Spar Group 100% 20,890 20, , ,997 J555 Media KGM Kagiso Media Ltd 49% 1,816 3,715 NPN Naspers 94% 362, ,177 TMG Times Media Group Ltd 84% 2,134 2, , ,432 J575 Travel & Leisure SUI Sun International Ltd 81% 9,031 11,149 CLH City Lodge Hotels 74% 3,852 5,249 FBR Famous Brands 62% 6,153 9,924 SUR Spur Corp 85% 2,572 3,026 21,608 29,348 J653 Fixed Line Telecommunications TKG Telkom SA SOC 59% 7,570 12,723 7,570 12,723 J657 Mobile Telecommunications MTN MTN Group 95% 350, ,888 BLU Blue Label Telecoms Ltd. 55% 2,968 5,396 VOD Vodacom Group 22% 40, , , ,460 J853 Nonlife Insurance SNT Santam 29% 6,432 22,318 6,432 22,318 20

21 CONSTITUENTS AS AT MONTH END (R MILLIONS) FTSE/JSE AFRICA INDEX SERIES Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. J857 Life Insurance LBH Liberty Hldgs. 36% 12,046 33,486 MMI MMI Holdings 65% 24,902 38,303 SLM Sanlam 90% 88,565 98,406 OML Old Mutual 96% 142, ,947 DSY Discovery Ltd 50% 23,825 47, , ,131 J863 Real Estate Development & Services OCT Octodec Investments 65% 1,361 2,094 PMM Premium Properties 57% 1,607 2,819 NEP New Europe Property Investment Plc 52% 7,106 14,645 CCO Capital & Counties Properties PLC 30% 12,273 41,092 RIN Redefine Properties International 46% 2,320 5,203 AWA Arrowhead Properties (A) 100% 1,426 1,426 AWB Arrowhead Properties (B) 100% 1,375 1,375 DLT Delta Property Fund 88% 2,844 3,272 30,311 71,925 OVERALL MARKET AND SECTORAL INFORMATION J867 Real Estate Investment Trusts GRT Growthpoint Prop Ltd 92% 42,897 47,722 HYP Hyprop Investments Ltd 86% 15,336 17,832 CPL Capital Property Fund 83% 14,112 17,002 FPT Fountainhead Property Trust 55% 5,033 9,151 SYC Sycom Property Fund 49% 3,578 7,303 SAC SA Corporate Real Estate Fund 91% 7,208 7,920 ITU Intu Properties Plc 70% 35,429 50,613 RDF Redefine Properties 98% 28,049 28,622 ACP Acucap Properties Limited 87% 7,099 8,232 RES Resilient Prop Inc Fd 79% 12,288 15,554 EMI Emira Property Fund 87% 6,414 7,320 VKE Vukile Property Fund 93% 7,042 7,639 HPA Hospitality Property A 89% 2,028 2,278 HPB Hospitality Property B 86% FFA Fortress Income Fund Ltd. (A) 68% 3,092 4,911 IPF Investec Property Fund ltd 46% 2,284 4,964 REB Rebosis Property Fund 88% 3,600 4, , ,046 J877 General Financial INL Investec Ltd 86% 16,052 18,665 BAT Brait SE 63% 13,861 21,958 ABL African Bank Invest 84% 11,444 13,624 PGR Peregrine Holdings 67% 1,773 2,647 INP Investec PLC 100% 39,414 39,645 CML Coronation Fund Managers 80% 19,197 23,996 JSE JSE 100% 7,471 7,471 ZED Zeder Investments 58% 2,541 4,391 GPL Grand Parade Investments Ltd 65% 1,200 1,838 TCP Transaction Capital 26% 1,064 4, , ,320 21

22 OVERALL MARKET AND SECTORAL INFORMATION CONSTITUENTS AS AT MONTH END (R MILLIONS) FTSE/JSE AFRICA INDEX SERIES Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. J898 Equity Investment Instruments HCI Hosken Cons Invest 44% 7,335 16,671 BRN Brimstone Investment Corp N 39% 1,419 3,647 PGL Pallinghurst Resources 87% 1,614 1,856 REI Reinet Investments 75% 28,509 38,013 RMI Rand Merchant Insurance Holdings Ltd 47% 18,686 39,757 57,563 99,943 J953 Software & Computer Services DTC Datatec 92% 10,715 11,692 EOH EOH Holdings Ltd. 88% 6,873 7,810 BCX Business Connexion Group 89% 1,892 2,126 19,480 21,628 22

23 MARKET STATISTICS Instrument Call or Put Style Type Issuer Underlying Expiry Date Cover Strike Price per or note Security/Bond Ratio Share (cents) ABLSBA C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ABL 05/11/ ,300 ABLSBB C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ABL 07/01/ ,500 ABLSBC C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ABL 07/01/ ,000 ABLSBD C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ABL 04/03/ ,750 AGLSBA C American Vanilla STANDARD BANK OF SOUTH AFRICA LD AGL 04/02/ ,500 AGLSBB C American Vanilla STANDARD BANK OF SOUTH AFRICA LD AGL 02/04/ ,000 AGLSBO C American Vanilla STANDARD BANK OF SOUTH AFRICA LD AGL 03/12/ ,000 AGLSBS P European Vanilla STANDARD BANK OF SOUTH AFRICA LD AGL 07/01/ ,000 AGLSBT P European Vanilla STANDARD BANK OF SOUTH AFRICA LD AGL 04/03/ ,000 AMSSBE C American Vanilla STANDARD BANK OF SOUTH AFRICA LD AMS 02/10/ ,000 AMSSBF C American Vanilla STANDARD BANK OF SOUTH AFRICA LD AMS 03/12/ ,000 AMSSBG C American Vanilla STANDARD BANK OF SOUTH AFRICA LD AMS 07/01/ ,000 ANGSBD C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ANG 02/10/ ,000 ANGSBE C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ANG 02/10/ ,000 ANGSBF C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ANG 03/12/ ,000 ANGSBG C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ANG 03/12/ ,500 ANGSBH C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ANG 07/01/ ,000 ANGSBI C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ANG 04/02/ ,500 ANGSBP P European Vanilla STANDARD BANK OF SOUTH AFRICA LD ANG 04/03/ ,500 ASASBI C American Vanilla STANDARD BANK OF SOUTH AFRICA LD BGA 05/11/ ,000 ASASBJ C American Vanilla STANDARD BANK OF SOUTH AFRICA LD BGA 07/01/ ,000 ASASBT P European Vanilla STANDARD BANK OF SOUTH AFRICA LD BGA 07/01/ ,000 BGASBA C American Vanilla STANDARD BANK OF SOUTH AFRICA LD BGA 04/03/ ,000 BILSBE C American Vanilla STANDARD BANK OF SOUTH AFRICA LD BIL 03/12/ ,500 BILSBF C American Vanilla STANDARD BANK OF SOUTH AFRICA LD BIL 02/04/ ,000 BILSBP P European Vanilla STANDARD BANK OF SOUTH AFRICA LD BIL 04/02/ ,000 BILSBZ P European Vanilla STANDARD BANK OF SOUTH AFRICA LD BIL 07/01/ ,500 CFRSBG C American Vanilla STANDARD BANK OF SOUTH AFRICA LD CFR 07/01/ ,800 CFRSBH C American Vanilla STANDARD BANK OF SOUTH AFRICA LD CFR 04/02/ ,000 CFRSBQ P European Vanilla STANDARD BANK OF SOUTH AFRICA LD CFR 03/12/ ,650 CFRSBR P European Vanilla STANDARD BANK OF SOUTH AFRICA LD CFR 04/02/ ,800 ESPIBA P European Index INVESTEC BANK LTD TOPI 27/10/ ,068 EXXSBG C American Vanilla STANDARD BANK OF SOUTH AFRICA LD EXX 05/11/ ,500 EXXSBH C American Vanilla STANDARD BANK OF SOUTH AFRICA LD EXX 07/01/ ,000 EXXSBI C American Vanilla STANDARD BANK OF SOUTH AFRICA LD EXX 02/04/ ,500 FSRSBM C American Vanilla STANDARD BANK OF SOUTH AFRICA LD FSR 07/01/ ,300 FSRSBN C American Vanilla STANDARD BANK OF SOUTH AFRICA LD FSR 04/02/ ,950 FSRSBY P European Vanilla STANDARD BANK OF SOUTH AFRICA LD FSR 07/01/ ,000 GFISBA C American Vanilla STANDARD BANK OF SOUTH AFRICA LD GFI 03/12/ ,000 GFISBB C American Vanilla STANDARD BANK OF SOUTH AFRICA LD GFI 03/12/ ,600 GFISBC C American Vanilla STANDARD BANK OF SOUTH AFRICA LD GFI 07/01/ ,000 GFISBD C American Vanilla STANDARD BANK OF SOUTH AFRICA LD GFI 02/04/ ,200 GFISBO C American Vanilla STANDARD BANK OF SOUTH AFRICA LD GFI 02/10/ ,500 GFISBP P European Vanilla STANDARD BANK OF SOUTH AFRICA LD GFI 04/02/ ,800 GLDSBD C American Vanilla STANDARD BANK OF SOUTH AFRICA LD GLD 03/12/ ,000 GRTIVC C European Vanilla INVESTEC BANK LTD GRT 24/07/ GRTIVC C European Vanilla INVESTEC BANK LTD GRT 24/07/ ,226 GRTIVC C European Vanilla INVESTEC BANK LTD GRT 24/07/ ,502 GRTIVE C European Vanilla INVESTEC BANK LTD GRT 15/03/ ,850 GRTSBA C American Vanilla STANDARD BANK OF SOUTH AFRICA LD GRT 04/02/ ,600 HARSBA C American Vanilla STANDARD BANK OF SOUTH AFRICA LD HAR 03/12/ ,000 HARSBB C American Vanilla STANDARD BANK OF SOUTH AFRICA LD HAR 07/01/ ,500 HARSBC C American Vanilla STANDARD BANK OF SOUTH AFRICA LD HAR 07/01/ ,900 HARSBN C American Vanilla STANDARD BANK OF SOUTH AFRICA LD HAR 02/10/ ,500 WARRANTS INFORMATION 23

24 WARRANTS INFORMATION 24 MARKET STATISTICS Instrument Call or Put Style Type Issuer Underlying Expiry Date Cover Strike Price per or note Security/Bond Ratio Share (cents) HARSBO C American Vanilla STANDARD BANK OF SOUTH AFRICA LD HAR 03/12/ ,000 HARSBP P European Vanilla STANDARD BANK OF SOUTH AFRICA LD HAR 04/02/ ,800 HYPIVC C European Vanilla INVESTEC BANK LTD HYP 24/07/ ,771 HYPIVC C European Vanilla INVESTEC BANK LTD HYP 24/07/ ,771 HYPIVC C European Vanilla INVESTEC BANK LTD HYP 24/07/ ,937 HYPIVC C European Vanilla INVESTEC BANK LTD HYP 24/07/ ,975 IMPSBE C American Vanilla STANDARD BANK OF SOUTH AFRICA LD IMP 02/10/ ,000 IMPSBF C American Vanilla STANDARD BANK OF SOUTH AFRICA LD IMP 03/12/ ,500 IMPSBG C American Vanilla STANDARD BANK OF SOUTH AFRICA LD IMP 07/01/ ,500 IMPSBH C American Vanilla STANDARD BANK OF SOUTH AFRICA LD IMP 02/04/ ,500 IMPSBR P European Vanilla STANDARD BANK OF SOUTH AFRICA LD IMP 07/01/ ,500 IPFIVA C European Vanilla INVESTEC BANK LTD IPF 19/07/ IPFIVA C European Vanilla INVESTEC BANK LTD IPF 19/07/ IPFIVA C European Vanilla INVESTEC BANK LTD IPF 19/07/ IPFIVA C European Vanilla INVESTEC BANK LTD IPF 19/07/ KIOSBF C American Vanilla STANDARD BANK OF SOUTH AFRICA LD KIO 05/11/ ,500 KIOSBG C American Vanilla STANDARD BANK OF SOUTH AFRICA LD KIO 07/01/ ,000 KIOSBH C American Vanilla STANDARD BANK OF SOUTH AFRICA LD KIO 04/03/ ,000 MPCSBA C American Vanilla STANDARD BANK OF SOUTH AFRICA LD MPC 02/10/ ,000 MPCSBB C American Vanilla STANDARD BANK OF SOUTH AFRICA LD MPC 04/03/ ,000 MPCSBP P European Vanilla STANDARD BANK OF SOUTH AFRICA LD MPC 07/01/ ,500 MTNSBB C American Vanilla STANDARD BANK OF SOUTH AFRICA LD MTN 03/12/ ,500 MTNSBC C American Vanilla STANDARD BANK OF SOUTH AFRICA LD MTN 04/03/ ,000 MTNSBP P European Vanilla STANDARD BANK OF SOUTH AFRICA LD MTN 04/03/ ,500 MTNSBZ P European Vanilla STANDARD BANK OF SOUTH AFRICA LD MTN 07/01/ ,500 NEDSBI C American Vanilla STANDARD BANK OF SOUTH AFRICA LD NED 03/12/ ,000 NEDSBJ C American Vanilla STANDARD BANK OF SOUTH AFRICA LD NED 04/03/ ,000 NPNSBH C American Vanilla STANDARD BANK OF SOUTH AFRICA LD NPN 07/01/ ,000 NPNSBI C American Vanilla STANDARD BANK OF SOUTH AFRICA LD NPN 04/02/ ,000 NPNSBJ C American Vanilla STANDARD BANK OF SOUTH AFRICA LD NPN 04/03/ ,000 NPNSBT P European Vanilla STANDARD BANK OF SOUTH AFRICA LD NPN 07/01/ ,500 NPNSBU P European Vanilla STANDARD BANK OF SOUTH AFRICA LD NPN 04/02/ ,500 NPNSBV P European Vanilla STANDARD BANK OF SOUTH AFRICA LD NPN 04/03/ ,000 OMLSBI C American Vanilla STANDARD BANK OF SOUTH AFRICA LD OML 05/11/ ,000 OMLSBJ C American Vanilla STANDARD BANK OF SOUTH AFRICA LD OML 04/02/ ,900 OMLSBP P European Vanilla STANDARD BANK OF SOUTH AFRICA LD OML 04/02/ ,850 PLASBA C American Vanilla STANDARD BANK OF SOUTH AFRICA LD NGPLT 07/01/ ,500 RDFIVD C European Vanilla INVESTEC BANK LTD RDF 21/05/ RDFSBA C American Vanilla STANDARD BANK OF SOUTH AFRICA LD RDF 04/02/ ,000 SBKSBE C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SBK 07/01/ ,000 SGLSBA C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SGL 05/11/ ,350 SGLSBB C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SGL 03/12/ ,000 SGLSBC C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SGL 07/01/ SGLSBD C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SGL 02/04/ ,100 SHPSBA C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SHP 02/10/ ,000 SHPSBB C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SHP 04/02/ ,000 SHPSBC C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SHP 04/03/ ,500 SHPSBX P European Vanilla STANDARD BANK OF SOUTH AFRICA LD SHP 07/01/ ,500 SOLSBF C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SOL 07/01/ ,000 SOLSBG C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SOL 04/02/ ,000 SOLSBH C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SOL 04/03/ ,000 SOLSBT P European Vanilla STANDARD BANK OF SOUTH AFRICA LD SOL 05/11/ ,000 SOLSBU P European Vanilla STANDARD BANK OF SOUTH AFRICA LD SOL 04/03/ ,000 SYCIVC C European Vanilla INVESTEC BANK LTD SYC 24/07/

25 MARKET STATISTICS Instrument Call or Put Style Type Issuer Underlying Expiry Date Cover Strike Price per or note Security/Bond Ratio Share (cents) SYCIVC C European Vanilla INVESTEC BANK LTD SYC 24/07/ SYCIVC C European Vanilla INVESTEC BANK LTD SYC 24/07/ SYCIVC C European Vanilla INVESTEC BANK LTD SYC 24/07/ SYCVIC C European Vanilla INVESTEC BANK LTD SYC 24/07/ TFGSBA C American Vanilla STANDARD BANK OF SOUTH AFRICA LD TFG 02/10/ ,000 TFGSBB C American Vanilla STANDARD BANK OF SOUTH AFRICA LD TFG 02/10/ ,000 TFGSBC C American Vanilla STANDARD BANK OF SOUTH AFRICA LD TFG 04/02/ ,500 TOPSBD C European Index STANDARD BANK OF SOUTH AFRICA LD TOPI 07/01/ ,000 TOPSBI C European Index STANDARD BANK OF SOUTH AFRICA LD TOPI 07/05/ ,000 TOPSBS P European Index STANDARD BANK OF SOUTH AFRICA LD TOPI 07/01/ ,500 TOPSBT P European Index STANDARD BANK OF SOUTH AFRICA LD TOPI 04/02/ ,000 TOPSBZ P European Index STANDARD BANK OF SOUTH AFRICA LD TOPI 07/05/ ,000 VODSBA C American Vanilla STANDARD BANK OF SOUTH AFRICA LD VOD 07/01/ ,500 VODSBB C American Vanilla STANDARD BANK OF SOUTH AFRICA LD VOD 02/04/ ,500 WHLSBA C American Vanilla STANDARD BANK OF SOUTH AFRICA LD WHL 02/10/ ,000 WHLSBB C American Vanilla STANDARD BANK OF SOUTH AFRICA LD WHL 04/02/ ,400 WHLSBP P European Vanilla STANDARD BANK OF SOUTH AFRICA LD WHL 07/01/ ,250 WARRANTS INFORMATION KEY NOTES DB IB SB NB AB Deutsche Bank Investec Bank Standard Bank of S. A. Ltd Nedbank Group Limited ABSA Group SE INDEX TOPI Single Equity Issues Index Warrants Top 40 Index 25

