EQUITY MARKET INFORMATION 2. Warrants listed on the JSE Main Board... EQUITY MARKET INFORMATION 3-4

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

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

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

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

FTSE/ JSE Africa Index Series - Quarterly Review

The portfolio compliance process implemented by STANLIB consists of, but is not limited to, the following elements:

COMMODITY DERIVATIVES 8. FTSE/JSE AFRICA INDEX SERIES CONSTITUENTS Information of changes in weightings as at the last day of the month

FTSE/ JSE Africa Index Series - Quarterly Review

Presented by Mike Adsetts

Netwerk24 & Sanlam. itrade with a MILLION Competition. Terms and Conditions

DOW JONES JSE ALL SHARE S&P JSE RESOURCES

Weekly Technical Report 18 July 2016

Indexation at the Core

Key market performance drivers

DOW JONES JSE ALL SHARE S&P JSE RESOURCES

FTSE JSE INDUSTRIALS NIKKEI GOLD AT 07H

Weekly Technical Report 3 October 2016

Key market performance drivers. Monthly charts to 31 March 2018

Weekly Technical Report 26 September 2016

FTSE/ JSE Africa Index Series - Quarterly Review

DOW JONES JSE ALL SHARE S&P JSE RESOURCES

The New World of Investing in Exchange Traded Products (ETPs)

Key market performance drivers

FTSE/ JSE Africa Index Series - Quarterly Review

Understanding Exchange Traded Funds (ETFs) Investment Solutions for Retail Investors

Key market performance drivers

JSE LIMITED GEN- General Index Change Advice June 2015 Quarterly Review ICA

SPDR S&P Emerging Middle East & Africa ETF (GAF) Summary. Description. Historical prices (1 year) DIAMONDS* RATINGS* ETFG RISK RATING 6.

THIRD SUPPLEMENT ETF OVER THE FTSE / JSE MID CAP INDEX

Building Up Your Wealth Through Investment In Exchange Traded Products (ETPs)

The World of ETFs: Diversification, Transparency, Low Cost and Access to All Asset Classes

Stock Select Monthly January 2017

United States Europe Hong Kong. Local. Japan 13 OCTOBER 2016 DAILY INVESTMENT UPDATE

9:00 EUR French Flash Services PMI Aug m % ytd % 1m % ytd %

Introduction to Exchange Traded Products (ETPs)

1m % ytd % 1m % ytd % Exp. Prev. 5d %

1m % ytd % 1m % ytd %

FTSE/ JSE Africa Index Series - Quarterly Review

FTSE/JSE Africa Index Series All Share Factor Indices Review

Exchange Traded Funds (ETFs) Investment Seminar

FTSE PAPER. Global Index Standards, Emerging Market Partnerships

Notes from the FTSE/JSE Advisory Committee Meeting held on Thursday, 2 March 2017

Investing in ETFs. etfsa.co.za Seminar JSE Ltd. Mike Brown Managing Director etfsa.co.za. 31 August 2017

ETFs as an Investment Vehicle

FTSE/ JSE Africa Index Series - Quarterly Review

Investor update

JUST US Large Cap Diversified Index (JULCD) Calculation Methodology

Growth and Strategies of Large and Leading Firms - Top 50 firms on the Johannesburg Stock Exchange (JSE) 1

FTSE/ JSE Africa Index Series - Quarterly Review

20 December 2009 Updated on 30 August 2011 Updated on 30 September 2012 Updated on 21 August Investec Bank Limited

Standard Bank Namibia Funds Financial Statements

Building a Legacy List. Grow. Lead

THE EMPOWERMENT ENDOWMENT A study of trusts and foundations established from South Africa s black economic empowerment transactions

Company Name CAPE Ratio (x) Return (%, 2012) Woolworths Mr Price Aspen Imperial Richemont

AMENDMENTS TO THE QUARTERLY REVIEW OF TRADING LIQUIDITY RATING, EXCHANGE MARKET

SII Changes. FF Changes. Large Cap ANH 3 6 ANH (0.29%) NPN (0.23%) NPN (22.71%) 0.91%

DAILY MARKET COMMENTARY

RISK AND MARKET VOLATILITY. Truly Understanding and Managing It

Namibia Unit Trust Fund. Annual Financial Statements

Key market performance drivers. Monthly charts to 30 September 2018

20 December 2009 Updated on 30 August 2011 Updated on 30 September 2012 Updated on 21 August Investec Bank Limited

Investec Wealth Accelerator

Sanlam Employee Benefits

THE IMPACT OF THE RAND ON THE VALUE OF THE JOHANNESBURG STOCK EXCHANGE. G.D.I. Barr and B.S. Kantor 1

STANLIB Namibia Unit Trust Management Company Limited and Standard Bank Namibia Funds Financial Statements

DAILY MARKET COMMENTARY

Equity Risk Service Q3/2017. Estimating Betas for JSE-Listed Companies and Indices

DAILY MARKET COMMENTARY

Equity Risk Service Q1/2018. Estimating Betas for JSE-Listed Companies and Indices

SEMI-ANNUAL FUND REPORT

Industry Classification Benchmark (ICB)

Noble PP Balanced Fund of Funds CERTIFICATE OF COMPLIANCE WITH REGARD TO REGULATION 28 OF THE PENSION FUNDS ACT, NO. 24 OF 1956, AS AT 31 July 2012:

Main Market Factsheet

February 2015 Newsletter ( )

Market timing on the JSE using exchange rate fluctuations

TRANSPARENCY IN CORPORATE REPORTING ASSESSING SOUTH AFRICAN COMPANIES

Martin Pring s Data Disk Contents

DAILY MARKET COMMENTARY

NewFunds Risk Premia ETFs

JANUARY 2013 etfsa.co.za MONTHLY SOUTH AFRICAN ETF, ETN AND INDEX TRACKING PRODUCT PERFORMANCE SURVEY

Weekly Market Report. South African Equity Markets. JSE All Share - Daily Chart. JSE All Share - Weekly Gainers & Losers. Top 10 New 52 Week Lows

Portfolio watch: what fund managers have bought and sold

Statistical Report June SGX The Asian Gateway

June Market Statistics. Fact sheets are located within the Statistics section. UK Markets Analysis