26 2010 PAYMENTS 2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR SEPTEMBER 2013 TRADING STATISTICS 2013 TO SEPTEMBER TRADING STATISTICS 2012 SECURITIES INFORMATION ISSUED NATURE OF SHARES PAY PAY OTHER HIGH HIGH LOW LOW CLOSE DAYS VOLUME VALUE HIGH LOW VOLUME VALUE HIGH LOW SECURITY BUSINESS (000 S) DIV CAP DIV CAP DIV CAP DIV AMT DATE DIV AMT DATE PAY VOLUME PRICE DATE PRICE DATE PRICE DEALS TRADE VALUE (000 s) (R000 s) PRICE PRICE (000 s) (R000 s) PRICE PRICE SHARE CODE 1time Holdings Ltd 1TM Airlines 280, ,460 35, ABSA Bank Ltd Pref ABSP Pref Shares 4,945 6, , , F /04I /09 122,808 84, , , ,149, ,059 93,500 77,000 1, ,980 93,000 85,399 Accentuate Limited ACE Build Mat & Fix 111, , ,822 2,998 2, ,854 3, Acucap Properties Ltd ACP Diversified REITs 183, IT 08/ ,805,234 4, , ,486 6, ,890,237 60,576 2,816,176 5,805 3,980 45,274 1,945,334 5,050 3,780 Adaptit Holdings Limited ADI Comp Serv 111, F /09 3,610, ,677,690 22,367 58, ,746 12, Adcock Ingram Hldgs Ltd AIP Pharmac 175, F /01 I /07 8,507,055 6, , ,855 5, ,674, ,912 8,613,634 7,200 5, ,370 6,797,962 6,630 5,100 Adcorp Holdings Limited ADR Bus Train & empl agen 91, F 68 02/09 2,980,124 3, , ,250 1, ,287,092 22, ,198 3,800 2,634 28, ,031 3,299 2,500 Adrenna Property Grp Ltd ANA Real Estate Holding & Dev 55,915 94, ,313 1, , ADvTECH Ltd ADH Spec Cons Serv 421, F /04 I /09 8,369, , ,057,640 79, , , , AECI Limited AFE Spec. Chemicals 128, F /04 I /09 1,653,395 12, , ,950 6, ,770,829 34,762 3,613,281 12,650 7,901 38,793 3,229,110 9,980 7,294 AECI Limited 5,5% Pref AFEP Pref Shares 3, I / , , , , ,749 1, Afgri Limited AFR Farm & Fish 375, I /04 13,319, , ,999,186 69, , , , Africa Cellular Towers ATR Telecom equip 370, , African & Over Ent Ltd AOO Appar Retail 1, , ,600 1, ,750 1,550 African & Over Ent Ltd -N AON Appar Retail 10, , , , ,829 1,900 1,600 African & Over Ent Ltd P AOVP Appar Retail I 54 07/01 I 6 07/01 1, ,150 1, F 6 24/06 African Bank Inv Ltd ABL Cons Fin 815, SC 18/ ,431,296 1, , ,670 21, ,117,898,329 1,328,181 28,900,366 3,319 1,252 1,167,133 40,116,677 4,065 2,825 African Bank Inv Ltd Pref ABLP Pref Shares 13, I /06 199,136 6, , , ,916,912 3, ,385 7,500 6,100 3, ,263 9,000 7,340 African Dawn Capital Ltd ADW Cons Fin 508,184 15,035, ,081, ,377 9, ,799 32, African Eagle Res plc AEA Nom-ferr Metals 694,014 2,814, ,000 11,365 1, ,071 1, African Media Ent Ltd AME Broadcast & ent 8, F /07 11,393 7, , , , ,413 7,600 5,406 2, ,227 6,000 4,501 African Oxygen Limited AFX Spec. Chemicals 342, F /04 2,172,266 2, , , ,965,926 37, ,667 2,680 1,798 46, ,409 2,470 1,600 African Rainbow Min Ltd ARI Gen Mining 216, F /09 7,957,551 20, , ,701 28, ,559,869,900 84,799 15,445,037 20,884 14, ,510 17,405,453 19,780 13,902 Afrimat Limited AFT Build Mat & Fix 143, F 17 03/06 1,955,167 1, , , ,406,511 20, ,434 1, , , AfroCentric Inv Corp Ltd ACT Healthc Prov 270, ,428, ,678,657 19,857 90, ,319 97, AfroCentric Inv Corp Pf ACTP Healthc Prov 16, ,310 1, , , , ,943 1,700 1,360 1,783 18,687 1, AH-Vest Limited AHL Food Prod 101, , , Alert Steel Holdings Ltd AET Home Imp Ret 52,000 F /01 265, ,418 3,053 4, ,545 9, Alex Forbes Eq Hldgs Ltd AFP Other Sec 236, IT 07/ ,206,736 1, , , ,506,199 33, ,238 1,650 1,150 56, ,588 1, IT 24/ Alliance Mining Corp Ltd ALM Software 108,512 Allied Elec Corp Pref ATNP Electr Comp & eq 249, F 51 01/07 8,380,149 2, , ,275 1, ,761,205 65,070 1,337,208 2,350 1,800 66,635 1,508,974 2,510 2,048 Allied Electronics Corp ATN Electr Comp & eq 105, F 51 01/07 692,754 2, , , ,642,926 6, ,140 2,500 1,526 12, ,602 2,585 2,069 Amalgamated Elec Corp Ltd AER Electro Equipm 77, F /07 153, ,082 3,586 7, ,845 8, Andulela Inv Hldgs Ltd AND Equity inv Instr 87,645 3, , , Anglo American Plat Ltd AMS Plat & Prec. Met 269,682 1, ,134,364 46, , ,619 45, ,896,951,754 84,652 31,589,264 50,899 27,318 73,179 34,382,402 59,850 35,874 Anglo American plc AGL Gen Mining 1,405, F /04 I /09 58,261,772 25, , ,649 68, ,568,825, , ,528,164 29,145 18, , ,144,609 35,005 23,076 Anglogold Ashanti Ltd ANG Gold 402, F /03 I /06 37,463,636 14, , ,442 64, ,986,880, ,569 61,601,863 27,048 11, ,597 99,050,502 36,500 25,199 Annuity Properties Ltd ANP Diversified REITs 232, I /07 IT 01/ , ,392,651 13,756 77, ,002 53, Ansys Limited ANS Electro Equipm 164,867 3,815, ,038,982 18,400 3, ,669 10, Aquarius Platinum Ltd AQP Plat & Prec. Met 472, ,509, , ,553, , ,608 1, ,481 1,543,454 2, ARB Holdings Limited ARH Electr Comp & eq 235, F /09 IS 09/ , ,647,686 11,199 53, ,899 73, ArcelorMittal SA Limited ACL Iron & Steel 445, ,401,771 3, , ,535 7, ,346, ,016 3,468,722 3,991 2, ,068 6,186,876 7,065 2,517 Ardor SA Ltd ARD Real Estate Holding & Dev 2,037 Argent Industrial Ltd ART Div Indust 96, , ,282,951 18, , , , Arrowhead Properties A AWA Real Estate Holding & Dev 206, IT 11/ ,925, , ,533,279 92, , , , IT 03/06 15 IT 09/09 15 Arrowhead Properties B AWB Real Estate Holding & Dev 206, IT 11/ ,533, , ,371,476 54, , , , IT 03/ IT 09/ Ascension Properties Ltd A AIA Diversified REITs 285, IT 04/ ,362, ,919,897 79, , ,417 50, IT 16/09 19 Ascension Properties Ltd B AIB Diversified REITs 376, IT 04/ ,491, ,402,936 45, , ,622 64, IT 16/ Aspen Pharmacare Hldgs Ltd APN Pharmac 455, ,417,243 27, , ,275 51, ,800,199, ,921 45,275,910 27,506 15, ,772 31,937,876 17,029 9,574 Assore Ltd ASR Gen Mining 139,607 1, I /03 F /09 1,663,265 43, , ,580 17, ,301,014 20,591 7,324,415 44,900 27,195 30,317 8,892,148 41,995 20,505 Astral Foods Ltd ARL Farm & Fish 42, F /01 1,063,060 9, , ,500 1, ,287,996 17,379 1,604,322 10,800 8,460 25,674 2,933,033 13,298 9,258 Astrapak Limited APK Cont & Pack 135, ,292, ,070,647 41, , , , Astrapak Limited Pref APKP Pref Shares 1, F /04 IS 22/ ,023 8, , , ,910, ,632 8,590 7, ,960 9,200 8,210 Atlatsa Resources Corp ATL Plat & Prec. Met 201, , ,530 8,577 20, ,940 15, Austro Group Ltd ASO Industr mach 395, ,262, ,675, ,470 99, ,689 14, Aveng Group Limited AEG Heavy Contr. 389, ,782,963 2, , ,440 9, ,145, ,247 8,426,291 3,834 2, ,097 11,350,733 4,276 2,560 AVI Ltd AVI Food Prod 343, I /04 15,364,222 6, , ,985 16, ,043, ,077 10,393,609 6,200 5, ,620 14,999,579 6,338 3,843 Awethu Breweries Ltd AWT Brewers 84, , ,324 6, , B&W Instrument & Elec Ld BWI Heavy Contr. 212, ,183, ,050 14,340 5, ,678 7, Barclays Africa Grp Ltd BGA Banks 847, F /04 I /09 28,318,804 14, , ,740 45, ,046,825, ,617 50,575,329 17,315 13, ,047 64,231,404 16,620 13,220 Barloworld Ltd BAW Div Indust 231, F /01 I /06 11,598,770 10, , ,538 14, ,095,337, ,959 14,235,744 10,190 7, ,295 23,116,376 10,492 6,700 Barworld Ltd 6%Pref BAWP Pref Shares I / Basil Read Holdings Ltd BSR Heavy Contr. 131, IS 24/ ,224, ,361,574 32, ,816 1, , ,794 1, Bauba Platinum Limited BAU Plat & Prec. Met 123,274 2,105, ,646,520 6,973 6, ,369 6, BEE - Sasol Limited SOLBE1 Int. Oil & Gas 2,839 1, , I /04 8,752 37, , , ,173, ,276 37,500 28, ,536 29,502 24,501 Beige Holdings Limited BEG Pers Products 1,631, , ,671 29,483 1, ,759 10, Bell Equipment Ltd BEL Comm Veh & Tru 95,031 F 34 15/04 264,922 2, , , ,508,305 6, ,790 2,950 2,000 7, ,821 2,650 1,590 BettaBeta CIS BGreen BGREEN Exchange Traded Funds 7, I /01 F /04 18,693 1, , , , ,615 1,766 1,477 1,675 25,716 1,681 1,410 I /07 BettaBeta Eq Wted Top 40 BBET40 Exchange Traded Funds 3, I /01 F /04IT 22/ ,023 4, , , ,233,045 1,363 57,277 4,790 3, ,908 4,317 3,495 I /07 BHP Billiton plc BIL Gen Mining 2,136, I /03F /09 43,621,467 30, , ,749 51, ,089,766, , ,158,115 31,377 24, , ,079,867 30,138 21,921 Bidvest Ltd BVT Div Indust 327, I /04 F /09 15,863,857 26, , ,170 45, ,060,588, ,758 42,374,057 26,640 21, ,523 39,476,862 21,994 15,407 Bioscience Brands Ltd BIO Food Prod 2,911, , , BK One Limited Pref BK1P Pref Shares 20,102 10, , ,689 16,903 1, Blackstar Group SE BCK Equity inv Instr 82, F /06 925,028 1, , , ,565,753 10, ,707 1,200 1,082 34, ,903 1, Blue Financial Services BFS Cons Fin 8,229, ,104 6, ,314 33, Blue Label Telecoms Ltd BLU Mobile Telecom 674, F /09 16,210, , ,491, ,113 1,157, ,319 1,344, BNP Paribas Arbitrage01 ZA001 Exchange Traded Notes 20 BNP Paribas Arbitrage02 ZA002 Exchange Traded Notes 500,000 BNP Paribas Arbitrage03 ZA003 Exchange Traded Notes 20 BNP Paribas Arbitrage07 ZA007 Exchange Traded Notes 500,000 3,317 3, BNP Paribas Arbitrage08 ZA008 Exchange Traded Notes 5 SECURITIES INFORMATION DIVIDEND FOOTNOTES F = Final dividend (current year) I = Interim dividend + = See Company Information Totals for shares traded, value and deals for Current month and Range for 2006 may vary due to correction trades Closing price but no high/low for month indicates last price in preceeding month Buyers/sellers price given as closing price, but no high low indicates either (a) no sales in current month, but no buyers and sellers prices, Or (b) Historical buyers and sellers prices only

27 2010 PAYMENTS 2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR SEPTEMBER 2013 TRADING STATISTICS 2013 TO SEPTEMBER TRADING STATISTICS 2012 SECURITIES INFORMATION ISSUED NATURE OF SHARES PAY PAY OTHER HIGH HIGH LOW LOW CLOSE DAYS VOLUME VALUE HIGH LOW VOLUME VALUE HIGH LOW SECURITY BUSINESS (000 S) DIV CAP DIV CAP DIV CAP DIV AMT DATE DIV AMT DATE PAY VOLUME PRICE DATE PRICE DATE PRICE DEALS TRADE VALUE (000 s) (R000 s) PRICE PRICE (000 s) (R000 s) PRICE PRICE SHARE CODE BNP Paribas Arbitrage09 ZA009 Exchange Traded Notes 50,000 BNP Paribas Arbitrage10 ZA010 Exchange Traded Notes 50,000 BNP Paribas Arbitrage12 ZA012 Exchange Traded Notes 75,000 BNP Paribas Arbitrage13 ZA013 Exchange Traded Notes 50,000 BNP Paribas Arbitrage14 ZA014 Exchange Traded Notes 150,000 BNP Paribas Arbitrage15 ZA015 Exchange Traded Notes 20,000 BNP Paribas Arbitrage16 ZA016 Exchange Traded Notes 25,000 BNP Paribas Arbitrage17 ZA017 Exchange Traded Notes 20,000 BNP Paribas Arbitrage18 ZA018 Exchange Traded Notes 20,000 BNP Paribas Arbitrage20 ZA020 Exchange Traded Notes 25,000 BNP Paribas Arbitrage21 ZA021 Exchange Traded Notes 10,000 BNP Paribas Arbitrage22 ZA022 Exchange Traded Notes 15,000 BNP Paribas Arbitrage23 ZA023 Exchange Traded Notes 10,000 BNP Paribas Arbitrage24 ZA024 Exchange Traded Notes 10,000 BNP Paribas Arbitrage25 ZA025 Exchange Traded Notes 10, BNP Paribas Arbitrage26 ZA026 Exchange Traded Notes 10,000 BNP Paribas Arbitrage27 ZA027 Exchange Traded Notes 10,000 BNP Paribas Arbitrage28 ZA028 Exchange Traded Notes 100,000 BNP Paribas Arbitrage29 ZA029 Exchange Traded Notes 60, , BNP Paribas Arbitrage30 ZA030 Exchange Traded Notes 40,000 BNP Paribas Arbitrage31 ZA031 Exchange Traded Notes 50, BNP Paribas Arbitrage32 ZA032 Exchange Traded Notes 40, ,412 1,412 BNP Paribas Arbitrage33 ZA033 Exchange Traded Notes 20,000 BNP Paribas Arbitrage34 ZA034 Exchange Traded Notes 20,000 BNP Paribas Arbitrage35 ZA035 Exchange Traded Notes 30,000 BNP Paribas Arbitrage36 ZA036 Exchange Traded Notes 15,000 Bonatla Property Hldgs BNT Real Estate Holding & Dev 508,102 Bowler Metcalf Ltd BCF Cont & Pack 88, I /04 787, ,406,697 10,093 80, , , Brait SE BAT Inv serv 513, SC 05/ ,310,464 4, , ,275 5, ,458,115 95,185 3,440,959 4,494 3, ,887 3,954,204 3,899 1,964 BRAIT SE Pref BATP Pref Shares 20, F /06 137,472 10, , , ,176,466 1, ,721 11,425 9, ,426 11,399 10,250 Brian Porter Ld 5,5%Pref POTP Pref Shares Brikor Ltd BIK Build Mat & Fix 645, , , Brimstone Inv Corp Ltd BRT Equity inv Instr 46, F 25 22/04 316,460 1, , , ,163,923 7,467 96,609 1,500 1,100 8,680 78,204 1, Brimstone Inv Corp Ltd-N BRN Equity inv Instr 267, F 25 22/04 503,688 1, , , ,785,441 11, ,288 1,400 1,110 42, ,671 1, British American Tob plc BTI Tobacco 2,026,452 1, , , F /05 I /09 17,975,134 54, , ,569 35, ,447,832, ,324 93,865,815 57,075 42, , ,019,354 47,592 35,366 BSI Steel Limited BSS Iron & Steel 719, , ,791 18,371 10, ,042 19, Buildmax Ltd BDM Coal 181, ,150, ,240,710 12,300 29, ,367 68, Business Connexion Grp A BCA Comp Serv 100,133 34, ,172 5,170 3, ,006 3, Business Connexion Grp Ltd BCX Comp Serv 404, F /01 1,849, ,627,007 69, , , , Cadiz Hldgs Ltd CDZ Inv serv 252, F /07 785, ,662 20,258 26, , , Cafca Limited CAC Electr Comp & eq 30, , Calgro M3 Hldgs Ltd CGR Heavy Contr. 127,100 1,449, ,972,578 38, , , , Capevin Holdings Ltd CVH Dist & Vint 880, I /04 F /09 16,161, ,918, ,145 1,696, , , Capital Property Fund CPL Industrial & Office REITs 1,606, IT 25/ ,660,745 1, ,058 10, ,173, ,409 4,852,944 1, ,068 4,637,455 1, IT 26/ Capital&Counties Prop plc CCO Real Estate Holding & Dev 756, SC 20/ ,216,785 5, , ,432 5, ,601,144 96,043 4,355,063 5,566 3, ,465 3,607,908 3,600 2,109 SC 25/ Capitec Bank Hldgs Ltd CPI Banks 115, F /04 1,292,904 20, , ,100 4, ,249,744 39,519 7,692,239 22,250 17,700 31,893 6,238,203 23,200 17,401 Capitec Bank Hldgs Pref CPIP Pref Shares 2, F /03 I /09 119,094 8, , , ,089, ,941 8,875 7, ,546 9,900 8,400 Cargo Carriers Ltd CRG Trucking 20, F 17 18/06 3,628 1, , , , ,136 1,500 1, , Cashbuild Ltd CSB Home Imp Ret 25, I /04 1,154,078 15, , ,945 2, ,511,614 15,649 2,025,666 15,600 11,350 10,882 1,529,657 16,872 10,600 Caxton CTP Publish 6%Pf CATP Publishing , ,840 14, ,600 14,000 Caxton CTP Publish Print CAT Publishing 467, ,985 1, , , ,788,449 16, ,569 1,900 1,619 29, ,314 1,820 1,402 Central Rand Gold Ltd CRD Gold 31, , ,482,259 27,522 3, ,314 8, Chemical Specialities Ld CSP Build Mat & Fix 1,073,862 3,705, ,328,005 52,408 22, ,371 59, Chrometco Ltd CMO Gen Mining 204, , ,613 6,173 1, ,668 3, City Lodge Hotels Ltd CLH Hotels 43, I /03 F /09 1,459,722 12, , ,170 2, ,118,982 9,474 1,102,735 13,400 10,085 13,302 1,121,009 11,389 7,014 Clicks Group Ltd CLS Drug Ret 268, F /01 I /07 46,605,519 5, , ,475 14, ,550,967, ,653 13,064,678 6,828 5, ,454 16,298,657 6,795 3,934 Clientele Ltd CLI Life Ins 328, F /09 480,341 1, , , ,320,876 5,087 61,346 1, , ,027 1,250 1,011 Clover Industries Ltd CLR Food Prod 182, I /04 6,404,045 1, , ,675 1, ,787,680 59,504 1,016,989 1,950 1,580 59, ,057 1,800 1,130 Coal of Africa Ltd CZA Coal 1,048,369 7,484, ,734, , , , , Comair Limited COM Airlines 489, I /03 6,493, ,560,907 30,373 81, ,042 54, Combined Motor Hldgs Ltd CMH Spec Retail 109, F /06 149,132 1, , , ,930,227 9, ,862 1,460 1,160 10, ,303 1, Command Holdings Limited CMA Buss Supp Serv 132,250 Compagnie Fin Richemont CFR Cloth & access 5,220, F /09 108,822,826 10, , ,094 37, ,861,261,868 1,239, ,936,091 10,494 6,684 2,344, ,297,582 6,945 4,081 Compu Clearing Outs Ltd CCL Comp Serv 42, , , , , Conduit Capital Ltd CND Spec Finance 256, ,730, ,209,287 74, , ,729 47, Cons Infrastructure Grp Ltd CIL Electr Comp & eq 130,841 F /06 CR 10/ ,746,209 2, , , ,286,800 19, ,467 2,180 1,600 38, ,099 1, Control Instruments Grp CNL Auto parts 139,437 F /04 675, ,796 40,604 44, ,304 35, Convergenet Holdings Ltd CVN Comp Serv 970, ,605, ,710, ,832 61, ,431 32, Coronation Fund Mngrs Ld CML Asset man 349, I /06 14,310,448 6, , ,860 14, ,028, ,803 9,180,318 7,044 4, ,595 4,058,120 4,233 2,270 Corwil Investments Ltd CRW Equity inv Instr 3,900 Country Bird Hldgs Ltd CBH Farm & Fish 202, , ,581,442 9,695 36, ,241 95, Crookes Brothers Ltd CKS Farm & Fish 12, SC 15/ ,459 6, , , ,007, ,246 6,600 5,200 4, ,488 6,000 3,350 Cullinan Hldgs 5,5%Pref CULP Pref Shares F /02 I / Cullinan Holdings Ltd CUL Travel & Tour 718, F /01 142, , , ,418 3, Curro Holdings Limited COH Spec Cons Serv 293,718 1,194,329 2, , , ,516,297 15, ,768 2,250 1,379 13, ,946 2, Datacentrix Holdings Ltd DCT Comp Serv 205, F /05 1,791, ,753,565 43, , , , Datatec Ltd DTC Comp Serv 196, CR 15/ ,556,153 6, , ,949 6, ,582,249 48,258 2,539,176 6,138 4,555 67,803 3,268,866 5,768 4,080 DB DBGAIN ETN 27MAY2016 DBGAN1 Exchange Traded Notes 1,000 DB DBGAIN IND 29JULY2016 DBGAN2 Inv. Prod 1,000 DB DBGAN3 IND 22NOV2016 DBGAN3 Inv. Prod 1,000 DB GLOBE 22FEB2018 DBGLB1 Inv. Prod 10 DB HAVEN 22FEB2018 DBHVN1 Inv. Prod 10 DB MSCIAF ETN 05JUL2021 DBAFRI Exchange Traded Notes 20,000 1,538 8, , , , ,479 8,654 7, ,081 7,732 5,463 DB MSCICH ETN 05JUL2021 DBCHIN Exchange Traded Notes 20, ,677 3, , , ,252,734 2,250 76,994 3,828 3, ,347 3,208 2,496 DB MSCIEM ETN 05JUL2021 DBEMER Exchange Traded Notes 20,000 23,629 4, , , , ,836 4,047 3, ,430 3,599 2,900 Db x-trackers Col in USA DBXUS Exchange Traded Funds 63, F /01 I /07 IT 25/ ,904,338 1, , , ,840,242 48, ,292 1,798 1,135 12, ,801 1, IT 24/ Db x-trackers Col in Wld DBXWD Exchange Traded Funds 84, F /01 I /07 IT 25/ ,962,153 1, , , ,148,355 50, ,562 1,618 1,150 22, ,456 1, IT 24/ Db x-trackers DJ eu ST 50 DBXEU Exchange Traded Funds 22, F /01 I /07 IT 25/ ,187,658 4, , , ,052,860 15, ,337 4,138 2,990 15, ,950 3,059 2,058 IT 23/ Db x-trackers FTSE 100 DBXUK Exchange Traded Funds 5, F /01 I /07IT 31/ ,487 10, , , ,787,607 1, ,908 11,000 8, ,317 8,429 6,835 Db x-trackers MSCI Japan DBXJP Exchange Traded Funds 45, F /01 I /07 IT 24/ , ,434,109 28, , ,076 69, Delrand Resources Ltd DRN Diamonds & Gems 53,735 12, , ,237 2, Delta EMD Ltd DTA Spec. Chemicals 49, F /03 388, ,848,984 4,684 26, ,145 45, Delta Property Fund Ltd DLT Real Estate Holding & Dev 363,541 IT 27/ ,399, ,948,840 67, ,427 1, , , Diamondcorp plc DMC Diamonds & Gems 276, , ,564 2,815 2, SECURITIES INFORMATION 28 DIVIDEND FOOTNOTES F = Final dividend (current year) I = Interim dividend + = See Company Information Totals for shares traded, value and deals for Current month and Range for 2006 may vary due to correction trades Closing price but no high/low for month indicates last price in preceeding month Buyers/sellers price given as closing price, but no high low indicates either (a) no sales in current month, but no buyers and sellers prices, Or (b) Historical buyers and sellers prices only. 29

28 2010 PAYMENTS 2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR SEPTEMBER 2013 TRADING STATISTICS 2013 TO SEPTEMBER TRADING STATISTICS 2012 SECURITIES INFORMATION ISSUED NATURE OF SHARES PAY PAY OTHER HIGH HIGH LOW LOW CLOSE DAYS VOLUME VALUE HIGH LOW VOLUME VALUE HIGH LOW SECURITY BUSINESS (000 S) DIV CAP DIV CAP DIV CAP DIV AMT DATE DIV AMT DATE PAY VOLUME PRICE DATE PRICE DATE PRICE DEALS TRADE VALUE (000 s) (R000 s) PRICE PRICE (000 s) (R000 s) PRICE PRICE SHARE CODE Digicore Holdings Limited DGC Electro Equipm 247, ,279, , ,699,844 57, , , , Dipula Income Fund A DIA Diversified REITs 153, IT 24/ ,742 1, , , ,313,111 11, ,603 1, ,836 89,865 1, Dipula Income Fund B DIB Diversified REITs 156, IT 24/ ,260, ,198,716 17, ,489 1, , , Discovery Ltd DSY Life Ins 591, I 51 25/03 33,872,184 8, , ,108 40, ,912,883, ,163 22,362,454 10,000 6, ,607 14,274,964 6,242 4,307 Discovery Ltd B pref DSBP Pref Shares 8, I /03 F /09 50,634 12, , , ,540,581 1, ,201 12,000 10,500 1, ,934 12,000 10,500 Distell Group Ltd DST Dist & Vint 203, I /03 F /09 423,144 13, , , ,669,703 4, ,232 13,536 10,150 4, ,207 11,021 7,055 Distr and Warehousing DAW Build Mat & Fix 241,443 1,723,939 1, ,043,698 11,410 89,250 1, , , Don Group Ltd DON Hotels 294,485 4,594, ,535 66,655 12, ,973 9, Dorbyl Ltd DLV Auto parts 34, CP 18/ ,644 17, Dorbyl Ltd 5%Pref DLVP Pref Shares CP 18/ Dorbyl Ltd 5,5%Pref DLP1 Pref Shares 1, CP 18/ DRD Gold Ltd DRD Gold 385, I /03 17,923, , ,846, ,622 1,011, ,083 1,376, Eastern Platinum Ltd EPS Plat & Prec. Met 928,188 2,393, ,640,864 25,811 32, ,965 72, Efficient Group Ltd EFG Asset man 42, ,409 16, ,096 2, ELB Group Ltd ELR Ind Supp 33, I /04 1,016,245 3, , , ,336,633 6, ,455 3,751 2,800 10, ,866 3,290 2,000 Ellies Holdings Ltd ELI Electr Comp & eq 303, ,481, , ,422, ,062 1,400,224 1, , , Emira Property Fund EMI Diversified REITs 497, IT 11/ ,001,070 1, , ,472 5, ,791, ,538 2,360,726 1,629 1, ,294 2,610,830 1,494 1,180 IT 16/ EOH Holdings Ltd EOH Comp Serv 109, ,379,163 7, , ,137 5, ,025,681 25,512 1,321,705 7,137 3,699 29,119 1,006,344 3,950 2,761 Eqstra Holdings Ltd EQS Div Indust 411, F /09 13,675, , ,708, , , , , erafi Overall SA Index RAFISA Exchange Traded Funds 2, I /01 I /01IT 23/ ,425 4, , , ,769, ,961 4,351 3,000 5, ,162 4,000 3,235 I /04 I /04IT 24/ I /07 I /07IT 23/ erafi SA Financial 15 RAFFIN Exchange Traded Funds I /01 I /01IT 23/ ,137 3, , , , ,546 3,830 3, ,799 3,318 2,429 I /04 I /07IT 24/ I /07 IT 23/ erafi SA Industrial 25 RAFIND Exchange Traded Funds I /01 I /01IT 23/ ,705 4, , , , ,638 4,983 4, ,413 4,153 3,382 I /04 I /04IT 24/ I /07 IT 23/ erafi SA Resource 20 RAFRES Exchange Traded Funds I /01 I /01IT 23/ ,732 3, , , , ,942 3,358 2, ,721 3,315 2,730 I /04 I /04IT 24/ I /04 I /07IT 23/ I /07 Erbacon Inv Hldgs Ltd ERB Heavy Contr. 732, , ,350 1, Esorfranki Limited ESR Heavy Contr. 395, ,348, ,317,367 87, , ,753 94, Evraz Highveld Steel & Van EHS Iron & Steel 99, ,934 1, , , ,360,557 3,058 49,953 2,450 1,105 2,010 51,689 4,133 1,001 Exxaro Resources Ltd EXX Coal 358, F /04 I /09 10,984,197 17, , ,450 24, ,824,039, ,195 25,498,856 18,249 13, ,057 44,232,858 21,495 14,505 Fairvest Property Hldgs FVT Retail REITs 359, IT 29/ ,832, ,838,437 33,699 44, ,546 10, Famous Brands Ltd FBR Rest & Bars 99, F /07 1,551,698 10, , ,000 2, ,395,247 29,300 2,636,994 10,399 6,950 19,105 1,163,873 7,570 4,284 Faritec Holdings Ltd FRT Comp Serv 1,891,545 Ferrum Crescent Limited FCR Iron & Steel 328, , , Finbond Group Ltd FGL Cons Fin 605,025 7,754, ,982, , , ,819 25, Firestone Energy Limited FSE Coal 3,549,699 2,214, ,186 57,037 4, ,356 18, Firestone Energy Ltd Opt FSEO1 Coal 42,383 55, , , First Uranium Corp FUU Nom-ferr Metals 238, CP 18/ , ,954 7,647 2, ,879 16, Firstrand Ltd FSR Banks 5,637, I /04 243,144,442 3, , ,350 78, ,015,789,729 2,458,507 74,660,030 3,470 2,598 3,264,966 85,549,727 3,133 2,074 Firstrand Ltd B Pref FSRP Pref Shares 45, I /02 F /08 684,210 8, , , ,121,351 7, ,471 9,950 8,402 8, ,806 10,300 8,980 Foneworx Holdings Ltd FWX Telecom equip 136, , ,901,186 19,124 41, ,776 23, Foord Compass Ltd Deb FCPD Corp Debt 308, IT 11/ , ,766,260 20, , , , SC 11/ SC 05/ IT 05/08 30 Forbes & Manhatt Coal Corp FMC Coal 34,903 15, , ,712 1, Fortress Inc Fund Ltd A FFA Diversified REITs 342, IT 11/ ,934,651 1, , , ,809,589 86,508 1,284,611 1,699 1,375 90,598 1,252,155 1,610 1,230 IT 09/ Fortress Inc Fund Ltd B FFB Diversified REITs 342, IT 11/ ,867, ,310,398 8,465 70, ,507 51, IT 09/ Foschini Ltd 6,5%Pref TFGP Pref Shares I /03 F / Fountainhead Prop Trust FPT Retail REITs 1,162, IT 03/ ,960, , ,312, ,909 4,021,636 1, ,158 3,597, Gijima Group Limited GIJ Comp Serv 198, ,474, ,202, ,620 17, ,130 74, Giyani Gold Corporation GIY Gold 54,729 Global Asset Mngment Ltd GAM Spec Finance 35, GoGlobal Properties Ltd GGP Real Estate Holding & Dev 500 Gold Commodity-Linker ETN SBAG1 Exchange Traded Notes 1, , , , , ,294 17,680 13, ,920 18,303 14,069 Gold Fields Ltd GFI Gold 741, F /03 66,852,872 5, , ,609 55, ,275,158, ,021 47,812,552 11,029 4, ,850 62,933,644 13,288 9,551 Gold One Int Ltd GDO Gold 1,421, , ,378 34,551 83, ,465 90, Goliath Gold Mining Ltd GGM Gen Mining 147, , ,039,744 4,331 11, ,525 47, Gooderson Leisure Corp GDN Hotels 125, F /07 160, , ,904 3, Grand Parade Inv Ltd GPL Spec Finance 460, F 15 30/09 16,670, , ,434, , , , , Great Basin Gold Ltd GBG Gold 552, ,088 63,219 1, Grindrod Ltd GND Marine Tranp 600, F /03 I 17 30/09 15,273,224 2, , ,492 8, ,772, ,828 3,001,686 2,524 1, ,690 2,380,166 1,585 1,270 Grindrod Ltd Pref GNDP Pref Shares 7, F /03 I /09 143,148 9, , , ,859,119 1, ,093 9,400 8,501 1, ,329 10,010 9,000 Group Five Ltd GRF Heavy Contr. 111, I 32 22/04 F 35 30/09 5,931,052 4, , ,400 5, ,905,463 43,510 1,628,353 4,607 2,700 41,331 1,041,228 3,195 2,100 Growthpoint Prop Ltd GRT Diversified REITs 1,935, I /03 F /09IT 25/ ,405,308 2, , ,465 34, ,573,380,221 1,005,748 25,957,746 3,094 2, ,657 20,006,845 2,776 1,866 IT 23/ Harmony GM Co Ltd HAR Gold 435, I /03 46,164,631 4, , ,465 39, ,724,264, ,430 15,770,363 7,598 3, ,029 31,495,999 10,182 6,410 Holdsport Limited HSP Appar Retail 43, F /06 856,374 5, , ,150 1, ,202,931 14, ,954 5,398 4,110 25,554 1,106,458 5,100 3,680 Hosken Cons Inv Ltd HCI Equity inv Instr 127, F 84 24/06 2,317,250 13, , ,121 2, ,268,562 22,684 2,583,800 13,490 9,600 25,135 2,223,381 10,272 7,912 Hospitality Prop Fund A HPA Specialty REITs 137, IT 18/ ,256,424 1, , , ,590,541 27, ,706 1,908 1,450 30, ,207 1,640 1,140 IT 16/ Hospitality Prop Fund B HPB Specialty REITs 137, IT 18/ ,238, ,709,310 36, , , , IT 16/ Howden Africa Hldgs Ltd HWN Industr mach 65, F /05 395,806 4, , , ,451,601 9, ,278 4,200 2,436 15, ,128 3,000 1,301 Hudaco Industries Ltd HDC Industr mach 34, F /03 I /08 591,828 10, , ,999 1, ,240,785 13,424 1,265,259 12,395 8,232 10,193 1,088,441 13,240 8,290 Huge Group Ltd HUG Telecom equip 100, , ,959 6,548 2, ,694 5, Hulamin Ltd HLM Aluminium 319,236 4,787, ,852,723 57, ,445 10, , , Hwange Colliery Ltd HWA Coal 101,334 5, , , Hyprop Inv Ltd HYP Retail REITs 243, IT 25/ ,182,543 7, , ,335 9, ,717,400 75,821 5,606,844 8,400 6,652 81,613 5,151,283 7,558 5,313 IT 30/ IB GOLDEN ETN OCT17 GOLDEN Exchange Traded Notes 2,778 1,968 14, , , , ,484 17,800 12, ,630 17,480 16,464 IB SWX40 TRI ETN OCT17 SWXTRI Exchange Traded Notes 5, , , , , ,360 12,342 10, ,121 10,069 IB TOP40 TRI ETN OCT17 TOPTRI Exchange Traded Notes 12,750 4,004 5, , , , ,815 5,015 4,166 1,955 79,679 4,263 3,995 IL REDEEMABLEPREF1 MAR17 ILRP1 Pref Shares , , , , , ,041 Iliad Africa Ltd ILA Ind Supp 138, F 20 22/04 6,210, ,897,491 31, , , , Illovo Sugar Ltd ILV Food Prod 460, CR 07/ ,979,786 3, , ,200 4, ,140,668 66,429 2,175,486 3,952 2,700 58,605 1,630,409 3,240 2,276 CR 08/07 61 Imbalie Beauty Limited ILE Pers Products 345,548 3,664, ,759 12,401 2, ,423 4, Impala Platinum Hldgs Ltd Cnv IMPCB Plat & Prec. Met 267 IT 21/ , , , , ,261, ,511 1,000, ,000 Impala Platinum Hlgs Ltd IMP Plat & Prec. Met 632, I /03 F 51 23/09 46,189,669 13, , ,387 70, ,694,148, ,670 65,257,667 17,600 8, ,712 74,741,298 18,083 12,347 SECURITIES INFORMATION 30 DIVIDEND FOOTNOTES F = Final dividend (current year) I = Interim dividend + = See Company Information Totals for shares traded, value and deals for Current month and Range for 2006 may vary due to correction trades Closing price but no high/low for month indicates last price in preceeding month Buyers/sellers price given as closing price, but no high low indicates either (a) no sales in current month, but no buyers and sellers prices, Or (b) Historical buyers and sellers prices only. 31

29 2010 PAYMENTS 2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR SEPTEMBER 2013 TRADING STATISTICS 2013 TO SEPTEMBER TRADING STATISTICS 2012 SECURITIES INFORMATION ISSUED NATURE OF SHARES PAY PAY OTHER HIGH HIGH LOW LOW CLOSE DAYS VOLUME VALUE HIGH LOW VOLUME VALUE HIGH LOW SECURITY BUSINESS (000 S) DIV CAP DIV CAP DIV CAP DIV AMT DATE DIV AMT DATE PAY VOLUME PRICE DATE PRICE DATE PRICE DEALS TRADE VALUE (000 s) (R000 s) PRICE PRICE (000 s) (R000 s) PRICE PRICE SHARE CODE Imperial Holdings Ltd IPL Transp serv 209, I /04 F /09 15,139,278 22, , ,800 40, ,288,933, ,779 39,625,613 23,342 18, ,630 39,196,405 21,849 12,376 Imperial Holdings Pref IPLP Pref Shares 4, I /04 F /09 46,103 8, , , ,004, ,542 9,200 8, ,070 10,000 8,635 Indequity Group Ltd IDQ Prop & Casual Ins 12, , , , , Infrasors Holdings Ltd IRA Gen Mining 185, , , ,259 47, ,139 9, Ingenuity Property Inv ING Real Estate Holding & Dev 1,039, , ,265 5,626 4, ,644 4, Insimbi Ref & Alloy Sup ISB Nom-ferr Metals 260, , ,536 7,078 4, ,049 9, Interwaste Hldgs Ltd IWE Waste & disp Serv 395,978 2,978, ,164,275 12,284 10, ,820 15, Intu Properties plc ITU Retail REITs 966, SC 04/ ,816,768 5, , ,234 12, ,146, ,451 9,110,746 5,303 4, ,911 9,713,314 5,130 3,826 SC 04/ Investec Bank Ltd Pref INLP Pref Shares 15, F /06 191,936 9, , , ,926,157 2, ,157 9,650 8,700 4, ,006 10,100 8,850 Investec Ltd INL Inv serv 282, F /08 26,103,335 7, , ,597 36, ,726,466, ,694 12,525,069 7,700 5, ,459 11,751,158 5,950 4,060 Investec Ltd Pref INPR Pref Shares 32, F /06 400,781 8, , , ,302,454 5, ,894 8,700 8,036 5, ,665 9,499 8,175 Investec plc INP Inv serv 608, F /08 F /08 29,428,598 6, , ,511 31, ,939,703, ,967 15,001,271 7,278 5, ,754 19,284,949 5,890 4,091 Investec plc Pref INPP Pref Shares 15, F /06 68,750 6, , , ,192,106 1,240 67,887 6,300 4,610 3, ,693 4,875 3,800 Investec plc Pref (Rand) INPPR Pref Shares 2, F /06 25,690 9, , , ,474, ,628 10,050 9, ,129 10,900 9,400 Investec Property Fund Ltd IPF Diversified REITs 317, F /06 IT 18/ ,859,648 1, , , ,840,598 35, ,869 1,869 1,401 30, ,143 1,900 1,060 Invicta Hldgs Ltd pref IVTP Pref Shares 7,500 F /07 81,832 10, , , ,349,137 1, ,480 10,500 9, ,250 10,800 10,400 Invicta Holdings Ltd IVT Industr mach 74, F /07 1,914,152 9, , ,647 1, ,288,806 8, ,759 10,990 8,000 12, ,436 9,000 4,926 IPSA Group plc IPS Conv Electricity 107,504 98, ,377 1, ,167 2, ISA Holdings Limited ISA Comp Serv 192, F /07 1,495, ,347 15,571 9, ,324 12, Italtile Ltd ITE Home Imp Ret 1,033, I /03 F /09 IS 09/ ,175,218 1, ,080,466 41, ,080 1, , , Jasco Electron Hldgs Ltd JSC Electr Comp & eq 146, ,927, ,434,179 17,975 22, ,584 40, JD Group Ltd JDG Home Imp Ret 229, I /04 11,363,112 3, , ,130 8, ,257, ,249 4,331,832 4,700 2, ,052 6,013,922 5,300 4,020 JD Group Ltd Conv JDGCB Home Imp Ret , IT 20/ , ,932 1,060, , ,949 1,085, ,999 John Daniel Holdings Ltd JDH Spec Finance 440,406 1,654, ,076 10,587 1, ,592 1, JSE Ltd JSE Inv serv 86, F /05 2,831,690 8, , ,600 5, ,923,379 45,731 3,433,979 8,985 6,728 61,677 4,627,013 8,451 6,644 Jubilee Platinum plc JBL Plat & Prec. Met 357,731 1,710, ,567,960 47,276 63, ,251 52, Kagiso Media Ltd KGM Broadcast & ent 134, I /03 1,350,962 2, , , ,026,746 21, ,205 2,770 2,050 18, ,598 2,450 1,737 KAP Industrial Hldgs Ltd KAP Div Indust 2,346, ,560, ,066, ,311 1,196, , , Kaydav Group Ltd KDV Build Mat & Fix 172, CR 22/04 7 2, ,218 3,920 4, ,502 2, Keaton Energy Hldgs Ltd KEH Coal 191, , ,374 8,720 15, ,013 52, Kelly Group Ltd KEL Bus Train & empl agen 100, , ,030,778 5,943 10, ,114 51, Kibo Mining plc KBO Gen Mining 138, , Kruger Rand KR Kruger Rands 160 1,525, ,360, ,425, ,308, ,351 1,600,000 1,225, ,832 1,620,000 1,252,500 Kruger Rand Half KRHT Kruger Rands 700, , , , ,000 Kruger Rand Quarter KRQT Kruger Rands 375, , , , ,000 Kruger Rand Tenth KRTT Kruger Rands 1 144, , , , , , , ,999 Kumba Iron Ore Ltd KIO Iron & Steel 322,086 2, , , F /03I /08 8,648,057 49, , ,400 38, ,084,879,999 96,290 46,780,900 61,955 40, ,497 67,097,110 59,950 45,675 Labat Africa Ltd LAB Electro Equipm 200,542 1,124, ,622 3, , Lewis Group Ltd LEW Home Imp Ret 98, I /01 F /07 6,846,199 6, , ,533 10, ,260,291 84,081 5,258,486 7,498 5,035 77,206 5,605,007 8,284 6,550 Liberty Hldgs 11c Pref LBHP Pref Shares 15, I /07 33, , , , Liberty Holdings Ltd LBH Life Ins 286, F /04 I /09 IS 02/ ,551,510 12, , ,700 15, ,244,874 79,701 9,471,154 13,965 10,843 88,194 8,166,124 11,601 7,816 Life Healthc Grp Hldgs Ltd LHC Healthc Prov 1,042, I /06 65,190,918 3, , ,574 25, ,571,327, ,223 21,175,792 3,890 3, ,008 27,898,118 3,570 2,021 Litha Healthcare Grp Ltd LHG Pharmac 559,635 25,716, ,428, , , , , London Fin Inv Group plc LNF Asset man 30, I /04 18, ,475 1,301 4, ,426 6, Lonmin plc LON Plat & Prec. Met 568, ,288,111 5, , ,209 29, ,893,619, ,600 14,140,564 5,684 3, ,970 19,963,571 13,600 3,522 M&S Holdings Ltd MSA Bus Train & empl agen 155,182 1,178, ,461,635 7,346 6, ,074 4, MacquarieSA EL Pref EXX1 MAQP1 Pref Shares 13 F /03 1,039, ,039,705 1,000,000 Marshall Monteagle plc MMP Ind Supp 35, F /03 I /07 519, ,067,441 2,943 21, ,724 23, MAS Real Estate Inc. MSP Real Estate Holding & Dev 72, SC 01/ ,872 1, , , ,788 2,645 35,724 2,150 1, ,673 1,181 1,015 SC 19/ Masonite Africa Ltd MAS Build Mat & Fix 7,132 2,990 3, , , , ,295 3,600 2, ,369 3,990 3,002 Massmart Holdings Ltd MSM Broad Retail 217, F /03 I /09 8,072,905 17, , ,812 24, ,356,149,995 73,639 13,292,361 20,800 14,600 73,320 12,619,028 19,241 15,652 Master Drilling Grp Ltd MDI Industr mach 148, ,824 1, , ,406,315 14, ,527 1, Mazor Group Ltd MZR Build Mat & Fix 121, F /06 73, ,192 4,088 7, ,169 12, Mediclinic Internat Ltd MDC Healthc Prov 826, F /06 29,218,774 7, , ,428 29, ,209,329, ,236 18,435,767 7,783 5, ,864 10,441,347 5,500 3,275 Merafe Resources Ltd MRF Gen Mining 2,494, ,381, ,562, , , , , Metair Investments Ltd MTA Auto parts 152, F /04 5,119,174 3, , ,300 3, ,730,674 24, ,836 3,900 3,126 42,041 1,115,022 3,350 1,960 Metmar Ltd MML Nom-ferr Metals 267, ,416, ,600,656 36,124 55, , , Metrofile Holdings Ltd MFL Buss Supp Serv 420, I /04 1,250, ,352,245 37, , , , Micromega Holdings Ltd MMG Buss Supp Serv 101, , ,012,391 5,887 18, ,278 12, Mine Restoration Inv Ltd MRI Industr mach 470,508 13,521, ,554,743 50,365 8, ,684 15, Miranda Mineral Hldgs Ld MMH Gen Mining 649,048 8,588, ,019, ,289 19, ,081 8, Mix Telematics Ltd MIX Buss Supp Serv 772, F /07 9,950, ,266,465 59, , ,854 86, MMI Holdings Limited MMI Life Ins 1,569, , I /04 68,656,909 2, , ,440 24, ,613,260, ,803 13,112,371 2,700 1, ,248 14,688,173 2,232 1,645 Mondi Ltd MND Paper 118, F /05 I /09 10,213,828 17, , ,105 25, ,733,383,400 82,365 10,742,526 17,560 9, ,415 7,955,784 9,500 5,670 Mondi plc MNP Paper 367, F /05 I /09 12,869,615 17, , ,009 22, ,185,261, ,887 17,844,767 17,524 9, ,946 15,871,983 9,525 5,776 Money Web Holdings Ltd MNY Publishing 107, , ,376 1, ,441 1, Morvest Business Grp Ltd MOR Buss Supp Serv 657, ,935, ,999, ,623 20, ,484 27, Mpact Limited MPT Cont & Pack 163, F /04 I /09 5,602,117 2, , ,678 3, ,828,066 76,909 1,821,572 2,810 1, ,356 1,873,038 2,010 1,400 Mr Price Group Ltd MPC Appar Retail 251, F /06 18,234,275 14, , ,905 21, ,473,885, ,857 25,799,153 14,591 11, ,536 41,766,541 14,656 8,050 MTN Group Ltd MTN Mobile Telecom 1,882, F /04 I /09 154,701,553 19, , , , ,114,623,715 1,173, ,063,837 20,090 15,679 1,720, ,171,084 17,955 12,700 Murray & Roberts Hldgs MUR Heavy Contr. 444, ,718,045 2, , ,750 14, ,539, ,190 8,493,808 2,938 2, ,565 9,116,669 3,195 2,015 Mustek Ltd MST Comp hardw 108, ,206, ,858,251 18, , , , Mvelaserve Limited MVS Buss Supp Serv 141, , ,901,056 26, , , ,810 1, Nampak Ltd NPK Cont & Pack 697, F /01 I /07 32,648,265 3, , ,121 20, ,017,343, ,970 13,207,157 3,865 2, ,389 8,697,805 3,330 2,150 Nampak Ltd 6%Pref NPKP Pref Shares I /01 F / Nampak Ltd 6,5%Pref NPP1 Pref Shares I /01 F / Naspers Ltd -N- NPN Broadcast & ent 415, F /09 30,153,949 95, , ,844 96, ,608,538, , ,885,307 95,650 53, , ,540,163 57,168 35,001 NB ANGLO STUB 10APR2014 NBKIO2 Inv. Prod 12,000 16, ,239 16,474 13,501 Nedbank Group Ltd NED Banks 510, F /04 I /09 20,753,116 20, , ,450 41, ,153,831, ,417 33,975,388 20,825 16, ,910 32,543,739 19,120 14,125 Nedbank Ltd Pref NBKP Pref Shares 358, F /03 I /09 10,143, ,293,260 58, ,337 1, , ,137 1,150 1,022 Net 1 UEPS Tech Inc NT1 Fin Admin 58, ,364 12, , , ,428,104 5, ,140 12,999 4,211 5, ,995 8,600 3,000 Netcare Limited NTC Healthc Prov 1,475, F /02 I /07 57,989,817 2, , ,400 24, ,376,211, ,866 12,415,223 2,475 1, ,439 13,883,849 1,983 1,296 Netcare Limited Pref NTCP Pref Shares 6, I /05 80,492 8, , , ,856,818 1, ,392 9,200 8,390 3, ,717 9,800 8,700 New Europe Prop Inv plc NEP Real Estate Holding & Dev 195, SC 08/ ,750,454 7, , ,490 1, ,613,296 31,530 2,087,390 7,700 5,100 28,871 1,157,844 5,450 3,200 SC 30/ New Gold Issuer Ltd GLD Exchange Traded Funds 138,436 6,780,773 14, , ,932 2, ,984, ,732 19,692,739 14,800 11, ,853 13,647,067 16,000 12,074 New Gold Platinum ETF NGPLT Exchange Traded Funds 66,000 11,447,807 16, , ,255 2, ,663,960,170 79,946 11,228,649 16,300 13,100 New Rand NRD Exchange Traded Funds 3, ,369 3, , , , ,463 3,400 2,694 1,778 48,532 2,917 2,249 NEWFUNDS EQUITY MOM ETF NFEMOM Exchange Traded Funds 1, I /01 I /04IT 23/ ,764 2, , , ,137, ,029 4,198 1,845 1,784 34,045 1,994 1,537 I /07 IT 24/ IT 23/ NEWFUNDS GOVI ETF NFGOVI Exchange Traded Funds 1, ,119 4, , , ,437,010 1,065 45,972 4,573 4,099 2,039 87,114 6,163 3,739 NEWFUNDS ILBI ETF NFILBI Exchange Traded Funds 1,000 59,545 5, , , ,090, ,425 5,665 5,063 1,839 96,913 5,375 4,570 Newfunds MAPPS Growth MAPPSG Exchange Traded Funds 1, I /01 I /01IT 23/ ,629 1, , , , ,108 1,557 1,300 1,918 25,937 1,410 1,144 I /01 I /04IT 24/ I /04 I /07IT 23/ I /07 I /07IT 31/ SECURITIES INFORMATION 32 DIVIDEND FOOTNOTES F = Final dividend (current year) I = Interim dividend + = See Company Information Totals for shares traded, value and deals for Current month and Range for 2006 may vary due to correction trades Closing price but no high/low for month indicates last price in preceeding month Buyers/sellers price given as closing price, but no high low indicates either (a) no sales in current month, but no buyers and sellers prices, Or (b) Historical buyers and sellers prices only. 33