QUARTERLY REPORT TO MEMBERS 2nd Quarter 2011

INTRODUCTION TO CFDs

Asset Allocation and Fee Breakdown. December 2015

Letter to our Shareholders

Deutsche Börse Indices Market Consultation Considered Methodology Change for MDAX, SDAX and TecDAX. 26 th January, 2018

Key Indices. US Market

Market Statistics Report January 2016

Weekly Market Report. South African Equity Markets. JSE All Share - Daily Chart. JSE All Share - Weekly Gainers & Losers. Top 10 New 52 Week Lows

Hedging Inflation with Equities

Weekly Market Report. South African Equity Markets. JSE All Share - Daily Chart. JSE All Share - Weekly Gainers & Losers. Top 10 New 52 Week Lows

Investec Global Gold I Acc GBP

Weekly Market Report. South African Equity Markets. JSE All Share - Weekly Gainers & Losers. JSE All Share - Daily Chart. Top 10 New 52 Week Highs

Weekly Market Report. South African Equity Markets. JSE All Share - Daily Chart. JSE All Share - Weekly Gainers & Losers. Top 10 New 52 Week Lows

INTERIM RESULTS FOR THE SIX MONTHS ENDED 31 DECEMBER 2008

2017 Future Expiration

Corporate and municipal governance survey 2009 South Africa Listed entities by major grouping

Transcription:

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 14-22 Information of changes in weightings as at the last day of the month....... WARRANTS INFORMATION 23-25 Information includes Alpha Code, Style, Issuer, Underlying Security, Cover ratio, Strike price, Expiry date and type....... SECURITIES INFORMATION 26-45 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 46 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 49 Information includes Rights Issues, Newly listed companies and Delisted companies....... ADVERTISING & SUBSCRIPTION INFORMATION 50-51...... 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.

EQUITY MARKET INFORMATION WARRANTS LISTED ON JSE MAIN BOARD April 2014 YEAR TO DATE - DAILY MOVEMENT OF VOLUME TRADED AND NUMBER OF TRADES LISTINGS AND TRADING TRADING BY ICB SECTOR -12 MONTHS PERIOD 2

JSE AT A GLANCE EQUITIES April 2014 Year to date Number of Trades 3,376,366 13,717,350 Equity Volume traded 4,906,835,276 20,081,459,771 Equity Turnover value (R million) 324,492 1,347,800 Equity Total Market Capitalisation (R billion) 11,425 11,425 Total Money Raised (R million) 23,174 54,109 Liquidity % 39.1 38.4 New Domestic & Foreign companies listed 4 5 Number of Companies listed 384 384 Number of Securities listed 894 894 Number of Trading days 19 81 Total value of Kruger coins purchased R3,092,140 R17,458,177 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 1,227,384 14 8,710 2,026 62,080 57,555 60,568 SABMiller PLC 956,086 19 10,405 1,673 57,475 52,001 57,160 Glencore Xstrata plc 753,550 94 5,225 13,278 5,689 5,420 5,675 Bhp Billiton Plc 730,063 34 11,488 2,136 34,549 32,800 34,176 Compagnie Fin Richemont 559,532 70 7,267 5,220 10,758 9,980 10,719 Naspers Ltd -N- 413,478 35 37,711 417 119,998 98,325 99,200 MTN Group Ltd 394,681 91 19,640 1,872 22,049 20,653 21,081 Anglo American PLC 394,234 52 14,187 1,405 28,544 26,450 28,050 Sasol Ltd 383,817 21 12,147 650 59,378 56,820 59,029 Standard Bank Group Ltd 223,675 66 9,244 1,620 14,484 13,518 13,808 Top 10 by Volume *Prices Companies Volume (Mil) Market Cap (R Mil) Value (R Mil) No. Shares (Mil) High Low Close Firstrand Ltd 266 217,963 10,032 5,638 3,922 3,576 3,866 Steinhoff International Holdings Ltd 243 116,035 12,982 2,125 5,610 5,090 5,461 Growthpoint Properties Limited 149 54,496 3,641 2,243 2,507 2,392 2,430 Old Mutual PLC 148 174,284 5,216 4,897 3,603 3,395 3,559 Redefine Properties Limited 134 30,526 1,319 3,071 1,015 935 994 Woolworths Holdings Limited 116 60,560 8,081 847 7,425 6,640 7,150 Sanlam Limited 102 121,864 5,645 2,166 5,935 5,334 5,625 Glencore Xstrata plc 94 753,550 5,225 13,278 5,689 5,420 5,675 MTN Group Ltd 91 394,681 9,640 1,872 22,049 20,653 21,081 African Bank Inv. Ltd 79 18,719 898 1,501 1,287 1,010 1,247 Top 10 by Value *Prices Companies Value (RMil) Market Cap (R Mil) Volume (Mil) No. Shares (Mil) High Low Close Naspers Ltd -N- 37,711 413,478 35 417 119,998 98,325 99,200 MTN Group Ltd 19,640 394,681 91 1,872 22,049 20,653 21,081 Anglo American PLC 14,187 394,234 52 1,405 28,544 26,450 28,050 Steinhoff International Holdings Ltd 12,982 116,035 243 2,125 5,610 5,090 5,461 Sasol Ltd 12,147 383,817 21 650 59,378 56,820 59,029 Bhp Billiton PLC 11,488 730,063 34 2,136 34,549 32,800 34,176 SABMiller PLC 10,405 956,086 19 1,673 57,475 52,001 57,160 Firstrand Ltd 10,032 217,963 266 5,638 3,922 3,576 3,866 Standard Bank Group Ltd 9,244 223,675 66 1,620 14,484 13,518 13,808 British AM. Tobacco PLC 8,710 1,227,384 14 2,026 62,080 57,555 60,568 * Prices in cents per share: High = Highest of the month, Low = Lowest of the month, Close = Closing value as at Month end 3