30 2010 PAYMENTS 2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR SEPTEMBER 2013 TRADING STATISTICS 2013 TO SEPTEMBER TRADING STATISTICS 2012 SECURITIES INFORMATION ISSUED NATURE OF SHARES PAY PAY OTHER HIGH HIGH LOW LOW CLOSE DAYS VOLUME VALUE HIGH LOW VOLUME VALUE HIGH LOW SECURITY BUSINESS (000 S) DIV CAP DIV CAP DIV CAP DIV AMT DATE DIV AMT DATE PAY VOLUME PRICE DATE PRICE DATE PRICE DEALS TRADE VALUE (000 s) (R000 s) PRICE PRICE (000 s) (R000 s) PRICE PRICE SHARE CODE Newfunds MAPPS Protect MAPPSP Exchange Traded Funds 1, I /01 F /01IT 23/ ,633 2, , , , ,443 2,752 2,529 2,032 52,766 2,642 2,196 I /01 I /04IT 24/ I /04 I /07IT 23/ I /07 I /07IT 31/ NEWFUNDS NEWSA INDEX NEWFSA Exchange Traded Funds 1, I /01 I /01IT 23/ ,484 4, , , , ,415 3,734 1,995 75,413 3,868 3,119 I /04 I /04IT 24/ I /07 I /07IT 23/ NEWFUNDS SHARIA TOP40 NFSH40 Exchange Traded Funds 5, I /01 I /04 609, ,297,514 2,533 8, ,775 15, I /04 I /07 I /07 NEWFUNDS SWIX 40 ETF NFSWIX Exchange Traded Funds 1, I /01 I /01IT 23/ ,765 1, , , , ,465 1,218 1,014 1,970 20,145 1, I /01 I /04IT 24/ I /04 I /07IT 23/ I /07 NEWFUNDS TRACI 3-M ETF NFTRCI Exchange Traded Funds 1, ,005 1, , , ,306,329 1,419 24,781 1, ,908 32,196 1,774 1,634 NEWWAVE EURO ETN 12MAR42 NEWEUR Exchange Traded Notes , , , , ,383 1, , NEWWAVE GBP ETN 12MAR42 NEWGBP Exchange Traded Notes IT 09/ , , , ,729 1,641 1, ,417 1,338 NEWWAVE INDEXETN 13JUN22 NEWBCI Exchange Traded Notes 1 NEWWAVE PLAT ETN 12MAR42 NEWPLT Exchange Traded Notes ,440 15, , , ,223,342 2, ,900 16,000 12,960 1, ,359 19,800 11,390 NEWWAVE SLV ETN 12MAR42 NEWSLV Exchange Traded Notes 4,554 1,033, ,394,125 5,773 14, ,568 11, NEWWAVE USD ETN 12MAR42 NEWUSD Exchange Traded Notes 1, ,331 1, , ,633,746 2,278 21,688 1, ,466 37, Nictus Ltd NCS Broad Retail 66, , , , Niveus Investments Ltd NIV Equity inv Instr 114,132 SC 12/ ,485 1, , , ,123,051 11, ,160 1, , ,822 2, Northam Platinum Ltd NHM Plat & Prec. Met 382, ,688,353 4, , ,240 10, ,870, ,226 6,477,746 4,390 3, ,637 7,276,391 3,870 2,251 Nu-World Hldgs Ltd NWL Cons. Electro 22, ,164 1, , , , ,084 2,100 1,600 1,911 35,091 2,299 1,503 Nutritional Holdings Ltd NUT Pharmac 1,997,368 41,025, , ,575 5, ,370 13, Oando plc OAO Int. Oil & Gas 6,822, F /08 2,620, ,576,699 33,574 25, ,751 5, Oasis Crescent Prop Fund OAS Retail REITs 43, IT 03/ ,464 1, , , ,653 1,931 25,774 1,400 1,290 4,653 59,947 1,385 1,217 IT 03/ IT 03/ SC 03/ SC 03/ SC 03/ Oceana Group Ltd OCE Farm & Fish 119, F /01 I 85 01/07 3,152,570 9, , ,424 3, ,182,089 15,054 1,236,225 9,876 6,505 14, ,664 7,391 4,201 Octodec Invest Ltd OCT Real Estate Holding & Dev 108, I /05 IT 20/ ,872,756 2, , , ,538,327 14, ,719 2,600 1,815 33, ,613 2,125 1,000 Old Mutual plc OML Life Ins 4,896, F /05 145,945,187 3, , ,042 39, ,378,113,520 1,485,485 42,747,707 3,240 2,465 2,396,662 48,826,846 2,500 1,710 Omnia Holdings Ltd OMN Spec. Chemicals 67, I /01 F /07 2,376,996 20, , ,199 8, ,224,445 25,979 4,340,437 20,369 13,745 33,299 3,616,911 14,683 8,454 Onelogix Group Ltd OLG Transp serv 231, I /04 1,618, ,209,199 27,987 76, ,723 25, Orion Real Estate Ltd ORE Real Estate Holding & Dev 630, , , , Osiris Properties Int Ltd OPI Real Estate Holding & Dev 664 1, ,555 1, , Palabora Mining Co Ltd PAM Nom-ferr Metals 48, , ,182 11, , , ,280,188 14,565 1,562,574 11,698 9,700 13,726 1,592,100 16,385 7,250 PaladiumCommodity-Linker SBAPD1 Exchange Traded Notes 500 3,909 20, , , , ,887 22,020 16, ,398 17,000 13,093 Pallinghurst Res Ltd PGL Equity inv Instr 760,453 10,165, ,470, , , , , Pamodzi Gold Limited PZG Gold 93,545 Pan African Resource plc PAN Gold 1,825, ,765, , ,112, ,434 1,374, ,877 1,342, Peregrine Holdings Limited PGR Asset man 206, F /07 IS 29/ ,660,255 1, , , ,999,497 61, ,973 1,360 1,030 38, ,017 1, Petmin Ltd PET Gen Mining 576, ,131, ,973, , , , , Phumelela Game Leisure PHM Gambling 77, I /05 2,877,345 1, , , ,164,022 18, ,853 29, , ,377 1, Pik n Pay Holdings Ltd PWK Food Ret & Whole 527, F /06 2,787,949 2, , ,935 2, ,314,000 87,691 1,595,005 2,084 1, ,092 2,604,717 2,170 1,756 Pik n Pay Stores Ltd PIK Food Ret & Whole 480, F /06 14,477,312 4, , ,161 14, ,930, ,553 7,512,855 4,939 3, ,769 10,646,509 4,790 3,989 Pinnacle Point Group Ltd PNG Real Estate Holding & Dev 8,311,122 Pinnacle Tech Hldgs Ltd PNC Comp hardw 170, ,924,031 2, , ,290 4, ,359,220 58,905 1,316,912 2,724 1,822 74,462 1,148,531 1,861 1,055 Pioneer Foods Group Ltd PFG Food Prod 231, F /02 I /07 2,869,171 8, , ,750 3, ,465,095 25,092 1,897,737 8,860 6,500 48,840 2,783,648 7,050 5,025 Platfields Limited PLL Plat & Prec. Met 789, , ,670 2, PlatinumCommodity-Linker SBAPL1 Exchange Traded Notes 2,000 28,496 13, , , ,507,797 1, ,906 14,266 11,231 2, ,508 13,490 9,897 Poynting Hldgs Ltd POY Telecom equip 94,604 1,506, ,377,800 6,704 7, ,884 4, PPC Limited PPC Build Mat & Fix 605, F /01 I /06 33,349,479 3, , ,020 15, ,001,327, ,486 7,130,929 3,680 2, ,887 8,943,081 3,650 2,410 PrefEx Securities PREFEX Exchange Traded Funds 20, F /03 F /03 IT 06/ ,159 1, ,610,914 3,664 37,850 1, ,638 50,977 1,150 1,061 F /03 I /06 IT 05/ I /06 I /09IT 11/ I /09 Premium Properties Ltd PMM Real Estate Holding & Dev 156, F /05 IT 20/ ,213,120 1, , , ,858,741 16, ,991 2,269 1,600 39, ,127 1,875 1,400 Prescient Limited PCT Asset man 1,598, SC 05/ ,533, ,471,796 39,553 41, ,078 55, Primeserv Group Ltd PMV Bus Train & empl agen 132, , ,170 7,314 2, ,622 2, PropTrax SAPY PTXSPY Exchange Traded Funds 2, IT 21/ ,151 5, , , ,188,226 1,050 54,117 5,870 4,600 6, ,803 5,200 3,870 IT 21/ IT 21/ IT 16/ IT 16/ IT 22/ IT 22/ PropTrax TEN PTXTEN Exchange Traded Funds 7, IT 21/ ,787 1, , , ,264,223 8, ,709 1,750 1,330 6,600 88,612 1,510 1,153 IT 21/ IT 16/ IT 16/ IT 22/ IT 22/ Protech Khuthele Hldgs PKH Heavy Contr. 362, ,979, ,565,497 31,790 16, ,819 31, PSG Financial Serv Pref PGFP Pref Shares 17, I /03 I /09 378,149 8, , , ,918,083 2, ,617 8,900 7,550 2, ,499 9,325 8,470 PSG Group Ltd PSG Inv serv 207, F 78 13/05 1,399,512 8, , ,167 2, ,214,728 18,826 1,211,858 8,167 5,880 19,681 1,161,842 7,332 4,470 PSV Holdings Ltd PSV Industr mach 272, , ,780 72,637 14, ,220 6, Purple Capital Ltd PPE Inv serv 822,905 2,669, ,521 37,751 7, ,999 10, Putprop Ltd PPR Real Estate Holding & Dev 28, I /04 52, , , ,575 9, Quantum Prop Group Ltd QPG Real Estate Holding & Dev 152, Racec Group Ltd RAC Heavy Contr. 181, ,065, ,714 47,648 30, ,017 7, Rand Merchant Ins Hldgs Ltd RMI Equity inv Instr 1,485, I /04 21,481,795 2, , ,676 11, ,291, ,953 8,523,851 2,827 2, ,152 7,107,168 2,363 1,345 Randgold & Expl Co Ltd RNG Gold 74, , ,200 5,691 12, ,182 5, Rare Holdings Ltd RAR Ind Supp 1,788,750 5,351, ,411 28,220 2, ,587 4, Raubex Group Ltd RBX Heavy Contr. 185, F /06 8,580,019 2, , ,345 4, ,794,900 56,298 1,193,943 2,500 1,600 54, ,933 1,800 1,250 RBA Holdings Ltd RBA Home Contr. 614,876 29,320, ,814, ,802 30, ,208 19, RCL Foods Limited RCL Farm & Fish 625, ,922,448 1, , , ,300,930 34, ,284 1,800 1,400 26, ,575 1,599 1,249 Rebosis Property Fund Ltd REB Diversified REITs 373, IT 22/ ,734,545 1, , ,175 1, ,443,784 71, ,962 1,425 1,052 85, ,725 1, RECM and Calibre Limited RACP Pref Shares 45,000 1,301,721 3, , , ,492,607 8,092 80,960 3, ,989 38,977 1, Redefine Prop Int Ltd RIN Real Estate Holding & Dev 653, IT 27/ ,524, , ,745, , , , , Redefine Properties Ltd RDF Diversified REITs 2,935, IT 27/ ,147,930 1, , ,233,635,286 1,113,759 11,010,934 1, ,997 8,546,283 1, Reinet Inv Soc Anon REI Equity inv Instr 1,959,413 46,041,886 1, , ,940 14, ,705, ,409 6,614,424 2,091 1, ,168 9,322,610 1,750 1,333 Remgro Ltd REM Div Indust 481, I /04 19,316,972 20, , ,400 41, ,741,100, ,265 36,966,686 20,390 15, ,987 29,982,412 15,999 11,865 Resilient Prop Inc Fund RES Retail REITs 289, IT 04/ ,187,961 5, , ,372 6, ,940,354 63,422 3,388,033 6,120 4,670 69,623 3,012,986 5,600 3,427 IT 02/ SECURITIES INFORMATION 34 DIVIDEND FOOTNOTES F = Final dividend (current year) I = Interim dividend + = See Company Information Totals for shares traded, value and deals for Current month and Range for 2006 may vary due to correction trades Closing price but no high/low for month indicates last price in preceeding month Buyers/sellers price given as closing price, but no high low indicates either (a) no sales in current month, but no buyers and sellers prices, Or (b) Historical buyers and sellers prices only. 35

31 2010 PAYMENTS 2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR SEPTEMBER 2013 TRADING STATISTICS 2013 TO SEPTEMBER TRADING STATISTICS 2012 SECURITIES INFORMATION ISSUED NATURE OF SHARES PAY PAY OTHER HIGH HIGH LOW LOW CLOSE DAYS VOLUME VALUE HIGH LOW VOLUME VALUE HIGH LOW SECURITY BUSINESS (000 S) DIV CAP DIV CAP DIV CAP DIV AMT DATE DIV AMT DATE PAY VOLUME PRICE DATE PRICE DATE PRICE DEALS TRADE VALUE (000 s) (R000 s) PRICE PRICE (000 s) (R000 s) PRICE PRICE SHARE CODE Resource Generation Ltd RSG Coal 332,235 Reunert Ltd RLO Electr Comp & eq 201, F /01 I /06 9,159,447 7, , ,266 11, ,986,349 75,836 5,520,362 8,791 6,200 95,994 6,839,219 8,170 6,286 Rex Trueform Cl Co -N- RTN Appar Retail 17, , ,313 9, ,157 1,700 1,599 Rex Trueform Cloth Co Ld RTO Appar Retail 2, , , , , ,950 1, ,950 1,695 Rex Trueform Ltd 6%Pref RTOP Pref Shares I /01 F / RMB Coal ETN 05MAY2016 COLRMB Exchange Traded Notes , , , , ,692 67,539 53, ,292 85,497 58,951 RMB Holdings Ltd RMH Banks 1,411, I /04 30,729,201 4, , ,615 26, ,386,394, ,889 14,505,381 4,776 3, ,081 14,070,516 4,195 2,700 RMB Inflation X RMBINF Exchange Traded Funds 56, IT 07/ ,033,424 1, , , ,476,058 30, ,527 2,000 1,711 34, ,423 2,057 1,618 IT 09/04 6 IT 02/ RMB Mid Cap ETF RMBMID Exchange Traded Funds 18, I /01 I /04IT 02/ , ,406,562 4,950 36,133 5, ,408 5,695 5,079 F /07 RMB Oil ETN 08DEC2015 OILRMB Exchange Traded Notes , , , , ,624 97,963 65, ,846 76,400 55,967 RMB Top 40 ETF RMBT40 Exchange Traded Funds 18, I /01 I /01 1,132,301 4, , , ,304,399 11, ,676 4,050 3,331 4, ,085 3,615 2,818 I /04 F /07 F /07 Rockcastle Global Real Estate Co Ltd ROC Real Estate Holding & Dev 350,000 I /03 641,135 1, , , ,608,337 28, ,610 1,500 1,088 4,060 39,188 1, Rockwell Diamonds Inc RDI Diamonds & Gems 48, , ,122, , , Rolfes Technology Hldgs RLF Spec. Chemicals 108, I /03 1,835, ,694,473 27, ,648 1, , , Royal Bafokeng Platinum Ltd RBP Plat & Prec. Met 166,082 2,818,074 6, , ,142 3, ,362,652 25,778 1,411,960 6,400 4,201 24,516 1,352,273 6,749 4,374 SA Corp Real Estate Fund SAC Retail REITs 1,980, IT 25/ ,070, , ,975, ,412 2,466, ,401 3,151, IT 30/ SABLE PLATINUM LTD SLP Plat & Prec. Met 187,452 1,194, ,012 6,552 5, ,937 6, SABMiller plc SAB Brewers 1,670, F /08 23,231,500 51, , ,339 45, ,691,832, , ,147,638 52,496 39, , ,313,635 40,360 27,984 Sabvest Ltd SBV Equity inv Instr 17, F 20 25/03 I 18 26/08 2,000 2, , , ,010 1,109 16,386 2,051 1, , Sabvest Ltd -N- SVN Equity inv Instr 29, F 20 25/03 I 18 26/08 1,901 2,254 29,521 2,000 1, ,738 1, Sacoil Holdings Ltd SCL Int. Oil & Gas 953, ,416 80, , , Sanlam Limited SLM Life Ins 2,100, F /04 IS 29/ ,837,379 4, , ,686 56, ,461,591, ,262 45,774,333 5,024 4,051 1,162,264 41,131,253 4,550 2,831 Santam Limited SNT Prop & Casual Ins 119, F /03 I /09 429,198 19, , ,700 2, ,223,208 11,242 2,134,958 21,901 16,696 11,894 1,994,560 20,112 13,950 Santova Logistics Ltd SNV Marine Tranp 136,459 F /07 3,878, ,644,556 54,252 54, ,374 22, Sanyati Holdings Ltd SAN Heavy Contr. 450, ,456 24, Sappi Ltd SAP Paper 541,446 30,403,377 2, , ,525 23, ,704, ,048 8,652,830 3,300 2, ,787 10,644,498 3,136 2,221 Sasfin Hldgs Ltd Pref SFNP Pref Shares 1, I /04 23,877 8, , , ,888, ,739 8,435 7, ,155 9,250 8,075 Sasfin Holdings Ltd SFN Inv serv 32, I 51 15/04 875,417 3, , , ,745,505 4, ,551 4,005 3,275 2,960 91,756 3,577 2,800 Sasol Limited SOL Int. Oil & Gas 649,238 1, , , I /04 34,862,610 49, , ,893 90, ,778,814, , ,756,580 49,396 36, , ,444,330 41,150 33,321 Satrix 40 Portfolio STX40 Exchange Traded Funds 211, F /01 F /01IT 22/ ,464,269 4, , ,949 1, ,203, ,931 5,243,871 4,050 3, ,751 3,541,277 3,513 2,883 F /01 I /04IT 22/ I /04 I /07IT 19/ I /07 I /07IT 19/ IT 12/ IT 12/ Satrix DIVI Plus Portfolio STXDIV Exchange Traded Funds 882, F /01 F /01IT 22/ ,427, ,285, , , , , I /04 I /07IT 22/ IT 19/ IT 19/ IT 12/ IT 12/ Satrix FINI Portfolio STXFIN Exchange Traded Funds 65, F /01 F /01IT 22/ ,435 1, , , ,111,051 8, ,771 1,248 1,037 30, ,625 1, F /01 I /04IT 22/ I /07 I /07IT 19/ I /07 IT 19/ IT 12/ IT 12/ Satrix INDI Portfolio STXIND Exchange Traded Funds 24, F /01 F /01IT 22/ ,377,172 5, , , ,497,190 14, ,434 5,199 4,069 25, ,495 4,120 2,226 I /04 I /04IT 19/ I /07 I /07IT 12/ IT 12/ Satrix RAFI 40 Portfolio STXRAF Exchange Traded Funds 87, F /01 F /01IT 11/ ,732,305 1, , ,553,774 18, ,945 1, , , I /04 I /05IT 12/ I /05 I /06IT 12/ I /06 I /06IT 12/ I /09 I /09 Satrix RESI Portfolio STXRES Exchange Traded Funds 9, F /01 I /04IT 22/ ,741 5, , , ,724,621 11, ,282 5,600 4,067 10, ,732 5,700 4,501 I /04 I /07IT 22/ IT 19/ IT 19/ IT 12/ IT 12/ Satrix SWIX Top 40 Portfolio STXSWX Exchange Traded Funds 34, F /01 F /01IT 22/ ,965, ,793,249 16, , , , F /01 I /04IT 22/ I /04 I /07IT 19/ I /07 I /07IT 12/ IT 12/ SB Copper ETN SBACOP Exchange Traded Notes 10,000 1,283 1, , , ,078 1,044 12,869 1,354 1,000 1,494 18,198 1,291 1,074 SB Corn ETN SBACRN Exchange Traded Notes 5, , , , , ,388 1, ,744 1, SB Retail (Jib+30) Nov13 SBR003 Exchange Traded Notes 4, IT 04/ ,699 10, , , ,428, ,814 10,164 9,986 2, ,906 10,200 10,000 IT 06/ IT 05/ SB Wheat ETN SBAWHT Exchange Traded Notes 5,000 2,663 1, , , , ,268 1,189 1, ,073 1, SB WTI Oil ETN SBAOIL Exchange Traded Notes 10,000 27,602 2, , , , ,481 2,191 1, ,273 1,652 1,284 SBA Commodity Index ETN SBACI Exchange Traded Notes 10,000 5,089 1, , , , ,419 1, ,238 1,031 SBAfricaEquity Index ETN SBAEI Exchange Traded Notes 20, ,837 1, , ,719,969 1,803 18,814 1, ,621 4, Sea Kay Holdings Ltd SKY Heavy Contr. 488, ,889 1, Seardel Inv Corp -N- SRN Cloth & access 61, , ,302,932 1,650 3, ,790 2, Seardel Inv Corp Ltd SER Cloth & access 645, , ,568,522 10,816 20, ,379 29, Securedata Holdings Ltd SDH Comp Serv 246, ,183, ,482 75,622 23, ,449 10, Sekunjalo Inv Ltd SKJ Spec Finance 489,339 1,023, ,224 15,318 7, ,253 10, Sentula Mining Ltd SNU Gen Mining 586,559 28,352, , ,669, , , , , Sephaku Holdings Ltd SEP Gen Mining 188,999 2,766, ,444,132 27, , ,149 41, Sherbourne Capital Ltd SHB Software 781, ,340 1, ,665 31, Shoprite 2nd 5%Pref SHP3 Pref Shares F /03 I / Shoprite 3rd 5%Pref SHP4 Pref Shares F /03 I /09 2, , Shoprite 5%Pref SHP2 Pref Shares F /03 I / Shoprite 6%Pref SHP1 Pref Shares F /03 I / Shoprite Holdings Ltd SHP Food Ret & Whole 570, I /03 F /09 41,419,190 17, , ,540 64, ,891,083, ,030 77,740,919 20,716 15, ,383 67,119,329 20,590 12,477 Shoprite Investments Limited SHPCB Food Ret & Whole , IT 03/ ,162, ,120, ,162, ,853, ,800 1,330,000 1,120, ,104,495 1,280,000 1,080,000 Sibanye Gold Limited SGL Gold 734,879 91,021,556 1, ,260 23, ,051,938, ,303 10,575,026 1, Silverbridge Holdings SVB Software 34, , ,770 1, SilverCommodity-Linker ETN SBAS1 Exchange Traded Notes 500 7,762 18, , , ,286, ,709 22,310 13, ,229 27,774 16,355 SECURITIES INFORMATION 36 DIVIDEND FOOTNOTES F = Final dividend (current year) I = Interim dividend + = See Company Information Totals for shares traded, value and deals for Current month and Range for 2006 may vary due to correction trades Closing price but no high/low for month indicates last price in preceeding month Buyers/sellers price given as closing price, but no high low indicates either (a) no sales in current month, but no buyers and sellers prices, Or (b) Historical buyers and sellers prices only. 37

32 2010 PAYMENTS 2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR SEPTEMBER 2013 TRADING STATISTICS 2013 TO SEPTEMBER TRADING STATISTICS 2012 SECURITIES INFORMATION ISSUED NATURE OF SHARES PAY PAY OTHER HIGH HIGH LOW LOW CLOSE DAYS VOLUME VALUE HIGH LOW VOLUME VALUE HIGH LOW SECURITY BUSINESS (000 S) DIV CAP DIV CAP DIV CAP DIV AMT DATE DIV AMT DATE PAY VOLUME PRICE DATE PRICE DATE PRICE DEALS TRADE VALUE (000 s) (R000 s) PRICE PRICE (000 s) (R000 s) PRICE PRICE SHARE CODE Soapstone Investments CB DMCCB Diamonds & Gems 4 IT 16/ South African Coal Mining SAH Coal 452,454 1, South Ocean Holdings Ltd SOH Electr Comp & eq 156, ,324, ,788,466 9,890 14, ,726 35, Southern Electricity Co SLO Conv Electricity 54,948 98, ,917 1, Sovereign Food Inv Ltd SOV Farm & Fish 76,376 F /06 1,023, ,301,781 20, , ,104 79, Spanjaard Limited SPA Spec. Chemicals 8, F /05 6, , , Spur Corporation Ltd SUR Rest & Bars 97, I /04 1,507,137 3, , ,099 1, ,577,190 18, ,078 3,475 2,260 23, ,013 2,600 1,500 Square One Solutions Grp SQE Comp Serv 44,394 Standard Bank Group Ltd SBK Banks 1,618, I /09 SC 22/ ,273,470 12, , ,988 74, ,794,766, ,590 95,047,940 12,343 10, , ,232,076 12,030 9,876 Standard Bank Group Pref SBPP Pref Shares 52, F /04 I /09 2,289,954 9, , , ,773,230 9, ,879 10,080 8,690 9, ,957 10,550 9,600 STANLIB SA Property ETF STPROP Exchange Traded Funds 1,386 I /07 IT 12/ ,027 5, , , , ,161 5,873 4,562 IT 12/ CP 12/ STANLIB SWIX 40 Fund STANSX Exchange Traded Funds 296, F /01 I /04 IT 11/ , ,346,987 5,084 39, ,515 73, I /04 I /07 IT 11/ IT 12/ IT 12/ IT 12/ IT 12/ CP 12/ STANLIB Top 40 Fund STAN40 Exchange Traded Funds 12, I /01 I /01 IT 11/ ,886 3, , , , ,085 3,965 3, ,053 3,540 2,890 I /04 I /04 IT 12/ I /07 I /07 IT 12/ CP 12/ Std Bank Group 6,5%Pref SBKP Pref Shares 8, F /04 I /09 427, ,556 1, , Stefanuti Stck Hldgs Ltd SSK Heavy Contr. 188, ,363, ,198,796 43, ,069 1, , ,240 1, Steinhoff Int Hldgs Ltd SHF Furnish 1,836, ,548,350 3, , ,575 58, ,925,358,731 1,131,814 30,326,546 3,575 2,212 1,262,466 33,391,586 3,080 2,289 Steinhoff Inv Hldgs Pref SHFF Pref Shares 15, I /04 231,846 8, , , ,365,205 2, ,936 8,975 7,100 3, ,328 9,625 8,650 Stella Vista Tech Ltd SLL Electr Comp & eq 198,591 1,311, ,004 8, , Sterling Waterford CCN SPV CBN013 Exchange Traded Notes 290 1, ,300 1, ,000 7,000 Stratcorp Ltd STA Inv serv 180, , ,910 1, Sun International Ltd SUI Gambling 114, I /03 F /09 4,711,623 10, , ,769 5, ,617,260 41,404 4,130,923 11,427 9,150 33,889 2,902,024 10,017 7,601 Super Group Ltd SPG Transp serv 315,334 7,994,591 2, , ,435 6, ,836, ,935 2,421,673 2,699 1, ,231 2,893,292 1,685 1,057 Sycom Property Fund SYC Retail REITs 281, IT 08/ ,188,581 2, , ,593 2, ,538,210 51,176 1,363,708 3,270 2,232 45,689 1,182,932 3,050 2,260 Synergy Inc Fund Ltd A L/U SGA Retail REITs 47, IT 25/ ,638 1, ,166,552 2,635 28,740 1, , ,656 1, IT 23/ Synergy Inc Fund Ltd B L/U SGB Retail REITs 106, IT 25/ , ,047 7,862 53, , , IT 23/ Taste Hldgs Ltd TAS Appar Retail 197, F /07 3,622, ,993,597 24,469 91, ,083 72, Tawana Resources NL TAW Diamonds & Gems 976,629 81, ,045 2, Telemaster Holdings Ltd TLM Fixed Line Tel 42, F /01 I /04 63, , ,207 1, I /07 Telkom SA SOC Ltd TKG Fixed Line Tel 520, ,064,508 2, , ,443 13, ,046, ,787 3,394,220 2,477 1, ,313 8,716,832 2,975 1,491 The Foschini Group Limited TFG Appar Retail 225, I /01 F /07 28,787,777 11, , ,406 39, ,018,282, ,008 35,941,316 14,737 9, ,348 26,936,353 14,678 10,351 The Spar Group Ltd SPP Food Ret & Whole 172, I /06 11,519,991 12, , ,120 21, ,390,306, ,108 12,289,102 13,335 10, ,889 12,772,959 13,185 10,600 The Waterberg Coal Co Ltd WCC Coal 130,776 Tiger Brands Ltd TBS Food Prod 191, F /01 I /07 11,071,412 30, , ,911 37, ,230,556, ,989 33,163,988 33,750 27, ,555 39,530,491 32,795 23,592 Times Media Group Ltd TMG Publishing 127,077 4,878,903 2, , , ,464,405 35, ,410 2,100 1,330 18, ,745 1,450 1,150 Tongaat Hulett Ltd TON Food Prod 108, I /01 F /07 7,265,393 12, , ,007 9, ,135,676 46,769 6,142,785 14,940 11,430 42,440 5,293,788 14,700 9,976 Torre Industrial Hldgs Ltd TOR Ind Supp 180,316 F /07 1,305, ,201,545 37,766 50, ,786 8, Total Client Services Ld TCS Comp Serv 390,135 2,304, ,975 7, ,040 1, Tower Property Fund Ltd TWR Diversified REITs 111,943 1,099, ,896,340 3,944 35,256 1, Tradehold Ltd TDH Real Estate Holding & Dev 138,567 F /06 393, ,614,883 3,294 28, ,714 33, Trans Hex Group Ltd TSX Diamonds & Gems 106, , ,665,214 13,754 46, ,130 80, Transaction Capital Ltd TCP Spec Finance 583, I 9 10/06 8,510, ,631,971 28, , , , Transpaco Ltd TPC Cont & Pack 33, I /03 F /09 64,941 1, , , ,154,366 1,344 23,424 2,000 1,510 1,692 29,230 1,990 1,500 Trematon Capital Inv Ltd TMT Equity inv Instr 180, F /02 16, ,720 2,293 5, ,947 6, Trencor Ltd TRE Transp serv 177, F /03 I /09 IS 29/ ,479,992 6, , ,900 2, ,681,884 36,450 2,446,316 7,989 5,310 50,438 2,450,614 6,382 3,700 Trustco Group Hldgs Ltd TTO Spec Finance 772, ,539, ,508, , , , , Truworths Int Ltd TRU Appar Retail 463, I /03 F /09 36,451,834 9, , ,000 40, ,232,718, ,566 36,087,188 11,736 7, ,329 28,843,267 10,930 7,300 Tsogo Sun Holdings Ltd TSH Gambling 1,182, F /06 8,876,751 2, , ,550 1, ,108,670 45,069 1,128,762 2,850 2,120 48, ,995 2,559 1,650 Ububele Holdings Ltd UBU Food Prod 178, , ,222 33,071 16, ,046 7, Uranium One Inc UUU Gen Mining 943, ,694 2, , , ,598,099 6, ,840 2,763 1,900 6, ,976 2,599 1,585 Value Group Ltd VLE Transp serv 198, I /01 F /07 392, ,457,996 6,614 37, , , Verimark Holdings Ltd VMK Broad Retail 114, , ,052 5,117 4, ,257 25, Village Main Reef GM Co VIL Gold 1,040, ,356, ,129, , , , , Vividend Income Fund Ltd VIF Diversified REITs 267, IT 29/ ,634, , ,716,192 67, , , , Vodacom Group Ltd VOD Mobile Telecom 1,487, F /07 32,705,598 12, , ,445 51, ,909,166, ,105 47,818,955 12,988 10, ,969 54,879,149 12,515 8,823 Vukile Property Fund Ltd VKE Retail REITs 455, F /06 F /06CP 03/ ,421,873 1, , ,677 4, ,574, ,657 2,115,050 2,075 1, ,264 3,106,609 1,991 1,440 CP 03/06 13 IT 24/ Vunani Ltd VUN Inv serv 105, , ,645 3,644 6, ,875 3, Vunani Prop Inv Fund Ltd VPF Diversified REITs 169, IT 25/ ,730, ,045,620 23, ,562 1, , ,223 1, IT 23/ Wescoal Holdings Ltd WSL Coal 187,187 F /08 2,698, ,153,262 37,990 44, ,090 30, Wesizwe Platinum Ltd WEZ Plat & Prec. Met 1,627,827 9,351, ,578,434 99,347 57, , , WG Wearne Ltd WEA Build Mat & Fix 276, , ,596 5, ,131 1, Wilderness Holdings Ltd WIL Travel & Tour 231, F / ,721 55, ,770 74, William Tell Holdings Ltd WTL Build Mat & Fix 125, ,727 3, Wilson Bayly Hlm-Ovc Ltd WBO Heavy Contr. 66, I /04 2,232,296 16, , ,000 7, ,879,476 27,606 4,238,658 17,037 14,000 28,545 3,762,305 15,785 10,388 Winhold Ltd WNH Ind Supp 126, ,475, ,152,290 10,071 8, ,413 24, Witwatersrand Cons Gold WGR Gold 34, , ,324,256 1,179 12,474 2, ,467 42,688 4,500 1,500 Woolworths Holdings Ltd WHL Broad Retail 846, I /03 F /09 94,070,831 7, , ,419 66, ,869,624, ,581 51,277,765 8,185 5, ,326 42,051,756 7,300 3,900 Workforce Holdings Ltd WKF Bus Train & empl agen 240, York Timber Holdings Ltd YRK Forestry 331,241 1,244, ,381,973 24,107 85, ,421 69, ZCI Limited ZCI Nom-ferr Metals 55,678 6, , , ,630 1, Zeder Inv Ltd ZED Spec Finance 980, F 4 06/05 7,974, , ,852, , , , , Zshares Govi ZGOVI Exchange Traded Funds 22, ,444 1, , , ,221,881 20, ,753 1,220 1,077 11, ,148 1,198 1,022 Zurich Insurance Co SA ZSA Prop & Casual Ins 12, F /03 I / , , , , ,607 27,000 23, ,736 25,500 21,300 AB LP BCA3-24JANUARY2017 LPBCA3 Inv. Prod 41 AB LP BCA4-07 MARCH 2017 LPBCA4 Inv. Prod 33 AB LP BCP7-17 July2017 LPBCP7 Inv. Prod 33 AB LP BRO01-23MAR2016 LPBR01 Other Sec 42 AB LP BRO02-18MAY2016 LPBRO2 Other Sec 45 AB LP DEP1-6 Sept 2016 LPDEP1 Other Sec 40 AB LP DM01-23MAR2017 LPDM01 Other Sec 88 AB LP DM03-12APRIL2017 LPDM03 Other Sec 63 AB LP WA01-11NOV2015 LPWA01 Other Sec 25 AB LP WA02-21DEC2015 LPWA02 Other Sec 8 SECURITIES INFORMATION 38 DIVIDEND FOOTNOTES F = Final dividend (current year) I = Interim dividend + = See Company Information Totals for shares traded, value and deals for Current month and Range for 2006 may vary due to correction trades Closing price but no high/low for month indicates last price in preceeding month Buyers/sellers price given as closing price, but no high low indicates either (a) no sales in current month, but no buyers and sellers prices, Or (b) Historical buyers and sellers prices only. 39

33 2010 PAYMENTS 2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR SEPTEMBER 2013 TRADING STATISTICS 2013 TO SEPTEMBER TRADING STATISTICS 2012 SECURITIES INFORMATION ISSUED NATURE OF SHARES PAY PAY OTHER HIGH HIGH LOW LOW CLOSE DAYS VOLUME VALUE HIGH LOW VOLUME VALUE HIGH LOW SECURITY BUSINESS (000 S) DIV CAP DIV CAP DIV CAP DIV AMT DATE DIV AMT DATE PAY VOLUME PRICE DATE PRICE DATE PRICE DEALS TRADE VALUE (000 s) (R000 s) PRICE PRICE (000 s) (R000 s) PRICE PRICE SHARE CODE AB LP WA03-23MAR2016 LPWA03 Other Sec 101 AB LP WA04-18MAY2016 LPWA04 Other Sec 46 AB LP WA05-04APRIL2016 LPWA05 Other Sec 52 AB LP WA06-20 JUNE 2016 LPWA06 Other Sec 80 AB LP WA08-20 JUNE 2016 LPWA08 Other Sec ,931 26,045 26,045 AB LP WA09-21Nov2016 LPWA09 Other Sec 20 AB LP WO01-18MAY2016 LPWO01 Other Sec 23 AB LP WO02-14 June 2016 LPWO02 Other Sec 31 AB LP WO03-17AUG2016 LPWO03 Other Sec 16 AB LP WO04-21Nov2017 LPWO04 Other Sec 44 AB LP WO05-03 May 2018 LPWO05 Other Sec 14 AB LSI RESET COMM 10MAY15 ABBB01 Other Sec , , ,607 AB LSI SW 16-14MAY2018 ABSW16 Other Sec 19 AB LSI SW 20-12JULY2019 ABSW20 Other Sec 19 ABLP BCA2-05 DEC 2016 LPBCA2 Inv. Prod 31 ABLP BCP2-05 DEC 2016 LPBCP2 Inv. Prod 22 ABLPBCA1-30October2017 LPBCA1 Other Sec ,821 25,311 25,311 ABLPBCA5-28 MARCH 2017 LPBCA5 Inv. Prod 22 ABLPBCA6-23 MAY 2017 LPBCA6 Inv. Prod 45 ABLPBCP1-30October2017 LPBCP1 Other Sec 12 ABLPBCP4-28 MARCH 2017 LPBCP4 Inv. Prod 29 ABLPBCP6-23 MAY 2017 LPBCP6 Inv. Prod 85 ABLPBCP8-21 AUGUST 2017 LPBCP8 Other Sec 30 ABLPWA07-23 AUGUST 2016 LPWA07 Other Sec 61 ABLSICPITOP405DEC2012 ABCT01 Other Sec 11 1, , , ,799 BNP Paribas Arbitrage37 ZA037 Inv. Prod 40,000 BNP Paribas Arbitrage38 ZA038 Inv. Prod 20,000 BNP Paribas Arbitrage39 ZA039 Inv. Prod 10,000 BNP Paribas Arbitrage40 ZA040 Inv. Prod 50,000 BNP Paribas Arbitrage42 ZA042 Inv. Prod 20,000 BNP Paribas Arbitrage43 ZA043 Inv. Prod 50,000 BNP Paribas Arbitrage44 ZA044 Inv. Prod 50,000 BNP Paribas Arbitrage45 ZA045 Inv. Prod , ,906 BNP Paribas Arbitrage46 ZA046 Inv. Prod 10,000 BNP Paribas Arbitrage47 ZA047 Inv. Prod 100,000 BNP Paribas Arbitrage48 ZA048 Inv. Prod 50,000 BNP Paribas Arbitrage49 ZA049 Inv. Prod 53,031 BNP Paribas Arbitrage50 ZA050 Inv. Prod 30,221 BNP Paribas Arbitrage51 ZA051 Inv. Prod 10,555 BNP Paribas Arbitrage52 ZA052 Inv. Prod 29,185 BNP Paribas Arbitrage53 ZA053 Inv. Prod 27,115 BNP Paribas Arbitrage54 ZA054 Inv. Prod 11,422 BNP Paribas Arbitrage55 ZA055 Inv. Prod 10,546 BNP Paribas Arbitrage56 ZA056 Inv. Prod 16,977 BNP Paribas Arbitrage57 ZA057 Inv. Prod 8,631 BNP Paribas Arbitrage58 ZA058 Inv. Prod 8,200 BNP Paribas Arbitrage59 ZA059 Inv. Prod 8,887 BNP Paribas Arbitrage60 ZA060 Inv. Prod 2,671 BNP Paribas Arbitrage61 ZA061 Inv. Prod 40,000 BNP Paribas Arbitrage62 ZA062 Inv. Prod 70,000 BNP Paribas Arbitrage63 ZA063 Inv. Prod 1,022 DB STUBAGLE 04NOV2013 DBAGLE Inv. Prod 15,000 11,850 9, , , ,178, ,966 9,993 8,437 DB STUBAGLF 04NOV2013 DBAGLF Inv. Prod 15,000 1,945,151 17, , , ,827,829 14,089 2,115,584 17,493 8,700 DB STUBAGLG 04NOV2013 DBAGLG Inv. Prod 30,000 5,168,248 17, , , ,734,307 40,480 5,826,365 17,501 11,326 DB STUBAGLH 04NOV2013 DBAGLH Inv. Prod 30,000 1,377,158 9, ,850,927 34,536 3,113,076 9,083 9,082 DB STUBNPNJ 05FEB2014 DBNPNJ Other Sec 10,000 IT 23/ ,700,389 13, , , ,911,570 3, ,551 13,800 8,284 DB TOP 2900CC 0002OCT13 TOPDWC Inv. Prod 3, ,000 1, , , ,889, ,602 1, DB TOP 3050CB 0002OCT13 TOPDWB Inv. Prod 3,000 50,000 1, , , ,500 1,143 11,978 1, DB TOP 3150CF 0002 JAN14 TOPDWF Inv. Prod 3,000 78,360 1, , , ,182, ,648 1, DB TOP 32500CM 0002 JUL13 TOPDWM Inv. Prod 3, ,028 57,409 1, ,723 29, DB TOP 3350CD 0002 NOV13 TOPDWD Inv. Prod 3,000 18,356 1, , ,813 23,481 90,778 1, DB TOP 3550CG 0002 FEB14 TOPDWG Inv. Prod 3, , ,054, , DB TOP 3650CH 0002 FEB14 TOPDWH Inv. Prod 3,000 2,718, ,710,304 3,994 17, DB TOP 4000PY 0002 OCT13 TOPDWY Inv. Prod 3,000 29,249, , ,976,487 32,820 55,243 1, DB TOP 4100PR 0002 FEB14 TOPDWR Inv. Prod 3,000 1,234, ,286,237 1,252 3, DB TOP 4200PS 0002 FEB14 TOPDWS Inv. Prod 3,000 52, , IB AGLR158CHL1:1JUL14 AGLIHL Inv. Prod 1,400 I / , , , , ,959 7,380 IB AGRICOM- ONE MAY 2015 AGRIBA Other Sec 7 916, ,006, ,300 IB BILR210CHK1:1JUL14 BILIHK Inv. Prod 1,000 F /09 55,200 10, , , ,674, ,742 10,968 8,893 IB BTI R338CHB 1:1OCT13 BTIIHB Inv. Prod 295 F /05 I / , , , , ,825 23,498 11, ,788 16,456 11,877 IB CFR 6900CHB1:1JUL14 CFRIHB Inv. Prod 2,600 F /09 3, ,961 3,890 IB EUR50 AUTOCALL3 JUL16 EURIIB Inv. Prod , , , ,614 IB FPT 9.662CBV 1:1JUL16 FPTIVB Inv. Prod 10, IB GRT CVD 1:1APR22 GRTIVD Inv. Prod 11,500 1, ,007 2, ,699 1,100 IB GRT 1850CVE1:1MAR28 GRTIVE Inv. Prod 1,000 1, , IB GRT517BC1:1 JUL19 GRTIVC Inv. Prod 997 2, ,266 2,234 IB HYP BC 1:1 JUL16 HYPIVC Inv. Prod 77 6, ,308 7, ,744 6,052 IB IPF CVA1:1JUL16 IPFIVA Inv. Prod 150 1, ,263 1, , IB IPF CVB 1:1APR22 IPFIVB Inv. Prod 40 1, IB IPLR157CHE1:1JUL14 IPLIHE Inv. Prod 350 F /09 12,745 7, , , , ,608 6,821 IB KIOR353CHC1:1JUL14 KIOIHC Inv. Prod 140 I /08 3,260 14, , , , ,065 14,567 9,133 IB MTN R129CHJ 1:1MAY14 MTNIHJ Inv. Prod 1,900 I /09 60,638 7, , , ,874, ,442 7,583 4,390 IB NPNR596CHB1:1JUL14 NPNIHB Inv. Prod 500 F /09 5,000 36, , , ,835, ,136 36,829 29,990 IB RDF 720CHF 1:1JAN14 RDFIHF Inv. Prod 1,250 IT 27/ , , , IB RDF R714.69CVD1:1MAY24 RDFIVD Inv. Prod 1,500 54, , , IB REMR145CHI1:1JUL14 REMIHI Inv. Prod 340 9,159 6, , , , ,337 6,111 4,821 IB SBK 8900CHG1:1FEB14 SBKIHG Inv. Prod 1,200 F /04 I /09 5,740 3, , , , ,083 3,534 2,120 IB SHP R132CHF 1:1MAY14 SHPIHF Inv. Prod 650 F /09 39,770 4, , , ,579, ,876 6,450 3,393 IB SOL R308CHJ 1:1MAY14 SOLIHJ Inv. Prod ,340 20, , , ,025, ,939 20,200 12,153 IB SP500 ACCELERAT APR14 ESPIBR Inv. Prod 11 1,954, ,998 1,872,826 1,616,938 IB SP500 AUTOCALL5 JUL18 SPXIIE Inv. Prod ,370 IB SP500 AUTOCALL5 OCT15 SPXIID Inv. Prod 3 1,090, ,066, , , , ,300 IB SP500 DIGITAL + SEP14 ESPIBU Inv. Prod 5 1,506,867 IB SP500 GEAR GROW JAN16 ESPIBZ Inv. Prod 4 1,294, ,829 1,318,892 1,052, ,053,319 1,007,888 IB STX40 CAPPED GR NOV13 ESPIBP Inv. Prod 0 1,410,852 IB SYC CBV 1:1JUL16 SYCIVB Inv. Prod 5,000 5,000 2, , , , ,586 2,244 IB SYC BC 1:1JUL19 SYCIVC Inv. Prod 56 2,293 IB TOP40 FENCEGRTH JUN14 ESPIBQ Inv. Prod ,475, ,475, ,494, , ,449 1,475,183 1,228, ,039 1,039,410 1,039,410 IB TOP40 GEAR GROW DEC14 ESPIBT Inv. Prod ,408, ,380, ,440, , ,324 1,408,251 1,266, ,338 1,250,504 1,020,000 SECURITIES INFORMATION 40 DIVIDEND FOOTNOTES F = Final dividend (current year) I = Interim dividend + = See Company Information Totals for shares traded, value and deals for Current month and Range for 2006 may vary due to correction trades Closing price but no high/low for month indicates last price in preceeding month Buyers/sellers price given as closing price, but no high low indicates either (a) no sales in current month, but no buyers and sellers prices, Or (b) Historical buyers and sellers prices only. 41