EQUITY MARKET INFORMATION MARKET STATISTICS NEW CAPITAL RAISED BY INDUSTRIES April 2014 April 2013 No. of shares Capital Raised (R) No. of shares Capital Raised (R) Additional 87,691,348 606,192,750 - - Basic Materials 37,000,310 942,753,770 55,891,037 138,969,731 Consumer Goods 3,132,883,556 5,185,845,944 1,748,804 93,334,550 Consumer Sevices 876,208 989,553,377 662,990 28,386,123 Financials 495,976,623 14,304,421,299 319,308,168 3,350,646,050 Health Care 8,400 2,338,700, 163,443 19,727,921, Industrials 4,478,592 267,096,297 5,509,453 69,156,069 Oil & Gas 244,300 53,214,846 1,330,800 253,140,272 Telecommunications - - 2,640 90,180 Venture Capital 3,726,706, 260,869 3,387,534, - Alt X 443,991,381 822,705,978 1,500,000 630,000 Total 4,206,877,424,, 23,174,383,831,, 389,504,869, 3,954,080,896,, Variances in totals may occur from month to month MARKET STATISTICS Trades Volume Value April 2014 Mar 2014 April 2014 Mar 2014 April 2014 Mar 2014 TOTAL 3,376,366 3,545,183 4,906,835,276 4,973,276,458 324,492,298,190 362,230,324,421 Average 177,703 177,259 258,254,488 248,663,823 17,078,542,010 18,111,516,221 High 226,341 201,197 354,495,889 445,714,059 22,314,535,001 34,677,368,889 High Date 02/04/2014 19/03/2014 02/04/2014 20/03/2014 02/04/2014 20/03/2014 Low 131,605 151,286 185,333,694 180,891,291 11,743,031,741 14,298,421,355 Low Date 17/04/2014 03/03/2014 22/04/2014 03/03/2014 22/04/2014 03/03/2014 WORLD MARKETS Apr Apr % Apr Apr % Apr Apr % 2014 2013 2014 2013 2014 2013 FTSE/JSE Top 40 43,804.7 34,068.0 28.58 Frankfurt (DAX) 9,603.2 7,913.7 21.35 Toronto (Comp.) 14,651.9 12,456.5 17.62 Amsterdam 400.6 351.4 13.99 Hong Kong 22,134.0 22,737.0-2.65 Toronto (Gold) 183.7 201.4-8.77 Brussels 3,089.8 2,643.4 16.89 Paris (CAC 40) 4,487.4 3,856.8 16.35 Zurich(SPI) 8,333.7 7,424.9 12.24 Dow Jones 16,580.8 14,839.8 11.73 Singapore 3,264.7 3,368.2-3.07 Silver($) 19.2 24.4-21.10 FTSE 100 6,780.0 6,430.1 5.44 Sydney 5,470.8 5,168.6 5.85 Platinum(PM)($) 1,424.0 1,507.0-5.51 Tokyo 14,304.1 3,860.9 270.49 Gold (PM Fix)($) 1,288.5 1,469.0-12.29 Source: Inet-Bridge 4 SPECIALIST SECURITIES Sector name Volume Value Trades No of Instruments Full JSE M/Cap Exchange Traded Funds 117,193,368 6,549,526,335 12,974 44 64,014,286,813 Exchange Traded Notes 1,814,953 24,483,999 591 61 31,763,230,314 Investment Products 81,095,385 2,852,613,419 4,422 210 733,247,668,054 Kruger Rands 213 3,092,140 27 4 - Other Securities 23,801,153 216,397,139 1,212 37 8,166,044,172 Preference Shares 15,491,674 442,860,021 3,725 41 33,536,699,443 Warrants 235,415,084 59,693,006 2,778 101 3,211,000,000

6 MONTHS TRADING IN EQUITIES DERIVATIVES November December January February March April No of Contracts Futures Total 10,625,150 28,008,171 10,337,189 8,500,537 24,725,275 8,872,351 Daily Avg 505,960 1,474,114 469,872 425,027 1,236,264 466,966 Options Total 11,749,173 29,120,667 19,171,115 1,570,043 1,240,211 1,244,289 Daily Avg 559,484 1,532,667 871,414 78,502 62,011 65,489 No of Deals Futures Total 215,737 228,654 266,857 297,490 307,516 212,479 Daily Avg 10,273 12,034 12,130 14,875 15,376 11,183 Options Total 1,335 1,162 1,565 2,181 1,668 924 Daily Avg 64 61 71 109 83 49 Traded Value Futures Total 303,738,472,003 639,170,099,114 368,107,172,905 397,207,222,897 784,631,133,490 276,101,564,870 Daily Avg 14,463,736,762 33,640,531,532 16,732,144,223 19,860,361,145 39,231,556,675 14,531,661,309 Options Total 62,183,693,271 89,108,022,169 126,245,372,036 105,507,804,029 107,813,974,706 43,566,035,888 Daily Avg 2,961,128,251 4,689,895,904 5,738,426,002 5,275,390,201 5,390,698,735 2,292,949,257 Premium Traded Options Total 1,496,333,799 1,981,754,605 2,184,860,488 2,929,487,250 2,457,167,731 1,291,628,808 Daily Avg 71,253,990 104,302,874 99,311,840 146,474,362 122,858,387 67,980,464 Open Interest Futures Total 17,208,610 13,839,835 12,930,813 14,694,922 12,773,518 14,485,549 Options Total 9,959,765 2,072,619 8,789,640 9,520,821 8,646,297 9,209,853 EQUITY DERIVATIVES NUMBER OF CONTRACTS 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 November December January February March April 875,747 2,097,047 1,015,590 1,116,913 2,352,815 752,779 1,463,507 3,850,487 1,157,158 927,322 3,228,864 1,029,069 593,401 795,857 533,179 585,946 921,999 770,643 1,821,337 2,268,538 849,719 1,759,621 2,688,945 997,885 2,976,013 10,094,491 3,583,325 2,106,014 7,334,613 2,618,028 2,722,506 8,833,777 2,936,682 1,843,692 5,968,334 2,213,721 0 0 0 0 0 18,943 19,704 23,000 42,691 20,363 2,038 153,696 48,270 238,536 118,338 2,209,342 488,188 10,625,150 28,008,171 10,337,189 8,500,537 24,725,275 8,872,351 176,994 336,154 247,359 321,348 305,766 155,375 745,814 532,576 1,305,372 1,075,461 793,635 625,515 201,215 243,766 7,281,195 173,234 140,810 463,389 0 0 0 0 0 10 1,124,023 1,112,496 8,833,926 1,570,043 1,240,211 1,244,289 11,749,173 29,120,667 19,171,115 10,070,580 25,965,486 10,116,640 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 7,281,195 Jan'14 683,009,682 Jul ' 08 10,094,491 Dec'13 3,308,870,369 Dec'13 23,315 Oct' 13 1,176,189,657 Oct' 13 957 Oct' 12 2,314,143 Jan'12 2,209,342 Mar'14 139,986,948 Mar'14 5