34 2010 PAYMENTS 2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR SEPTEMBER 2013 TRADING STATISTICS 2013 TO SEPTEMBER TRADING STATISTICS 2012 SECURITIES INFORMATION ISSUED NATURE OF SHARES PAY PAY OTHER HIGH HIGH LOW LOW CLOSE DAYS VOLUME VALUE HIGH LOW VOLUME VALUE HIGH LOW SECURITY BUSINESS (000 S) DIV CAP DIV CAP DIV CAP DIV AMT DATE DIV AMT DATE PAY VOLUME PRICE DATE PRICE DATE PRICE DEALS TRADE VALUE (000 s) (R000 s) PRICE PRICE (000 s) (R000 s) PRICE PRICE SHARE CODE IB TOP40 PROTECTOR JUN14 ESPIBS Inv. Prod 1 1,295,872 IB VKE850CVA1:1MAY24 VKEIVA Inv. Prod , IB VOD 8300CHA1:1MAY14 VODIHA Inv. Prod 700 F /07 14,976 4, , , , ,094 4,421 2,246 IBRDF CVC1:1JUL16 RDFIVC Inv. Prod 5,000 26, , , IBTOP40GEARGROW027APR15 ESPIBV Inv. Prod 5 2 1,426, ,377, ,444, , ,528 1,426,261 1,280, ,205,000 1,042,001 IBTOP40GEARGROW0330SEP15 ESPIBW Inv. Prod 1 4 1,250, ,238, ,303, , ,266 1,250,000 1,150, ,150, ,681 IBTOP40GEARGROW0427OCT16 ESPIBA Inv. Prod ,051, ,035, ,085, , ,051,901 1,009,352 IBTOP40GEARGROW0430SEP15 ESPIBX Inv. Prod 0 6,978,337 IBTOP40GEARGROW0516MAR17 ESPIBB Inv. Prod 1 1,000,000 NB ABL 1466CIG 1:1OCT13 ABLNIG Inv. Prod 100, I / ,020 1, ,850 1,850 NB ACL1958CII 1:1OCT13 ACLNII Inv. Prod 100, , , , ,234 2, , NB AGLR192.29CNG1:1OCT13 AGLNNG Inv. Prod 100,000 F /04 I /09 2,000 5, , , , ,500 2, ,547 9,868 NB ANGLO STUB 15JUL 2014 NBAGL Inv. Prod 15, ,953 10, , , ,646,745 5, ,918 10,484 7,180 NB ANGLO STUB 18JUL2013 NBAGL5 Inv. Prod 15,000 7,798 6, ,577 10,300 6,471 10,590 1,068,570 11,500 8,286 NB ANGLO STUB6 19JUL2013 NBAGL6 Inv. Prod 15,000 NB ANGLO STUB7 19JUL2013 NBAGL7 Inv. Prod 15, ,864 6,863 NB ANGLO STUB8 19JUL2013 NBAGL8 Inv. Prod 15,000 6,479 1,230,970 19,001 17,069 NB ANGLO STUB9 24OCT2012 NBAGL9 Inv. Prod 8,000 10, ,680 11,200 11, ,758 11,739 11,739 NB APN 7900CIG 1:1OCT13 APNNIG Inv. Prod 100,000 1,980 19, , , , ,074 22,500 8,755 NB ASA 6870CII 1:1OCT13 ASANII Inv. Prod 100,000 F /04 I /09 7, ,436 9,922 7,181 NB BILR205.20CNF1:1OCT13 BILNNF Inv. Prod 100,000 I /03F /09 9, ,900 7,134 NB CFR 2757CIE 1:1OCT13 CFRNIE Inv. Prod 100,000 F /09 7,346 NB EXX 8673CIG 1:1OCT13 EXXNIG Inv. Prod 100,000 F /04 I /09 7, ,171 5,516 NB FSR 1603CIJ 1:1APR14 FSRNIJ Inv. Prod 100,000 5,500 1, , , , ,855 1,222 NB FSR 1943CNH 1:1OCT13 FSRNNH Inv. Prod 100,000 I /04 5,500 1, , , , ,731 1, ,586 1,354 1,090 NB GFI 3241CIJ 1:1APR14 GFINIJ Inv. Prod 100,000 16,478 2, , , , ,056 1,694 NB GFI 8174CNG 1:1OCT13 GFINNG Inv. Prod 100,000 F / ,402 3,259 NB HAR 3507CII 1:1OCT13 HARNII Inv. Prod 100,000 I /03 7, , ,315 3, NB IMPR107.87CNF1:1OCT13 IMPNNF Inv. Prod 100,000 I /03 F 51 23/09 1,000 2, , , , , NB INL 2515CIF 1:1OCT13 INLNIF Inv. Prod 100, F /08 4, ,615 3,670 NB INP 3140CIJ 1:1APR14 INPNIJ Inv. Prod 100,000 F /08 F /08 9,200 3, , , , ,745 3,463 NB INP 4012CNH1:1OCT13 INPNNH Inv. Prod 100, F /08 F /08 2, ,964 2,729 NB KIOR245.75CIH1:1OCT13 KIONIH Inv. Prod 100,000 F /03I /08 22, ,093 20,094 NB MND 5950CIH 1:1APR14 MNDNIH Inv. Prod 100,000 I /09 11,439 NB MNP 5975CIH 1:1APR14 MNPNIH Inv. Prod 100,000 I /09 11, ,741 7,395 NB MTN 8170CIJ 1:1APR14 MTNNIJ Inv. Prod 100,000 I /09 11, ,410 9,372 NB MTNR113.9CNJ 1:1OCT13 MTNNNJ Inv. Prod 100,000 F /04 I /09 8, ,124 5, ,008 5,752 NB MUR 1135CIG 1:1NOV13 MURNIG Inv. Prod 100,000 33,800 1, , , , ,714 1,508 NB OML 1204CIJ 1:1OCT13 OMLNIJ Inv. Prod 100, F /05 25,030 1, , , , ,808 1,939 1, ,330 1,321 NB PIK 2093CII 1:1OCT13 PIKNII Inv. Prod 100, F /06 7,451 1, , , , ,065 1, ,258 2,148 NB REI 780CIE 1:1OCT13 REINIE Inv. Prod 100,000 1, , NB RMH 1822CII 1:1OCT13 RMHNII Inv. Prod 100,000 I /04 2, ,627 2,065 NB SAB R234.57CIJ 1:1APR14 SABNIJ Inv. Prod 100,000 F /08 28, ,178 30,959 24,907 NB SAP 1305CIK 1:1APR14 SAPNIK Inv. Prod 100,000 57,850 1, , , , ,415 1,441 1,101 NB SBK 5751CIN 1:1APR14 SBKNIN Inv. Prod 100,000 I / , , , , ,225 5,984 NB SBK 7650CNL 1:1OCT13 SBKNNL Inv. Prod 100,000 F /04 I /09 2,381 4, , , , ,946 3, ,094 2,888 NB SBK 8772CNIK1:1JAN14 SBKNNM Inv. Prod 100,000 F /04 I /09 14,000 3, , , , ,197 3,440 2,840 NB SHF 1415CII 1:1OCT13 SHFNII Inv. Prod 100, ,213 2, , , , ,625 15, ,012 1,557 1,435 NB SHP 8526CIH 1:1OCT13 SHPNIH Inv. Prod 100,000 I /03 F / , , , , ,467 11,049 8,421 NB SLM 2284CIJ 1:1APR14 SLMNIJ Inv. Prod 100,000 F /04 IS 29/ ,000 2, , , , ,816 2,159 NB SOLR281.32CNF1:1OCT13 SOLNNF Inv. Prod 100,000 I /04 20, ,948 19,327 10, ,474 13,867 NB SPP 6047CII 1:1OCT13 SPPNII Inv. Prod 100, I /06 6, ,457 5, ,783 6,701 NB STX 1708CIJ 1:1APR14 STXNIJ Inv. Prod 100,000 I /07 I /07IT 12/ ,327 I /07 IT 12/ NB STX 2430CNF 1:1OCT13 STXNNF Inv. Prod 100,000 F /01 F /01IT 22/ , ,420 1, ,267 1,162 F /01 I /04IT 22/ I /04 I /07IT 19/ I /07 I /07IT 19/ IT 12/ IT 12/ NB TBS R133.5CII 1:1OCT13 TBSNII Inv. Prod 100,000 F /01 I / , , , , ,273 15, ,695 15,400 NB TRU 4700CIG 1:1NOV13 TRUNIG Inv. Prod 100,000 I /03 F /09 4, ,419 3, ,736 5,736 NB VOD 5420CIE 1:1APR14 VODNIE Inv. Prod 100,000 F /07 7, ,440 5,877 NB VOD 7574CNG 1:1OCT13 VODNNG Inv. Prod 100, F /07 7,178 5, , , , ,500 5,672 3, ,400 3,850 NB WHL 3360CIH 1:1NOV13 WHLNIH Inv. Prod 100,000 I /03 F /09 5,230 4, , , , ,068 4,245 2, ,978 3,949 NBAGLR114.64CII1:1APR14 AGLNII Inv. Prod 100,000 I /09 13, ,988 9,005 NBAMSR199.00CIH 1:1OCT13 AMSNIH Inv. Prod 100,000 6,800 22, , , ,497, ,468 25,525 9,933 NBANG 9725CIJ 1:1APR14 ANGNIJ Inv. Prod 100,000 I /06 NBBILR132.14CIJ1:1APR14 BILNIJ Inv. Prod 100,000 F /09 4,060 17, , , , ,669 17,064 NBBVTR103.85CII1:1OCT13 BVTNII Inv. Prod 100,000 I /04 F /09 10,000 15, , , ,531, ,781 16,293 11, ,251 11,632 NBIMP 6360CIN1:1APR14 IMPNIN Inv. Prod 100,000 F 51 23/09 6, ,149 4,175 NBKIOEXXSTUB10 24JAN2014 NBEXX1 Other Sec 360,000 1,316 20, , , , ,655 21,028 7,286 NBMTN R133.85CNI 1:1JAN14 MTNNNK Inv. Prod 100,000 F /04 I /09 6, ,275 6,500 4,326 NBNPNR268.50CII 1:1OCT13 NPNNII Inv. Prod 100,000 F /09 66, ,324 34,449 31, ,836 31,026 NBSOLR194.00CIJ 1:1APR14 SOLNIJ Inv. Prod 100,000 29,572 SB ABL 1180CTJ 1:1JUL14 ABLSTJ Inv. Prod 25, , ,634, , SB ABL 1750CD 8:1MAR14 ABLSBD Warrants 100, , , SB ABL 2000CC 8:1JAN14 ABLSBC Warrants 100,000 5,470, ,230 24,892 3, SB ABL 2300CTI 1:1MAY14 ABLSTI Inv. Prod 25,000 I /06 130, ,680 1,031 2, SB ABL 2500CB 10:1JAN14 ABLSBB Warrants 100, ,237 1, SB ABL 3300CA 8:1NOV13 ABLSBA Warrants 100, , SB AGL R140CTH 1:1JUL14 AGLSTH Inv. Prod 25,000 I /09 1,084 12, , , , ,716 11,836 SB AGL R175CTG 1:1OCT13 AGLSTG Inv. Prod 25,000 F /04 I /09 2,084 8, , , , ,578 13,000 2, ,709 11,635 8,603 SB AGL R200PS 55:1JAN14 AGLSBS Warrants 100,000 1,624, ,810 6,444 1, SB AGL R215CA 70:1FEB14 AGLSBA Warrants 100, , ,550 5,011 1, SB AGL R220PT 50:1MAR14 AGLSBT Warrants 100,000 1,127, ,236 1, SB AGL R250CO 75:1DEC13 AGLSBO Warrants 100,000 1,026, ,140 46,924 7, SB AGL R260CB 85:1APR14 AGLSBB Warrants 100, , , SB AMS R210CTH 1:1JUL14 AMSSTH Inv. Prod 25,000 23, ,850 22,850 SB AMS R300CTG 1:1OCT13 AMSSTG Inv. Prod 25, , , , ,846 22,985 2, ,240 17,580 10,415 SB AMS R310CG 120:1JAN14 AMSSBG Warrants 100,000 95, ,250 4,706 1, SB AMS R380CF 130:1DEC13 AMSSBF Warrants 100, , ,969 8,567 1, SB AMS R450CE 150:1OCT13 AMSSBE Warrants 100, , ,000 6, SB ANG R105CTI 1:1JUL14 ANGSTI Inv. Prod 25,000 17,000 4, , , , ,924 3,132 SB ANG R135PP 50:1MAR14 ANGSBP Warrants 100,000 2,835, ,016,488 2,844 1, SB ANG R145CI 65:1FEB14 ANGSBI Warrants 100,000 8,975, ,505,843 20,349 4, SB ANG R150CTH 1:1MAY14 ANGSTH Inv. Prod 25,000 I /06 68,610 1, , , ,145, ,536 5,600 1,150 SB ANG R170CH 70:1JAN14 ANGSBH Warrants 100, , ,970 36,492 4, SB ANG R185CG 70:1DEC13 ANGSBG Warrants 100, , SECURITIES INFORMATION 42 DIVIDEND FOOTNOTES F = Final dividend (current year) I = Interim dividend + = See Company Information Totals for shares traded, value and deals for Current month and Range for 2006 may vary due to correction trades Closing price but no high/low for month indicates last price in preceeding month Buyers/sellers price given as closing price, but no high low indicates either (a) no sales in current month, but no buyers and sellers prices, Or (b) Historical buyers and sellers prices only. 43