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 November December January February March April 286,171,983,681 600,812,367,061 339,905,336,324 377,085,066,689 740,098,297,955 259,923,931,896 10,623,632,150 26,934,854,066 20,964,967,736 8,643,926,428 25,866,090,505 8,947,509,494 5,231,917,061 7,130,880,892 4,590,547,611 8,431,084,858 13,525,507,144 6,277,508,193 1,496,637 12,482,369 629,756 1,619,429 997,291 296,971 804,515,001 3,308,870,369 1,551,880,711 1,046,708,037 3,852,080,381 737,216,316 43,296 10,950 0 2,367 8,429 40,416 0 0 0 0 0 0 891,254,949 961,542,671 1,077,599,298 1,993,347,244 1,148,164,838 179,853,203 13,629,229 9,090,736 16,211,467 5,467,846 139,986,948 35,208,380 303,738,472,003 639,170,099,114 368,107,172,905 397,207,222,897 784,631,133,490 276,101,564,870 1,210,482,507 1,723,228,742 1,705,319,648 2,457,326,455 2,076,331,150 1,054,094,449 220,748,768 147,596,176 317,592,057 429,877,142 233,352,305 169,332,115 65,102,523 110,929,688 161,948,784 42,283,653 147,484,276 68,197,545 - - - 4,700 1,496,333,799 1,981,754,605 2,184,860,488 2,929,487,250 2,457,167,731 1,291,628,808 305,234,805,802 641,151,853,719 370,292,033,393 400,136,710,147 787,088,301,221 277,393,193,678 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 November December January February March April 425,332 356,253 382,716 446,783 381,858 389,879 2,159,907 1,923,032 2,037,962 1,973,818 1,702,822 1,769,362 1,559,693 837,283 665,443 1,754,307 1,156,549 648,860 1,586,772 1,594,435 1,258,535 2,315,372 1,579,410 1,098,643 5,823,253 4,523,572 4,243,861 4,011,831 3,707,548 4,942,355 5,498,157 4,140,168 3,871,360 3,634,964 3,339,162 4,360,443 0 0 0 0 0 0 4,291 649 2,632 2,583 1,133 1,633 151,205 191,032 468,304 555,264 905,036 1,274,374 17,208,610 13,566,424 12,930,813 14,694,922 12,773,518 14,485,549 1,031,402 725,024 786,575 908,423 724,731 814,416 2,564,814 1,060,536 1,936,150 2,489,705 1,896,630 2,296,285 6,363,517 287,059 6,066,915 6,122,693 6,024,936 6,099,142 32 0 0 0 0 10 9,959,765 2,072,619 8,789,640 9,520,821 8,646,297 9,209,853 27,168,375 15,639,043 21,720,453 24,215,743 21,419,815 23,695,402 The total number of contracts traded for the month of April 6

Apr 2014 Mar 2014 % Change Apr 2013 % Change Year on Year Futures Trades African Derivatives - 134-100 - - Can Do Futures 320 170 88.24 119 168.91 Dividend Futures 10,802 24,374-55.68 9,915 8.95 Index Futures 188,818 254,828-25.9 196,648-3.98 Single Stock Futures 11,305 24,876-54.55 11,481-1.53 International Dividend Futures 388 1,155-66.41 169 129.59 International Derivative Futures 439 1,253-64.96 193 127.46 Exchange Traded CFD 125 165-24.24 - - Total 212,197 306,955-30.87 218,525-2.9 Options Trades Can Do Options 63 200-68.5 163-61.35 Index Options 361 891-59.48 913-60.46 Single Stock Options 498 577-13.69 988-49.6 Dividend Options - - - - - Total 922 1,668-44.72 2,064-55.33 Futures Contracts African Derivatives - 905,704-100 - - Can Do Futures 770,643 921,999-16.42 868,097-11.23 Dividend Futures 997,885 2,688,945-62.89 873,909 14.19 Index Futures 752,779 2,352,815-68.01 1,101,242-31.64 Single Stock Futures 1,029,069 3,228,864-68.13 1,324,249-22.29 International Dividend Futures 2,213,721 7,334,613-69.82 1,330,669 66.36 International Derivative Futures 2,618,028 5,968,334-56.13 1,484,328 76.38 Exchange Traded CFD 488,188 1,303,638-62.55 - Total 8,870,313 24,704,912-64.09 6,982,494 27.04 Options Contracts Can Do Options 463,389 140,810 229.09 69,005 571.53 Index Options 155,375 305,766-49.18 559,102-72.21 Single Stock Options 625,515 793,635-21.18 1,002,199-37.59 Dividend Options - - - - - Total 1,244,279 1,240,211 0.33 1,630,306-23.68 Futures Turnover value(r 000) African Derivatives - 70,739-100 - - Can Do Futures 6,277,508 13,525,507-53.59 843,545 644.18 Dividend Futures 297 997-70.21 478-37.87 Index Futures 259,923,932 740,098,298-64.88 303,710,216-14.42 Single Stock Futures 8,947,509 25,866,091-65.41 6,117,677 46.26 International Dividend Futures 40 8 400 68-41.18 International Derivative Futures 737,216 3,852,080-80.86 387,003 90.49 Exchange Traded CFD 35,208 69,248-49.16 - Total 275,921,710 783,482,968-64.78 311,058,987-11.3 Options Turnover value(r 000) Can Do Options 68,198 147,484-53.76 59,113 15.37 Index Options 1,054,094 2,076,331-49.23 4,696,979-77.56 Single Stock Options 169,332 233,352-27.43 311,556-45.65 Dividend Options - - - - - Total 1,291,624 2,457,167-47.43 5,067,648-74.51 Futures Open Interest African Derivatives - - - Can Do Futures 648,860 1,156,549-43.9 805,996-19.5 Dividend Futures 1,098,643 1,579,410-30.44 2,140,110-48.66 Index Futures 389,879 381,858 2.1 402,190-3.06 Single Stock Futures 1,769,362 1,702,822 3.91 3,101,076-42.94 International Dividend Futures 4,360,443 3,339,162 30.58 2,749,034 58.62 International Derivative Futures 4,942,355 3,707,548 33.31 3,049,403 62.08 Exchange Traded CFD 1,274,374 905,036 40.81 - Options Open Interest Can Do Options 6,099,142 6,024,936 1.23 1,872,696 225.69 Index Options 814,416 724,731 12.37 961,266-15.28 Single Stock Options 2,296,285 1,896,630 21.07 2,163,610 6.13 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), a 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

COMMODITY DERIVATIVES MARKET INFORMATION 8 Apr 2014 Mar 2014 % Change Apr 2013 % Change Year on Year Futures Trades 10 Ton White Maize Future - - - - - 10 Ton Yellow Maize Future - - - - - Bread Milling Wheat 2,723 - - - Corn 507 655-22.6 1,369-62.97 Crude Oil 30 80-62.5 69-56.52 Copper 1 7-85.71 11-90.91 Gold 72 129-44.19 184-60.87 Silver 6 46-86.96 28-78.57 Platinum 45 108-58.33 143-68.53 Sorghum 6 30-80 6 - Mini Soya Bean (25t) - - - - CBOT Soybean 62 89-30.34 46 34.78 CBOT Soybean Meal 18 14 28.57 25-28 CBOT Soybean Wheat - 9-100 23-100 Cape Wheat - - - - - CBOT Soybean Oil 11 9 22.22 14-21.43 Brent Crude Oil Future - 1-100 - Brent Crude Oil Quanto 1 2-50 7-85.71 Cocoa Quanto - 1-100 - - Copper Quanto 4 - - 7-42.86 Corn Quanto 11 - - 4 175 Gold Quanto 42 49-14.29 57-26.32 Cotton Quanto 3 54-94.44 - - Diesel European Gasoil 4 7-42.86 - - Natural Gas Quanto - - - 2-100 Palladium Quanto 9 6 50 - - Coffee Quanto 3 5-40 - - KCBT Hard Red Winter Wheat Futures 56 26 115.38 1 5,500.00 Soft Red Wheat Futures 9 - - - Platinum Quanto 32 30 6.67 40-20 Silver Quanto 7 4 75 5 40 Sugar#11 Quanto 12 32-62.5 - - Soya Bean Future (50t) 2,159 1,896 13.87 2,282-5.39 Suns 1,758 953 84.47 1,639 7.26 Wheat - 3,101-100 2,229-100 Wheat Commodity Cando 1 - - - - White Maize 7,328 10,993-33.34 10,569-30.67 White Maize Commodity Cando - - - - - Yellow Maize 4,286 5,544-22.69 5,054-15.2 Yellow Maize Commodity Cando - - - - - Total 19,206 23,880-19.57 23,814-19.35 Options Trades Bread Milling Wheat 35 - - - Corn 3 - - 22-86.36 Crude Oil - - - 1-100 Gold - - - - - Platinum 2 - - 8-75 Mini Soya Bean (25t) - - - - - Sorghum - - - - - CBOT Soybean - - - - - Suns 145 80 81.25 56 158.93 Soya Bean Future (50t) 107 178-39.89 181-40.88 Wheat - 87-100 25-100 White Maize 1,095 1,114-1.71 2,168-49.49 New Crop White Maize Options - - - - - Yellow Maize 261 234 11.54 544-52.02 Total 1,648 1,693-2.66 3,005-45.16 Futures Volume 10 Ton White Maize Future - - - - - 10 Ton Yellow Maize Future - - - - - Bread Milling Wheat 53,038 - - - Corn 2,801 5,083-44.89 7,944-64.74 Crude Oil 371 595-37.65 954-61.11 Copper 1 21-95.24 41-97.56 Gold 215 458-53.06 2,123-89.87 Silver 15 129-88.37 105-85.71 Platinum 98 831-88.21 603-83.75 Sorghum 30 74-59.46 9 233.33 Mini Soya Bean (25t) - - - - - CBOT Soybean 379 1,119-66.13 1,122-66.22 CBOT Soybean Meal 149 72 106.94 375-60.27 CBOT Soybean Wheat - 530-100 244-100 Cape Wheat - - - - - CBOT Soybean Oil 98 58 68.97 182-46.15 Brent Crude Oil Future - 20-100 - - Brent Crude Oil Quanto 1 2-50 10-90 Cocoa Quanto - 1-100 - - Copper Quanto 40 - - 36 11.11 Gold Quanto 213 202 5.45 171 24.56 Cotton Quanto 600 17,423-96.56 - - Diesel European Gasoil 6 61-90.16 - - Corn Quanto 148 - - 10 1,380.00 Coffee Quanto 3 5-40 - - KCBT Hard Red Winter Wheat Futures 562 198 183.84 1 56,100.00 Soft Red Wheat Futures 172 - - - Platinum Quanto 151 230-34.35 196-22.96 Palladium Quanto 117 20 485 - - Silver Quanto 21 11 90.91 13 61.54 Sugar#11 Quanto 38 354-89.27 - - Natural Gas Quanto - - - 2-100 Soya Bean Future (50t) 22,722 17,782 27.78 41,033-44.63 Suns 16,758 8,397 99.57 11,676 43.53 Wheat - 38,113-100 59,922-100 Wheat Commodity Cando 1,904 - - - - White Maize 33,894 55,406-38.83 58,895-42.45 White Maize Commodity Cando - - - - - Yellow Maize 25,414 39,411-35.52 28,682-11.39 Yellow Maize Commodity Cando - - - - - Total 159,959 186,606-14.28 214,349-25.37 Options Volume Bread Milling Wheat 735 - - - Corn 11 - - 330-96.67 Crude Oil - - 3-100 Gold - - - - Platinum 10 - - 132-92.42 Mini Soya Bean (25t) - - - - Soya Bean Future (50t) 1,899-100 3,878-100 Sorghum - - - - CBOT Soybean 375 - - - - Suns 999 1,180-15.34 170 487.65 Wheat - 1,228-100 222-100 White Maize 7,153 9,541-25.03 17,509-59.15 New Crop White Maize - - - - - Yellow Maize 3,630 2,134 70.1 5,926-38.74 Total 12,913 15,982-19.2 28,170-54.16 Futures Value (R 000) 10 Ton White Maize Future - - - - - 10 Ton Yellow Maize Future - - - - - Bread Milling Wheat 10,430,278 - - - Corn 600,587 1,061,777-43.44 1,767,417-66.02 Crude Oil 38,803 