35 2010 PAYMENTS 2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR SEPTEMBER 2013 TRADING STATISTICS 2013 TO SEPTEMBER TRADING STATISTICS 2012 SECURITIES INFORMATION ISSUED NATURE OF SHARES PAY PAY OTHER HIGH HIGH LOW LOW CLOSE DAYS VOLUME VALUE HIGH LOW VOLUME VALUE HIGH LOW SECURITY BUSINESS (000 S) DIV CAP DIV CAP DIV CAP DIV AMT DATE DIV AMT DATE PAY VOLUME PRICE DATE PRICE DATE PRICE DEALS TRADE VALUE (000 s) (R000 s) PRICE PRICE (000 s) (R000 s) PRICE PRICE SHARE CODE SB ANG R220CF 65:1DEC13 ANGSBF Warrants 100, ,149 2, SB ANG R240CE 75:1OCT13 ANGSBE Warrants 100, , SB ANG R270CD 90:1OCT13 ANGSBD Warrants 100, ,218 3, SB ASA R140PT 35:1JAN14 ASASBT Warrants 100, SB ASA R160CJ 40:1JAN14 ASASBJ Warrants 100,000 16,643, ,174,065 36,953 5, SB ASA R170CI 35:1NOV13 ASASBI Warrants 100, , SB BGA R150CA 40:1MAR14 BGASBA Warrants 100,000 2,815, ,258 3, SB BIL R175CTI 1:1OCT13 BILSTI Inv. Prod 25,000 I /03F /09 5,735 13, , , , ,612 14,450 8, ,233 13,860 10,612 SB BIL R235PZ 65:1JAN14 BILSBZ Warrants 100,000 1,366, ,951 15,019 1, SB BIL R270PP 90:1FEB14 BILSBP Warrants 100, , ,760 3, SB BIL R285CE 80:1DEC13 BILSBE Warrants 100,000 2,785, ,086,534 24,048 7, SB BIL R320CF 90:1APR14 BILSBF Warrants 100,000 1,266, ,049 1, SB BTI R340CTB 1:1MAY14 BTISTB Inv. Prod 25,000 F /05 I /09 4,844 21, , , ,034, ,804 24,455 15,962 SB CFR 4000CTG 1:1OCT13 CFRSTG Inv. Prod 25,000 F /09 2,132 6, , , , ,532 6,255 2, ,797 3,177 1,632 SB CFR 6650PQ 20:1DEC13 CFRSBQ Warrants 100, ,941 1, SB CFR 7800CG 25:1JAN14 CFRSBG Warrants 100,000 21, ,230 14,401 9, SB CFR 8800PR 30:1FEB14 CFRSBR Warrants 100,000 1,758, ,033 3, SB CFR R100CH 30:1FEB14 CFRSBH Warrants 100,000 15,512, ,736,004 17,553 6, SB EXX R110CTG 1:1OCT13 EXXSTG Inv. Prod 25, F /04 I /09 10,450 5, , , , ,151 8,111 3, ,785 8,400 5,950 SB EXX R150CH 50:1JAN14 EXXSBH Warrants 100, , ,383 10,122 3, SB EXX R175CG 60:1NOV13 EXXSBG Warrants 100, , ,282 8,949 1, SB EXX R175CI 60:1APR14 EXXSBI Warrants 100,000 2,089, ,195 2, SB FSR 2300CTH 1:1MAY14 FSRSTH Inv. Prod 25,000 78,824 1, , , ,794 1, SB FSR 2950CN 8:1FEB14 FSRSBN Warrants 100,000 1,926, ,003,206 33,780 13, SB FSR 3000PY 9:1JAN14 FSRSBY Warrants 100,000 1,939, ,618 4,230 1, SB FSR 3300CM 10:1JAN14 FSRSBM Warrants 100,000 4,612, ,816 25,705 3, SB GFI 3600CTJ 1:1JUL14 GFISTJ Inv. Prod 25,000 1,700 1, , , , ,025 1,668 SB GFI 5000CTI 1:1MAY14 GFISTI Inv. Prod 25,000 51,509 1, , ,498 2, SB GFI 5200CD20:1APR14 GFISBD Warrants 100,000 1,776, ,914 1, SB GFI 5800PP 25:1FEB14 GFISBP Warrants 100,000 81, ,725 2,932 1, SB GFI 6000CC 25:1JAN14 GFISBC Warrants 100,000 15,961, ,004,360 25,733 4, SB GFI 6600CB 30:1DEC13 GFISBB Warrants 100,000 1,359, ,949 23,472 2, SB GFI 7000CA 25:1DEC13 GFISBA Warrants 100, , ,020 8, SB GFI 8500CO 25:1OCT13 GFISBO Warrants 100, ,434 1, SB GLD R150CD 30:1DEC13 GLDSBD Warrants 100,000 1,024, ,567 14,015 1, SB GND 1100CTG 1:1OCT13 GNDSTG Inv. Prod 25,000 F /03 I 17 30/09 13,200 1, , , , ,476 1, SB GRT 2600CA 8:1FEB14 GRTSBA Warrants 100,000 53, , SB HAR 2700CTI 1:1JUL14 HARSTI Inv. Prod 25,000 2,500 1, , , , ,760 1,149 SB HAR 3800PP 20:1FEB14 HARSBP Warrants 100, , ,854 5,961 2, SB HAR 3900CC 20:1JAN14 HARSBC Warrants 100,000 4,317, ,716 20,481 5, SB HAR 4500CB 25:1JAN14 HARSBB Warrants 100, , ,483 4, SB HAR 4800CTH 1:1MAY14 HARSTH Inv. Prod 25,000 I /03 89, , ,849 2, SB HAR 5000CA 25:1DEC13 HARSBA Warrants 100,000 1,242, ,091 13,683 1, SB HAR 6000CO 25:1DEC13 HARSBO Warrants 100, , ,347 19,598 1, SB HAR 6500CN 20:1OCT13 HARSBN Warrants 100, ,068 7, SB IMP 7000CTH 1:1JUL14 IMPSTH Inv. Prod 25,000 F 51 23/09 3,841 6, , , , ,407 4,606 SB IMP R105CG 40:1JAN14 IMPSBG Warrants 100,000 8, ,094 14,466 3, SB IMP R115PR 40:1JAN14 IMPSBR Warrants 100, , ,045 2, SB IMP R125CH 50:1APR14 IMPSBH Warrants 100, , , SB IMP R135CF 50:1DEC13 IMPSBF Warrants 100,000 6,373, ,027 19,734 1, SB IMP R150CE 45:1OCT13 IMPSBE Warrants 100, , SB IMP R95CTG 1:1OCT13 IMPSTG Inv. Prod 25,000 I /03 F 51 23/09 49,587 3, , , ,435, ,843 8, ,039 7,654 5,478 SB INP 4750CTH 1:1MAY14 INPSTH Inv. Prod 25,000 F /08 F /08 4,700 2, , , , ,873 2,046 SB KIO R335CTH 1:1JUL14 KIOSTH Inv. Prod 25,000 I / , , , , ,500 14,890 SB KIO R440CTG 1:1MAY14 KIOSTG Inv. Prod 25,000 F /03I /08 5,598 11, , , , ,460 25,262 8,510 SB KIO R480CH 160:1MAR14 KIOSBH Warrants 100,000 3,153, ,162,863 4,949 1, SB KIO R490CG 160:1JAN14 KIOSBG Warrants 100, , ,884 41,558 8, SB KIO R525CF 150:1NOV13 KIOSBF Warrants 100, , ,630 25,222 3, SB MPC R125PP 40:1JAN14 MPCSBP Warrants 100, , , SB MPC R130CA 40:1OCT13 MPCSBA Warrants 100,000 20, ,600 10,600 3, SB MPC R140CB 35:1MAR14 MPCSBB Warrants 100, , , SB MTN R125CTH 1:1MAY14 MTNSTH Inv. Prod 25,000 I /09 34,820 7, , , ,449, ,866 8,250 5,700 SB MTN R155PZ 45:1JAN14 MTNSBZ Warrants 100, , ,334 10,618 1, SB MTN R175CB 50:1DEC13 MTNSBB Warrants 100,000 2,368, ,470 40,558 13, SB MTN R185PP 45:1MAR14 MTNSBP Warrants 100, , , SB MTN R210CC 50:1MAR14 MTNSBC Warrants 100,000 7,114, ,533,342 12,900 3, SB NED R200CI 55:1DEC13 NEDSBI Warrants 100,000 2,703, ,627 3, SB NED R200CJ 50:1MAR14 NEDSBJ Warrants 100, , , SB NPN R360CTG 1:1OCT13 NPNSTG Inv. Prod 25, F / , , , , ,822 58,268 20, ,482 24,154 17,857 SB NPN R575PT 160:1JAN14 NPNSBT Warrants 100, ,394 1, SB NPN R640CH 220:1JAN14 NPNSBH Warrants 100,000 8, ,749 13,555 7, SB NPN R675PU 200:1FEB14 NPNSBU Warrants 100, , ,740 4,893 1, SB NPN R750CI 260:1FEB14 NPNSBI Warrants 100,000 1,209, ,468 6,419 3, SB NPN R800PV 240:1MAR14 NPNSBV Warrants 100, , , SB NPN R900CJ 260:1MAR14 NPNSBJ Warrants 100,000 21,223, ,227,568 22,806 10, SB OIL R985CD 250:1JUL14 OILSBD Inv. Prod 100,000 SB OML 2100CTH 1:1MAY14 OMLSTH Inv. Prod 25,000 76,055 1, , , ,602 1, SB OML 2850PP 7:1FEB14 OMLSBP Warrants 100,000 1,546, ,336 2, SB OML 2900CJ 9:1FEB14 OMLSBJ Warrants 100,000 3,613, ,342,941 4,497 1, SB OML 3000CI 7:1NOV13 OMLSBI Warrants 100,000 5,398, ,057,163 26,127 6, SB PLA R145CA 40:1JAN14 PLASBA Warrants 100,000 60, , SB PPC 2000CTH 1:1OCT13 PPCSTH Inv. Prod 25,000 F /01 I /06 102,176 1, , ,099, ,730 1, ,566 1, SB RDF 1000CA 3:1FEB14 RDFSBA Warrants 100, SB RDF 725CTC 1:1OCT13 RDFSTC Inv. Prod 25, IT 27/ , ,876 1,013 2, , SB SBK R120CE 30:1JAN14 SBKSBE Warrants 100,000 2,552, ,172 11,789 2, SB SGL 1000CB 6:1DEC13 SGLSBB Warrants 100, , ,690 10,105 1, SB SGL 1100CD 6:1APR14 SGLSBD Warrants 100,000 10,824, ,754,889 10,825 3, SB SGL 1350CA 8:1NOV13 SGLSBA Warrants 100, , ,184 6, SB SGL 750CC 4:1JAN14 SGLSBC Warrants 100,000 60, ,600 14,749 7, SB SHP R165PX 45:1JAN14 SHPSBX Warrants 100,000 1,320, ,820 8,828 2, SB SHP R175CC 50:1MAR14 SHPSBC Warrants 100,000 4,347, ,308,925 4,452 1, SB SHP R190CA 50:1OCT13 SHPSBA Warrants 100, , ,800 20,699 3, SB SHP R190CB 55:1FEB14 SHPSBB Warrants 100,000 12,624, ,212,924 35,662 6, SB SOL R350CTI 1:1SEP14 SOLSTI Inv. Prod 25,000 25,869 18, , , ,481, ,482 18,294 16,426 SB SOL R400PT 120:1NOV13 SOLSBT Warrants 100, , ,440 24,248 3, SB SOL R410CF 100:1JAN14 SOLSBF Warrants 100, , ,276 6,409 3, SB SOL R420CG 200:1FEB14 SOLSBG Warrants 100, , ,086 3,552 1, SB SOL R440PU 110:1MAR14 SOLSBU Warrants 100, , , SB SOL R490CH 120:1MAR14 SOLSBH Warrants 100,000 8,046, ,748,890 11,986 4, SECURITIES INFORMATION 44 DIVIDEND FOOTNOTES F = Final dividend (current year) I = Interim dividend + = See Company Information Totals for shares traded, value and deals for Current month and Range for 2006 may vary due to correction trades Closing price but no high/low for month indicates last price in preceeding month Buyers/sellers price given as closing price, but no high low indicates either (a) no sales in current month, but no buyers and sellers prices, Or (b) Historical buyers and sellers prices only. 45

36 2010 PAYMENTS 2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR SEPTEMBER 2013 TRADING STATISTICS 2013 TO SEPTEMBER TRADING STATISTICS 2012 SECURITIES INFORMATION ISSUED NATURE OF SHARES PAY PAY OTHER HIGH HIGH LOW LOW CLOSE DAYS VOLUME VALUE HIGH LOW VOLUME VALUE HIGH LOW SECURITY BUSINESS (000 S) DIV CAP DIV CAP DIV CAP DIV AMT DATE DIV AMT DATE PAY VOLUME PRICE DATE PRICE DATE PRICE DEALS TRADE VALUE (000 s) (R000 s) PRICE PRICE (000 s) (R000 s) PRICE PRICE SHARE CODE SB TFG R105CC 30:1FEB14 TFGSBC Warrants 100,000 1,851, ,253 5,148 1, SB TFG R120CB 25:1OCT13 TFGSBB Warrants 100, , ,000 5, SB TFG R135CA 40:1OCT13 TFGSBA Warrants 100, ,206 1, SB USD 1000CJ 2:1JUL14 USDSCJ Inv. Prod 100,000 SB VESRESETSWIX4015AUG18 SBSW24 Other Sec 17 SB VOD R115CA 30:1JAN14 VODSBA Warrants 100, , ,728 42,969 11, SB VOD R125CB 30:1APR14 VODSBB Warrants 100,000 64, , SB WHL 6400CB 25:1FEB14 WHLSBB Warrants 100, , ,654 7,121 2, SB WHL 7000CA 20:1OCT13 WHLSBA Warrants 100,000 3,643, ,723 83,624 11, SB WHL 7250PP 20:1JAN14 WHLSBP Warrants 100,000 2,192, ,940 4,640 1, SBTOP30000CI000100MAY14 TOPSBI Inv. Prod 100,000 9, ,726 8,568 5,485 SBTOP32500CKA0001DEC13 TOPSKA Inv. Prod 50, ,206 5, SBTOP32500PS0002JAN14 TOPSBS Inv. Prod 100, , , ,290 22, SBTOP35000PT0002FEB14 TOPSBT Inv. Prod 100,000 4,485, ,637 7,903 1, SBTOP36000CD0002JAN14 TOPSBD Inv. Prod 100, ,476 8, SBTOP39000CE0001MAR14 TOPSBE Inv. Prod 100,000 1,284, ,810 1, SBTOP40500PKU0001JUN14 TOPSKU Inv. Prod 50,000 7,001, ,022,410 7,024 2, SBTOP42000PZ000100MAY14 TOPSBZ Inv. Prod 100,000 63,480 4, , , ,562, ,292 8,304 3,425 SBVES RESETTOP40 11MAY18 SBTPV8 Other Sec ,056 SBVESRESETSWX4011DEC15 SBSW14 Other Sec 3 SBVESRESETTOP4018NOV16 SBTPV7 Other Sec ,734 SI GRT 1250CI 1:1OCT13 GRTSII Inv. Prod 25,000 I /03 F /09IT 25/ ,626 1, , , , ,516 1,859 1, ,410 1,242 IT 23/ SI RDF 480CI 1:1SEP14 RDFSII Inv. Prod 25,000 21, , SI SGL 370CB 1:1JUL14 SGLSIB Inv. Prod 25, , SI SGL 650CA 1:1MAY14 SGLSIA Inv. Prod 25, , ,423 1,052 4, SECURITIES INFORMATION 46 DIVIDEND FOOTNOTES F = Final dividend (current year) I = Interim dividend + = See Company Information Totals for shares traded, value and deals for Current month and Range for 2006 may vary due to correction trades Closing price but no high/low for month indicates last price in preceeding month Buyers/sellers price given as closing price, but no high low indicates either (a) no sales in current month, but no buyers and sellers prices, Or (b) Historical buyers and sellers prices only. 47

37 COMPANY INFORMATION COMPANY INFORMATION For all companies registered outside the common monetary area the issued and authorised capitals is shown in rand based on the appropriate exchange rate ruling at the time. KEY TO ABBREVIATIONS Cap. Iss = Capitalisation Issue Reduc. Of cap. = Reduction of capital Rts. Iss. = Rights Issue Consol. = Consolidation of shares C.D.O. = Closing date of offer Sub. Di. = Sub-division of shares (splits) Prelim. = Preliminary announcement L.D.T. = Last day to trade DETAILS LDT Record date Paydate/ Issue date AFRICAN BANK INVESTMENTS (Formerly BAOBAB SOLID GROWTH) (Formerly THETA GROUP) SC - Scrip Dividend: ABL shares for every 1000 ABL shares held OR cents 06/07/ /14/ /18/2013 per share held AFRICAN EAGLE RESOURCES PLC PV - Par Value Change: from 1 to 0.1 cents per share on 2013/06/25 06/24/ /01/2013 AG INDUSTRIES (Formerly AFRICA GLASS INDUSTRIES) TE - Termination: 2013/08/27 AGI has requested that the JSE terminate its listing on the JSE. ALERT STEEL HOLDINGS OL - Odd Lot Offer: The odd lot offer will be implemented by way of a specific repurchase of 01/04/ /11/ /14/2013 shares by the company. Shareholders may elect to sell or retain their shares. Those who do not make an election, will be automatically purchased by AET. UO - Unconditional Offer: Unconditional offer by Cannistraro Investments 282 Proprietary Limited 08/23/ /30/ /02/2013 to all the other shareholders of Alert Steel for a purchase consideration of cents per Alert Steel ordinary share. ALLIED TECHNOLOGIES SA - Scheme of Arrangement: See UO for details 08/08/ /16/ /19/2013 UO - Unconditional Offer: 2.22 ATNP shares for every 1 ALT share held OR 4750 cents per share 08/08/ /16/ /19/2013 held Part of Scheme of Arrangement. The aggregate Share Consideration will be limited to a maximum of 50% of the aggregate Scheme Consideration. CP - Capital Payment: 4750 cents per share held 08/08/ /16/ /19/2013 SU - Suspension: 2013/08/12 Part of Scheme of Arrangement TE - Termination: 2013/08/20 Part of Scheme of Arrangement TE - Termination: 2013/07/02 Scheme of Arrangement ANDULELA INVESTMENT HOLDINGS (Formerly DNR Capital Limited) (Formerly INDEPENDENT FINANCIAL SERVICES LTD) (Formerly VIERFONTEIN COLLIERY) PV - Par Value Change: from 1 to 0 cents per share on 2013/02/11 CO - Consolidation of Instruments: 1 AND share for every 50 AND shares held 04/19/ /26/ /29/2013 BARCLAYS AFRICA GROUP (Formerly ABSA GROUP) (Formerly AMALGAMATED BANKS OF SOUTH AFRICA) NC - Name Change: 2013/08/02 08/01/ /08/ /12/2013 BIOSCIENCE BRANDS (Formerly WELLCO HEALTH) SU - Suspension: 2013/09/18 Liquidation BLACKSTAR GROUP SE CO - Consolidation of Instruments: 1 BCK share for every 250 BCK shares held 06/21/ /28/ /01/2013 SD - Subdivision: 250 BCK shares for every 1 BCK share held 06/21/ /28/ /01/2013 NC - Name Change: 2013/06/24 06/21/ /28/ /01/2013 BLUE FINANCIAL SERVICES SU - Suspension: 2013/06/26 Late submission of financial results BRAIT SE (Formerly BRAIT S.A.) (Formerly BRAIT S.A. SOCIETE ANONYME) (Formerly BRAIT S.E. SOCIETAS EUROPEA) (Formerly TOLUX S A) SC - Scrip Dividend: BAT shares for every 100 BAT shares held OR cents 07/26/ /02/ /05/2013 per share held BRIKOR (Formerly BRICKOR) SU - Suspension: 2013/07/31 Provisional Liquidation BUSINESS CONNEXION GROUP SA - Scheme of Arrangement: See CP for details. 09/27/ /04/ /07/2013 CP - Capital Payment: 95 cents per share held 09/27/ /04/ /07/2013 SU - Suspension: 2013/09/30 Scheme of Arrangement 48

38 COMPANY INFORMATION DETAILS LDT Record date Paydate/ Issue date CAPE EMPOWERMENT (Formerly CONLOG HOLDINGS) (Formerly DYNAMIC CABLES RSA) (Formerly LOG-TEK HOLDINGS) SA - Scheme of Arrangement: See UO for details. Shareholders may also reject the cash offer 05/03/ /10/ /13/2013 and Ascension B unit offer and retain their Cape Empowerment shares in an unlisted company once the company delists. UO - Unconditional Offer: 1 AIB share for every 5 CAP shares held OR 36 cents per share held 05/03/ /10/ /13/2013 Part of the Scheme of Arrangement. Shareholders may also reject the cash offer and Ascension B unit offer and retain their Cape Empowerment shares in an unlisted company once the company delists. SC - Scrip Dividend: 1 AIB share for every 5 CAP shares held OR 36 cents per share held 05/03/ /10/ /13/2013 SU - Suspension: 2013/05/06 Scheme of Arrangement TE - Termination: 2013/05/14 Scheme of Arrangement COMPANY INFORMATION CAPITAL & COUNTIES PROPERTIES PLC SC - Scrip Dividend: 1 CCO share for every CCO shares held OR cents per 05/17/ /24/ /20/2013 share held PV - Par Value Change: from NPV to 25 cents per share on 2013/08/15 SC - Scrip Dividend: 1 CCO share for every CCO shares held OR 6.63 cents per 08/23/ /30/ /25/2013 share held CENTRAL RAND GOLD CO - Consolidation of Instruments: 1 CRD share for every 50 CRD shares held 06/07/ /14/ /18/2013 PV - Par Value Change: from to 1 cents per share on 2013/06/13 CHROMETCO PV - Par Value Change: from to 0 cent per share on 2013/05/20 CIPLA MEDPRO SOUTH AFRICA (Formerly ENALENI PHARMACEUTICALS) SA - Scheme of Arrangement: See CP for details. 07/05/ /12/ /15/2013 CP - Capital Payment: 1000 cents per share held 07/05/ /12/ /15/2013 SU - Suspension: 2013/07/08 Scheme of Arrangement TE - Termination: 2013/07/16 Scheme of Arrangement CLOVER INDUSTRIES (Formerly CLOVER INDUSTRIES ) (Including PS) CM - Full Redemption: cents per share held (PS) 05/24/ /31/ /03/2013 SU - Suspension: 2013/05/27 Final redemption (PS) TE - Termination: 2013/06/04 Final redemption (PS) CONSOLIDATED INFRASTRUCTURE GRP (Formerly BUILDWORKS GROUP) PV - Par Value Change: from 0.01 to 0 cent per share on 2013/05/27 OL - Odd Lot Offer: An odd-lot offer to odd-lot holders (holding less than 100 shares) - Capital 05/31/ /07/ /10/2013 OL - Odd Lot Offer: An odd-lot offer to odd-lot holders (holding less than 100 shares) - 05/31/ /07/ /10/2013 From retained earnings CR - Capital Reduction: 612 cents per share held 05/31/ /07/ /10/2013 OL - Odd Lot Offer: An odd-lot offer to odd-lot holders (holding less than 100 shares) - 05/31/ /07/ /10/2013 Capital and retain earnings CONVERGENET HOLDINGS (Formerly VESTA TECHNOLOGY HOLDINGS) (Formerly VESTOR INVESTMENTS) PV - Par Value Change: from 0.1 to 0 cent per share on 2013/02/28 CROOKES BROTHERS SC - Scrip Dividend: CKS shares for every 100 CKS shares held OR cents 07/05/ /12/ /15/2013 per share held CURRO HOLDINGS (Including NilPL) RT - Rights / Claw Back Offer: 21 COHN shares for every 100 COH shares held 04/05/ /12/2013 TU - Take-up Rights Offer: 1 COH share for every 1 COHN share held (NilPL) 05/03/ /10/2013 SU - Suspension: 2013/05/06 Expiry of NPL (NilPL) TE - Termination: 2013/05/13 Expiry of NPL (NilPL) CROOKES BROTHERS SC - Scrip Dividend: CKS shares for every 100 CKS shares held OR cents 07/05/ /12/ /15/2013 per share held DATATEC CR - Capital Reduction: 83 cents per share held 07/05/ /12/ /15/2013 DELTA EMD (Formerly DELTA ELECTRICAL INDUSTRIES) PV - Par Value Change: from 9 to 0 cents per share on 2013/07/08 49