64,037-39.41 83,633-53.6 Copper 83 1,710-95.15 3,034-97.26 Gold 29,713 66,555-55.36 287,304-89.66 Silver 1,554 14,810-89.51 11,885-86.92 Platinum 14,928 132,193-88.71 80,893-81.55 Sorghum 8,437 21,371-60.52 2,475 240.89 Mini Soya Bean (25t) - - - - - CBOT Soybean 217,920 630,016-65.41 498,085-56.25 CBOT Soybean Meal 83,007 38,565 115.24 146,930-43.51 CBOT Soybean Wheat - 66,552-100 31,189-100 KCBT Hard Red Winter Wheat 85,961 29,976 186.77 131 65,519.08 Soft Red Wheat Futures 23,013 - - - Cape Wheat - - - - - CBOT Soybean Oil 24,472 14,919 64.03 45,216-45.88 Brent Crude Oil Future - 2,331-100 - - Brent Crude Oil Quanto 109 218-50 1,055-89.67 Copper Quanto 3,007 - - 3,070-2.05 Coffee Quanto 217 349-37.82 - - Gold Quanto 27,617 26,612 3.78 24,615 12.2 Cocoa Quanto - 30-100 - - Cotton Quanto 26,220 793,919-96.7 - - Diesel European Gasoil 248 2,494-90.06 - - Platinum Quanto 21,523 33,110-35 28,678-24.95 Palladium Quanto 9,334 1,559 498.72 - - Silver Quanto 2,018 1,102 83.12 1,766 14.27 Natural Gas Quanto - - - 86-100 Corn Quanto 3,730 - - 313 1,091.69 Soya Bean Future (50t) 6,491,696 5,463,470 18.82 4,767,659 36.16 Sugar #11 Quanto 748 7,138-89.52 - - Suns 4,050,336 2,141,510 89.13 3,063,340 32.22 Wheat - 7,540,483-100 10,208,024-100 Wheat Commodity Cando 376,706 - - - - White Maize 7,641,999 14,196,281-46.17 12,602,602-39.36 White Maize Commodity Cando - - - - - Yellow Maize 5,739,429 9,516,855-39.69 6,083,906-5.66 Yellow Maize Commodity Cando - - - - - Total 35,953,693 41,869,942-14.13 39,743,306-9.54 Options Value (R 000) Bread Milling Wheat 1,939 - - - Corn 162 - - 5,123-96.84 Crude Oil - - - 1-100 Gold - - - - - Platinum 5 - - 342-98.54 Mini Soya Bean (25t) - - - - - Soya Bean Future (50t) - 10,834-100 22,154-100 Sorghum - - - - - CBOT Soybean 2,248 - - - - Suns 1,707 11,134-84.67 702 143.16 Wheat - 5,375-100 3,571-100 White Maize 36,011 75,696-52.43 438,113-91.78 New Crop White Maize Options - - - - - Yellow Maize 20,710 13,449 53.99 145,116-85.73 Total 62,782 116,488-46.1 615,122-89.79 Open Interest Futures 10 Ton White Maize Future - - - - - 10 Ton Yellow Maize Future - - - - - Bread Milling Wheat 23,531 - - - Corn 2,335 1,900 22.89 6,238-62.57 Crude Oil 188 259-27.41 563-66.61 Copper 20 19 5.26 507-96.06 Gold 139 111 25.23 492-71.75 Silver 59 48 22.92 81-27.16 Platinum 198 197 0.51 1,293-84.69 Sorghum 144 129 11.63 19 657.89 Mini Soya Bean (25t) - - - - - CBOT Soybean 291 232 25.43 690-57.83 CBOT Soybean Meal 42 39 7.69 170-75.29 CBOT Soybean Wheat - 1,010-100 1,291-100 KCBT Hard Red Winter Wheat 343 17 1,917.65 - - Soft Red Wheat Futures 995 - - - Cape Wheat - - - - - CBOT Soybean Oil 24 35-31.43 103-76.7 Brent Crude Oil Future 20 20 - - - Brent Crude Oil Quanto 2 3-33.33 6-66.67 Cocoa Quanto 1 1 - - - Copper Quanto 20 - - - - Coffee Quanto - 2-100 - - Corn Quanto 55 - - - - Gold Quanto 136 80 70 84 61.9 Cotton Quanto 499 199 150.75 - - Diesel European Gasoil 8 2 300 - - Platinum Quanto 171 104 64.42 103 66.02 Palladium Quanto 40 15 166.67 - - Silver Quanto 11 7 57.14 - - Sugar #11 Quanto 66 66 - - - Natural Gas Quanto - - - 2-100 Soya Bean (50t) 10,123 8,154 24.15 13,238-23.53 Suns 7,477 5,537 35.04 3,648 104.96 Wheat - 21,555-100 18,038-100 Wheat Commodity Cando 1,904 - - - - White Maize 20,656 19,698 4.86 16,905 22.19 White Maize Commodity Cando - - - - - Yellow Maize 18,585 16,865 10.2 17,258 7.69 Yellow Maize Commodity Cando - - - - - Options Bread Milling Wheat 3,002 - - - Corn 11 - - 1,118-99.02 Crude Oil - - - 253-100 Gold - - - - - Platinum 10 - - 132-92.42 Mini Soya Bean (25t) - - - - - Soya Bean (50t) - 4,316-100 2,645-100 Sorghum 3 3-3 - CBOT Soybean 1,037 - - - - Suns 1,773 3,704-52.13 47 3,672.34 Wheat - 3,369-100 368-100 White Maize 24,056 24,977-3.69 35,837-32.87 Yellow Maize 18,615 18,860-1.3 16,179 15.06 New Crop White Maize Options - - - - - 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), a or that any Data is up to date. To the extent allowed by law, nei- ther 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.

FTSE/JSE AFRICA INDEX SERIES Daily Movement for April 2014 Daily Movement for April 2014 OVERALL MARKET AND SECTORAL INFORMATION Daily Movement for April 2014 Daily Movement for April 2014 Daily Movement for April 2014 Daily Movement for April 2014 9

OVERALL MARKET AND SECTORAL INFORMATION FTSE/JSE AFRICA INDEX SERIES MARKET CAPITALISATION BY SECTOR (R MILLION) FOR 30 APRIL 2014 Sectors Full JSE Market Cap % of Index Constituents Only % of JSE Total 11 425 489 100.00 All Share 6 461 619 100.00 Capped All Share 6 377 104 98.69 Shareholder Weighted All Share 4 713 189 72.94 Top 40 5 420 643 83.89 Capped Top 40 5 217 284 80.74 Shareholder Weighted Top 40 3 698 692 57.24 Mid Cap 861 916 13.34 Small Cap 179 060 2.77 Fledgling 41 252 0.64 SA Listed Property 196 294 3.04 Capped Property 235 064 3.64 SA Industrials 3 441 258 53.26 SA Resources 1 755 168 27.16 Development Capital 59 100.00 9 - Venture Capital 88 100.00 45 - Alternative Exchange 24 256 100.00 9 592 0.15 BEE Board 1 306 100.00 Oil & Gas 401 397 3.51 322 997 5.00 Oil & Gas Producers 401 397 100.00 322 997 100.00 Basic Materials 2 761 494 24.17 1 592 930 24.65 Chemicals 38 124 1.38 30 380 1.91 Forestry & Paper 104 134 3.77 102 863 6.46 Industrial Metals & Mining 141 183 5.11 27 516 1.73 Mining 2 478 054 89.74 1 432 171 89.91 Coal 56 329 2.27 18,473 1.29 Diamonds & Gemstones 987 0.04 - - General Mining 1 988 957 80.26 1 133 860 79.17 Gold Mining 153 428 6.19 147 410 10.29 Platinum & Precious Metals 278 352 11.23 132,428 9.25 Industrials 487 383 4.27 395 716 6.12 Construction & Materials 67 078 13.76 48 365 12.22 General Industrials 271 251 55.65 251 261 63.50 Electronic & Electrical Equipment 29 474 6.05 18 279 4.62 Industrial Engineering 19 842 4.07 8 659 2.19 Industrial Transportation 80 216 16.46 63 881 16.14 Support Services 19 521 4.01 5 271 1.33 Consumer Goods 3 067 190 26.85 1 508 219 23.34 Automobiles & Parts 8 672 0.28 5 833 0.39 Beverages 990 282 32.29 566 528 37.56 Food Producers 156 453 5.10 103 522 6.86 Household Goods & Home Construction 116 035 3.78 111 124 7.37 Leisure Goods 442 0.01 Personal Goods 567 922 18.52 537 151 35.61 Tobacco 1 227 384 40.02 184 063 12.20 Health Care 286 097 2.50 201 646 3.12 Health Care Equipment & Services 144 062 50.35 106 278 52.71 Pharmaceuticals & Biotechnology 142 035 49.65 95 368 47.29 Consumer Services 908 653 7.95 720 024 11.14 Food & Drug Retailers 185 097 20.37 125 572 17.44 Drug Retailers 15 790 8.53 General Retailers 230 490 25.37 176 924 24.57 Media 423 179 46.57 389 173 54.05 Travel & Leisure 69 887 7.69 28 355 3.94 Telecommunications 607 078 5.31 433 224 6.70 Fixed Line Telecommunications 19 581 3.23 11 652 2.69 Mobile Telecommunications 587 497 96.77 421 572 97.31 Financials 1 982 898 17.36 1 265 193 19.58 Banks 787 120 39.70 421 301 33.30 Nonlife Insurance 28 346 1.43 7 292 0.58 Real Estate Investment & Services 81 903 4.13 28 702 2.27 Real Estate Investment Trusts 315 192 15.90 234 436 18.53 Financial Services 214 989 10.84 163 793 12.95 Technology 27 368 0.24 21 671 0.34 Software & Computer Services 24 404 89.17 19 949 92.05 Technology Hardware & Equipment 2 965 10.83 1 723 7.95 10

Industry / Economic Group Super Sector Sector Sub Sector Number of Instruments(Million) Dividend Yield Earnings Yield PE Ratio Total JSE Sectors Nr 270,408 2.63 5.13 19.49 Main Board 231,431 2.37 5.15 19.42 Oil & Gas Oil & Gas Int. Oil & Gas 11,852 3.00 9.49 10.53 Basic Materials Industrials Chemicals Basic Resources Chemicals Spec. Chemicals 704 1.96 5.84 17.13 Forest & paper Forestry 331 7.06 14.17 Paper 1,027 2.06 5.28 18.95 Industr. Metals & Min Aluminium 320 7.81 12.81 Nom-ferr Metals 583 0.29-18.52-5.40 Iron & Steel 1,248 7.94 10.74 9.31 Mining Coal 6,947 3.26 9.92 10.09 Diamonds & Gems 1,465-11.93-8.38 Gen Mining 22,134 2.44 5.47 18.27 Gold 6,331 0.85 0.70 143.79 Plat & Prec. Met 7,748 0.12 1.91 52.42 Construction & Materials Constr & Mat Build Mat & Fix 1,482 3.47 6.66 15.01 Heavy Contr. 3,343 0.94 6.66 15.02 Industrial Goods & Services Gen Indust Cont & Pack 1,121 2.91 5.88 17.00 Div Indust 3,897 2.01 6.14 16.29 Electro & electr Equip Electr Comp & eq 1,624 2.80 7.44 13.44 Electro Equipm 326 1.37 5.69 17.57 Industr. Eng Comm Veh & Tru 95 11.00 9.09 Industr mach 719 2.13 8.15 12.27 Ind Transp Marine Tranp 737 1.26 4.87 20.55 Transp serv 1,106 2.91 9.43 10.61 Trucking 20 1.32 8.74 11.44 Supp serv Buss Supp Serv 2,335 1.35 5.76 17.36 Bus Train & empl agen 332 3.43 3.92 25.51 Fin Admin 63 5.55 18.03 Ind Supp 336 2.01 7.24 13.81 OVERALL MARKET & SECTORAL INFORMATION Consumer Goods Health Care Automobiles & Parts Aut & Parts Auto parts 372 1.37 4.57 21.88 Food & Beverage Beverage Brewers 1,757 1.49 3.37 29.68 Dist & Vint 1,102 2.34 5.10 19.61 Food Prod Farm & Fish 1,313 1.48 2.77 36.09 Food Prod 1,521 2.29 6.22 16.07 Personal & Household Goods Housh Goods & Home Const Furnish 2,125 1.25 8.53 11.73 Leisu Goods Cons. Electro 23 3.05 10.99 9.10 Pers goods Cloth & access 9,553 0.65 4.30 23.24 Tobacco Tobacco 2,026 3.39 5.01 19.95 Health Care Health Equio & ser Healthc Prov 3,813 1.82 2.22 45.10 Pham & Biotech Pharmac 1,431 0.51 3.24 30.84 11