39 DETAILS LDT Record date Paydate/ Issue date COMPANY INFORMATION DELTA PROPERTY FUND (Formerly DELTA PRO FUND) (Including NilPL) RT - Rights / Claw Back Offer: DLTN shares for every 100 DLT shares held 04/05/ /12/2013 TU - Take-up Rights Offer: 1 DLT share for every 1 DLTN share held (NilPL) 04/25/ /03/2013 SU - Suspension: 2013/04/26 Expiry of NPL (NilPL) TE - Termination: 2013/05/06 Expiry of NPL (NilPL) DIAMONDCORP PLC PV - Par Value Change: from 3 to 0.1 cents per share on 2013/07/04 DISCOVERY (Formerly DISCOVERY HOLDINGS) NC - Name Change: 2013/02/11 (PS) 02/08/ /15/ /18/2013 DORBYL (Including PS) CF - Conditional Offer: 110 cents per share held The offer is unconditional (PS) 02/08/ /15/ /18/2013 CF - Conditional Offer: 85 cents per share held The offer is unconditional 02/08/ /15/ /18/2013 CF - Conditional Offer: OR 100 cents per share held The offer is unconditional (PS) 02/08/ /15/ /18/2013 CP - Capital Payment: 110 cents per share held (PS) 02/08/ /15/ /18/2013 CP - Capital Payment: 85 cents per share held 02/08/ /15/ /18/2013 CP - Capital Payment: 100 cents per share held (PS) 02/08/ /15/ /18/2013 ELB GROUP (Formerly EDWARD L.BATEMAN) (Including PS) CM - Full Redemption: 200 cents per share held (PS) 05/03/ /10/ /13/2013 SU - Suspension: 2013/05/06 Full Redemption (PS) TE - Termination: 2013/05/14 Full Redemption (PS) ELLIES HOLDINGS PV - Par Value Change: from to 0 cent per share on 2013/05/15 EQSTRA HOLDINGS PV - Par Value Change: from 0.1 to 0 cent per share on 2013/05/17 ERBACON INVESTMENT HOLDINGS SU - Suspension: 2013/06/20 Business rescue proceedings by its major operating subsidiary. FAIRVEST PROPERTY HOLDINGS PV - Par Value Change: from 2 to 0 cent per share on 2013/04/25 FIRESTONE ENERGY SU - Suspension: 2013/03/15 Pending discussions for completion of restated investment agreement with Ariona. SL - Suspension Lifted: 2013/05/28 FIRST URANIUM CORPORATION CP - Capital Payment: cents per share held 03/08/ /15/ /18/2013 FOORD COMPASS (Formerly COMPASS PROPERTY HOLDINGS) SC - Scrip Dividend: FCPD shares for every 100 FCPD shares held OR cents 02/01/ /08/ /11/2013 per share held (Deb) SC - Scrip Dividend: FCPD shares for every 100 FCPD shares held OR 25.5 cents 07/26/ /02/ /05/2013 per share held (Deb) GIJIMA GROUP (Formerly ADVANCED SOFTWARE TECHNOLOGIES - ABRAXAS) (Formerly AST GROUP) (Formerly GIJIMA AST GROUP) PV - Par Value Change: from 0.1 to 0 cent per share on 2013/05/20 RT - Rights / Claw Back Offer: GIJN shares for every 100 GIJ shares held 05/24/ /31/2013 TU - Take-up Rights Offer: 1 GIJ share for every 1 GIJN share held (NilPL) 06/13/ /21/2013 SU - Suspension: 2013/06/14 Expiry of NPL (NilPL) TE - Termination: 2013/06/24 Expiry of NPL (NilPL) CO - Consolidation of Instruments: 1 GIJ share for every 20 GIJ shares held 07/12/ /19/ /22/2013 GOLD FIELDS (Formerly DRIEFONTEIN CONSOLIDATED) UB - Unbundling: 1 SGL share for every 1 GFI share held 02/08/ /15/2013 GROWTHPOINT PROPERTIES NC - Name Change: 2013/08/02 08/01/ /08/ /12/2013 PV - Par Value Change: from 2505 to 0 cents per share on 2013/08/02 08/01/ /08/2013 HARDWARE WAREHOUSE SA - Scheme of Arrangement: See CP for details 02/15/ /22/ /25/2013 CP - Capital Payment: 114 cents per share held 02/15/ /22/ /25/2013 SU - Suspension: 2013/02/18 Scheme of Arrangement TE - Termination: 2013/02/26 Scheme of Arrangement HYPROP INVESTMENTS PV - Par Value Change: from 494 to 0 cents per share on 2013/07/24 IFA HOTELS AND RESORTS PV - Par Value Change: from 1 to 0 cents per share on 2013/06/24 SA - Scheme of Arrangement: See CP for details 08/30/ /06/ /09/2013 CP - Capital Payment: 20 cents per share held 08/30/ /06/ /09/2013 SU - Suspension: 2013/09/02 Scheme of Arrangement TE - Termination: 2013/09/10 Scheme of Arrangement 50 ILLOVO SUGAR (Formerly C G SMITH SUGAR) CR - Capital Reduction: 61 cents per share held 06/28/ /05/ /08/2013

40 DETAILS LDT Record date Paydate/ Issue date INFRASORS HOLDINGS CF - Conditional Offer: 65 cents per share held The Initial Offer has been extended and Afrimat 06/28/ /05/ /08/2013 has also decided to increase the offer consideration INTU PROPERTIES PLC (Formerly CAPITAL SHOPPING CENTRES GROUP PLC) (Formerly LIBERTY INTERNATIONAL PLC) NC - Name Change: 2013/02/18 02/15/ /22/ /25/2013 SC - Scrip Dividend: ITU shares for every 100 ITU shares held OR cents per share held 04/19/ /26/ /04/2013 SC - Scrip Dividend: ITU shares for every 100 ITU shares held OR cents 04/19/ /26/ /04/2013 per share held JCI (Formerly CONSOLIDATED AFRICAN MINES) (Formerly JCI2) TE - Termination: 2013/04/16 Non compliance of JSE Listings Requirements (concerning timeous publication of IFRS compliant financial statements). JD GROUP PV - Par Value Change: from 5 to 0 cent per share on 2013/02/28 KAP INDUSTRIAL HOLDINGS (Formerly KAP INTERNATIONAL HOLDINGS) (Formerly KOLOSUS HOLDINGS) NC - Name Change: 2013/01/07 01/04/ /11/ /14/2013 COMPANY INFORMATION KAYDAV GROUP (Formerly TRADWISE GROUP) CR - Capital Reduction: 7 cents per share held 04/12/ /19/ /22/2013 KIBO MINING PLC CO - Consolidation of Instruments: 1 KBO share for every 15 KBO shares held 03/22/ /02/ /03/2013 LONRHO PLC (Formerly LONRHO AFRICA PLC) SA - Scheme of Arrangement: See CP for details 07/18/ /25/ /26/2013 CP - Capital Payment: cents per share held 07/18/ /25/ /02/2013 SU - Suspension: 2013/07/19 Scheme of Arrangement TE - Termination: 2013/08/05 Scheme of Arrangement MAS REAL ESTATE INC (Formerly MAS PLC) NC - Name Change: 2013/01/07 01/04/ /11/ /14/2013 SC - Scrip Dividend: MSP shares for every 100 MSP shares held OR cents 01/18/ /25/ /01/2013 per share held SC - Scrip Dividend: MSP shares for every 100 MSP shares held OR cents 07/05/ /12/ /19/2013 per share held MEDICLINIC INTERNATIONAL (Formerly MEDI-CLINIC CORPORATION) PV - Par Value Change: from 10 to 0 cent per share on 2013/01/16 MIX TELEMATICS (Formerly TELIMATRIX) PV - Par Value Change: from to 0 cent per share on 2013/04/08 MOBILE INDUSTRIES TE - Termination: 2013/07/16 Failure to comply with the Listings Requirements. Shareholders will remain in an unlisted company. MONDI (Formerly Magenta plc) OL - Odd Lot Offer: Second record date. Shareholders who are odd lot holders on the first and 05/31/ /07/ /24/2013 second record date will be entitled to participate in the odd lot offer. Odd lot holders wishing to retain their MND shares may elect to do so. MONDI PLC OL - Odd Lot Offer: Second record date. Shareholders who are odd lot holders on the first and 05/31/ /07/ /24/2013 second record date will be entitled to participate in the odd lot offer. Odd lot holders wishing to retain their MND shares may elect to do so. MUVONI TECHNOLOGY GROUP (Formerly IDECO GROUP) (Formerly IDECO GROUP) SA - Scheme of Arrangement: See CP for details 07/19/ /26/ /29/2013 CP - Capital Payment: 20 cents per share held 07/19/ /26/ /29/2013 SU - Suspension: 2013/07/22 Scheme of Arrangement TE - Termination: 2013/07/30 Scheme of Arrangement MUSTEK PV - Par Value Change: from 0.8 to 0 cent per share on 2013/01/28 NEW AFRICA INVESTMENT (Including Nord) UO - Unconditional Offer: cents per share held Shareholders may elect to receive 01/11/ /18/ /21/ cps PLUS a portion of the potential agterskot which will be payable as and when the cash claim is determined; OR cps with no agterskot. TE - Termination: 2013/01/30 Section 124 of the Companies Act NEW BOND CAPITAL (Formerly MVELAPHANDA GROUP) SA - Scheme of Arrangement: See CV for details 05/24/ /31/ /03/2013 CV - Conversion of Instruments: 1.12 BCK shares for every 100 NBC shares held 05/24/ /31/ /03/2013 SU - Suspension: 2013/05/27 Scheme of Arrangement TE - Termination: 2013/06/04 Scheme of Arrangement 51

41 DETAILS LDT Record date Paydate/ Issue date COMPANY INFORMATION NEW EUROPE PROPERTY INVESTMENTS PLC (Formerly NEW EUROPE PROP INV PLC ) SC - Scrip Dividend: NEP shares for every 100 NEP shares held OR cents 03/20/ /28/ /08/2013 per share held RT - Rights / Claw Back Offer: NEPN shares for every 100 NEP shares held 06/28/ /05/2013 TU - Take-up Rights Offer: 1 NEP share for every 1 NEPN share held (NilPL) 07/19/ /26/2013 SU - Suspension: 2013/07/22 Expiry of NPL (NilPL) TE - Termination: 2013/07/29 Expiry of NPL (NilPL) SC - Scrip Dividend: NEP shares for every 100 NEP shares held OR cents 09/13/ /20/ /30/2013 per share held NIVEUS INVESTMENTS (Formerly NIVEUS INVESTMENTS) SC - Scrip Dividend: 1 NIV share for every 70 NIV shares held OR 15.3 cents per share held 08/01/ /08/ /12/2013 NORTHAM PLATINUM PV - Par Value Change: from 1 to 0 cent per share on 2013/01/23 OANDO PLC (Including NilPL) SU - Suspension: 2013/01/31 Expiry of NPL (NilPL) SL - Suspension Lifted: 2013/02/06 (NilPL) TU - Take-up Rights Offer: 1 OAO share for every 1 OAON share held (NilPL) 02/13/ /20/2013 SU - Suspension: 2013/02/14 Expiry of NPL (NilPL) TE - Termination: 2013/02/21 Expiry of NPL (NilPL) OASIS CRESCENT PROPERTY FUND (Including PL) SC - Scrip Dividend: 2.24 OAS shares for every 100 OAS shares held OR cents 05/24/ /31/ /03/2013 per share held (PL) SC - Scrip Dividend: 0.3 OAS shares for every 100 OAS shares held OR cents per 05/24/ /31/ /03/2013 share held (PL) SC - Scrip Dividend: 0.21 OAS shares for every 100 OAS shares held OR cents per 05/24/ /31/ /03/2013 share held (PL) PAN AFRICAN RESOURCES PLC (Including NilPL) TU - Take-up Rights Offer: 1 PAN share for every 1 PANN share held (NilPL) 01/04/ /11/2013 SU - Suspension: 2013/01/07 Expiry of NPL (NilPL) TE - Termination: 2013/01/14 Expiry of NPL (NilPL) PLATFIELDS (Formerly PLATFIELDS) SU - Suspension: 2013/07/01 Failure to submit the provisional report temeously. PRESCIENT (Formerly PBT GROUP) (Formerly WOOLTRU) SC - Scrip Dividend: PCT shares for every 100 PCT shares held OR cents per 07/26/ /02/ /05/2013 share held QUANTUM PROPERTY GROUP (Formerly ANBEECO INVESTMENT HOLDINGS) SU - Suspension: 2013/02/20 The instrument unsuspended due to the charge code being amended. QUEENSGATE HOTELS & LEISURE (Formerly CYBERHOST) TE - Termination: 2013/02/18 Winding up order RAINBOW CHICKEN (Including NilPL) RT - Rights / Claw Back Offer: 80 RBWN shares for every 100 RBW shares held 02/01/ /08/2013 TU - Take-up Rights Offer: 1 RBW share for every 1 RBWN share held (NilPL) 02/22/ /01/2013 SU - Suspension: 2013/02/25 Expiry of NPL (NilPL) TE - Termination: 2013/03/04 Expiry of NPL (NilPL) RBA HOLDINGS PV - Par Value Change: from to 0 cent per share on 2013/05/29 RT - Rights / Claw Back Offer: RBAN shares for every 100 RBA shares held 06/13/ /21/2013 TU - Take-up Rights Offer: 1 RBA share for every 1 RBAN share held (NilPL) 07/05/ /12/2013 SU - Suspension: 2013/07/08 Expiry of NPL (NilPL) TE - Termination: 2013/07/15 Expiry of NPL (NilPL) RCL FOODS (Formerly RAINBOW CHICKEN) NC - Name Change: 2013/09/02 08/30/ /06/ /09/2013 REBOSIS PROPERTY FUND (Including NilPL) RT - Rights / Claw Back Offer: REBN shares for every 100 REB shares held 01/04/ /11/2013 TU - Take-up Rights Offer: 1 REB share for every 1 REBN share held (NilPL) 01/25/ /01/2013 SU - Suspension: 2013/01/28 Expiry of NPL (NilPL) TE - Termination: 2013/02/04 Expiry of NPL (NilPL) REDEFINE PROPERTIES (Formerly REDEFINE INCOME FUND) PV - Par Value Change: from to 0 cent per share on 2013/04/04 REMGRO PV - Par Value Change: from 1 to 0 cent per share on 2013/01/17 REUNERT PV - Par Value Change: from 10 to 0 cent per share on 2013/05/24 CM - Full Redemption: 200 cents per share held (PS) 06/21/ /28/ /01/2013 SU - Suspension: 2013/06/24 Full Redemption (PS) TE - Termination: 2013/07/02 Full Redemption (PS) 52

42 DETAILS LDT Record date Paydate/ Issue date RGT SMART MARKET INTELLIGENCE (Formerly RGT SMART MARKERT INTELLIGENCE) PV - Par Value Change: from 1 to 0 cents per share on 2013/06/06 SA - Scheme of Arrangement: See CP for details 07/19/ /26/2013 CP - Capital Payment: 10 cents per share held 07/19/ /26/ /29/2013 SU - Suspension: 2013/07/22 Scheme of Arrangement TE - Termination: 2013/07/30 Scheme of Arrangement SABLE HOLDINGS SA - Scheme of Arrangement: See CP for details. Shareholders may elect to hold shares 08/23/ /30/ /02/2013 in an unlisted company. CP - Capital Payment: 2800 cents per share held 08/23/ /30/ /02/2013 SU - Suspension: 2013/08/26 Scheme of Arrangement TE - Termination: 2013/09/03 Scheme of Arrangement. The delisting is subject to the offer becoming unconditional on or before 30 September SACOIL HOLDINGS (Formerly MANGA-CHEM PRODUCTS) (Formerly SA MINERAL RESOURCES CORP) SU - Suspension: 2013/05/31 Resignation of Directors and application of suspension to trading of shares on AIM and the JSE COMPANY INFORMATION SALLIES (Formerly THE SOUTH AFRICAN LAND AND EXPLORATION COMPANY) TE - Termination: 2013/01/02 Debentures mature (Deb) SANYATI HOLDINGS SU - Suspension: 2013/02/20 The instrument unsuspended due to the charge code being amended. SEA KAY HOLDINGS SU - Suspension: 2013/03/20 The suspended was lifted in error due a bug in the system. SEARDEL INVESTMENT CORPORATION (Formerly SEARDEL INVESTMENT CORPORATION LD) (Formerly SEARDEL INVESTMENT CORPORATION) PV - Par Value Change: from 25 to 0 cents per share on 2013/09/30 SHERBOURNE CAPITAL (Formerly IFCA TECHNOLOGIES) SU - Suspension: 2013/03/05 Subsequent to the Arkein acquisition not being successfully completed SIMMER AND JACK MINES TE - Termination: 2013/04/16 Company's failure to inject viable assets SOVEREIGN FOOD INVESTMENTS PV - Par Value Change: from 1 to 0 cent per share on 2013/05/02 STANDARD BANK GROUP (Formerly STANDARD BANK INVESTMENT CORP LTD) SC - Scrip Dividend: SBK shares for every 100 SBK shares held OR cents 04/12/ /19/ /22/2013 per share held SYCOM PROPERTY FUND (Including NilPL) RT - Rights / Claw Back Offer: SYCN shares for every 100 SYC shares held (PL) 04/19/ /26/2013 TU - Take-up Rights Offer: 1 SYC share for every 1 SYCN share held (NilPL) 05/17/ /24/2013 SU - Suspension: 2013/05/20 Expiry of NPL (NilPL) TE - Termination: 2013/05/27 Expiry of NPL (NilPL) THABEX (Formerly THABEX EXPLORATION) TE - Termination: 2013/07/09 Failure to comply with the Listings Requirements THE SPAR GROUP PV - Par Value Change: from 0.06 to 0 cent per share on 2013/02/06 TIMES MEDIA GROUP OL - Odd Lot Offer: Specific Repurchase. Shares will be repurchased by a wholly owned 04/12/ /19/ /22/2013 subsidiary of the company, therefore the odd lot consideration will no longer constitute a dividend. VIVIDEND INCOME FUND (Including NilPL) RT - Rights / Claw Back Offer: VIFN shares for every 100 VIF shares held 05/03/ /10/2013 TU - Take-up Rights Offer: 1 VIF share for every 1 VIFN share held (NilPL) 05/24/ /31/2013 SU - Suspension: 2013/05/27 Expiry of NPL (NilPL) TE - Termination: 2013/06/03 Expiry of NPL (NilPL) VUKILE PROPERTY FUND OL - Odd Lot Offer: Odd lot holders may sell their odd lot holding for the cash consideration 05/24/ /31/ /03/2013 OR elect to retain their odd lot holdings cents in respect of the share portion of the linked unit acquired (i.e.10 cents/r5.00 times the offer price of R19.79 per linked unit); and the balance in respect of the debenture portion of the linked unit acquired. The net dividend portion per share acquired by the company pursuant to the the odd-lot offer is cents per share(being, the offer price in respect of the share portion of the linked unit (39.58 cents per share) less the amount of contributed tax capital (13 cents per share)) for shareholders exempt from paying dividends withholding tax. In this instance, the full offer price of cents per share will be received by such shareholders in respect of the odd-lot share repurchased under the odd-lot offer. CP - Capital Payment: 13 cents per share held 05/24/ /31/ /03/2013 CP - Capital Payment: cents per share held 05/24/ /31/ /03/2013 PV - Par Value Change: from 501 to 491 cents per share on 2013/06/12 VUNANI PROPERTY INVESTMENT FUND (Formerly VUNANI PROPERTY INVESTMENT F) RT - Rights / Claw Back Offer: VPFN shares for every 100 VPF shares held 07/26/ /02/2013 TU - Take-up Rights Offer: 1 VPF share for every 1 VPFN share held (NilPL) 08/16/ /23/2013 SU - Suspension: 2013/08/19 Expiry of NPL (NilPL) TE - Termination: 2013/08/26 Expiry of NPL (NilPL) 53

43 DETAILS LDT Record date Paydate/ Issue date COMPANY INFORMATION WESCOAL HOLDINGS PV - Par Value Change: from 0.1 to 0 cents per share on 2013/07/12 WESIZWE PLATINUM PV - Par Value Change: from to 0 cent per share on 2013/02/14 WITWATERSRAND CONS GOLD RESOURCES PV - Par Value Change: from 1 to 0 cent per share on 2013/03/04 ZAPTRONIX SU - Suspension: 2013/01/02 Failure to submit a provisional report TE - Termination: 2013/04/30 Failure to appoint a Designated Adviser, failure to publish financial results for the year ended 31 August 2012; and failure to have the required audit committee composition. Note: any concerns or queries regarding the above information should be forwarded to the JSE Corporate Actions department at corporateactions@jse.co.za. 54

44 NEW LISTINGS FOR THE YEAR 2013 MARKET STATISTICS Company Code Date No. of shares Price Capital Raised (R) Sector Sibanye Gold Limited SGL 11/02/ ,684, Cap Intro Gold Mining GoGlobal Properties Ltd GGP 29/04/ , Cap Intro Real Estate Holdings & Development Giyani Gold Corporation GIY 26/06/ ,728,578 0 Cap Intro Gold Mining Tower Property Fund Ltd TWR 19/07/ ,359, Cap Intro Diversified REIT's The Waterberg Coal Company Ltd WCC 30/09/ ,776,313 0 Cap Intro Coal EQUITY MARKET INFORMATION DE-LISTINGS YEAR TO DATE 2013 Company Date Code Reason Sector Sallies Limited 02/01/2013 SALD Maturity General Mining New Africa Investment Ltd 30/01/2013 NAI Setion 124 of the Company Act Publishing Queensgate Hotels & Leisure Limited 18/02/2013 QHL Winding Up Hotels Hardware Warehouse Limited 26/02/2013 HWW Scheme of Arrangement Home Improvement Retailers Jci Ltd 16/04/2013 JCD Non compliance of JSE listings requirements Gold Mining Simmer & Jack Mines 16/04/2013 SIM Failure to acquire viable assets Gold Mining Zaptronix Ltd 30/04/2013 ZPT Failure to comply with listings requirements Electronic Equipment Cape Empowerment Limited 14/05/2013 CAP Scheme of Arrangement Equity Investment Instruments New Bond Capital Ltd 04/06/2013 NBC Scheme of Arrangement Equity Investment Instruments Amalgamated Appliances Holdings Ltd 02/07/2013 AMA Failure to comply with listings requirements Consumer Electronics Thabex Limited 09/07/2013 TBX Failure to comply with listings requirements Diamond & Gemstones Mobile Industries Limited 16/07/2013 MOB Scheme of Arrangement Transportation Services Cipla Medpro SA Ltd 16/07/2013 CMP Scheme of Arrangement Pharmaceutical Lonrho plc 05/08/2013 LAF Scheme of Arrangement Industrial Suppliers Allied Technologies Ltd 20/08/2013 ALT Scheme of Arrangement Mobile Telecommunications AG Industries Limited 27/08/2013 AGI Director's request the JSE to terminate its listings Building Materials & Fixtures Sable Holdings Ltd 03/09/2013 SBL Scheme of Arrangement Real Estate Holdings & Development IFA Hotels and Resorts 10/09/2013 IFH Scheme of Arrangement Hotels RIGHTS ISSUES YEAR TO DATE 2013 Company Code Date Shares Price Capital (cents) Raised (R) Pan African Resource plc PAN 07/01/ ,071, ,136,614 Rebosis Property Fund Ltd REB 28/01/ ,035,718 1, ,000,042 Rainbow Chicken Ltd RBW 25/02/ ,964,802 1,420 3,932,900,188 Delta Property Fund Ltd DLT 26/04/ ,047, ,000,000,000 Curro Holdings Limited COH 06/05/ ,489,948 1, ,879,376 Sycom Property Fund SYC 20/05/ ,027,523 2, ,000,002 Vividend Income Fund Ltd VIF 27/05/ ,813, ,390,729 55

45 MONTHLY BULLETIN ADVERTISING BOOKING FORM 56

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