OVERALL MARKET & SECTORAL INFORMATION 12 Industry / Economic Group Super Sector Sector Sub Sector Number of Instruments(Million) Dividend Yield Earnings Yield PE Ratio Consumer Services Retail Food & drug Ret Drug Ret 246 2.29 4.93 20.27 Food Ret & Whole 1,752 1.76 3.68 27.17 Gen Retail Appar Retail 1,175 3.23 6.13 16.30 Broad Retail 1,245 2.83 4.90 20.41 Home Imp Ret 1,386 3.64 8.04 12.44 Spec Cons Serv 716 0.81 1.79 55.94 Spec Retail 94 5.20 12.29 8.14 Media Media Broadcast & ent 425 0.33 1.84 54.45 Publishing 522 2.40 7.83 12.76 Travel & Leisure Trav & leis Airlines 720 2.57 6.23 16.06 Gambling 1,374 2.38 5.95 16.82 Hotels 338 2.59 5.26 19.01 Rest & Bars 197 2.41 3.84 26.04 Travel & Tour 1,031 0.79 4.11 24.31 Telecommunications Telecommunications Fixed Line Tel Fixed Line Tel 521 18.93 5.28 Mobile Telecomm. Mobile Telecom 4,035 4.60 6.81 14.68 Financials Banks Banks Banks 10,752 3.53 8.13 12.30 Insurance Nonlife Ins Prop & Casual Ins 132 2.53 3.59 27.84 Life Ins Life Ins 9,840 3.13 7.09 14.10 Real Estate Real Estate Investment & Serv Real Estate Holding & Dev 4,393 1.10 1.30 77.01 Real Estate Investment Trusts Industrial & Office REITs 2,669 2.04 12.48 8.01 Retail REITs 7,452 2.80 8.14 12.28 Diversified REITs 10,536 2.68 8.51 11.76 Specialty REITs 275 3.53 8.26 12.11 Financial Services Fin Services Asset man 2,281 3.48 4.81 20.79 Cons Fin 1,501 1.53 4.61 21.70 Spec Finance 3,550 1.84 7.31 13.68 Inv serv 2,801 1.93 6.12 16.34 Technology Technology Softw & Comp Serv Comp Serv 3,310 0.87 19.17 5.22 Tech hardw & eq Comp hardw 279 2.62 14.93 6.70 Venture Capital Market Board 646 2.97 33.62 Development Capital Market Board 13 3.13 8.81 11.35 Alternative Exchange 38,315 2.47-3.98-25.09 BEE Board 3 3.94 0.00 Additional Asset Backed Securities Warrants Warrants 10,100 0.00 Inv. Prod Inv. Prod 9,011 1.70 0.00 Debt Pref Shares Pref Shares 733 6.35 0.00 Exchange Traded Products ETF ETF 2,246 0.70 0.00 Exchange Traded Notes Exchange Traded Notes 25,082 0.00 Other Other Sec Other Sec 376 5.97 16.76 ETF 2,179 0.75 0.00 Exchange Traded Notes Exchange Traded Notes 25,082 0.00 Other Other Sec Other Sec 288 1.83 5.96 16.78

MOVEMENTS BY SECTOR April 2014 Year To date Index Names Date High Date Low Close D/Y E/Y High Low JSE Socially Responsible Investment 30 21,194 01 20,523 21,183 3.19 6.06 21,194 18,729 Capped All Share 24 24,841 15 24,171 24,741 2.80 5.71 24,841 22,340 Shareholder Weighted All Share 24 10,491 15 10,211 10,405 2.94 5.95 10,491 9,385 Shareholder Weighted Top 40 03 9,543 15 9,280 9,427 2.89 5.80 9,543 8,523 Capped Top 40 24 23,305 15 22,679 23,179 2.72 5.53 23,305 20,939 Top 40 24 44,049 15 42,857 43,805 2.75 5.60 44,049 39,645 Mid Cap 30 63,734 01 60,388 63,632 2.98 6.20 63,734 56,413 Small Cap 30 53,121 07 51,321 52,988 3.61 7.25 53,121 48,221 Fledgling 30 6,740 16 6,565 6,733 2.54 10.26 6,740 6,211 Industrial 25 25 55,650 07 54,018 55,242 2.24 4.60 55,650 50,498 Financial and Industrial 30 25 59,440 15 57,935 59,037 2.58 5.13 59,440 53,064 Resource 10 24 58,130 01 55,568 57,521 3.13 6.39 58,990 49,499 Shariah All Share 24 4,346 01 4,217 4,318 3.14 6.39 4,346 3,908 RAFI 40 24 9,874 01 9,587 9,863 3.10 5.97 9,688 8,771 Altx 15 03 610 15 581 601 1.19 4.23 653 517 Oil & Gas 24 44,913 08 43,021 44,670 3.61 9.96 45,620 38,653 Basic Materials 24 30,665 01 29,163 30,216 2.97 5.56 31,636 26,341 Chemicals 04 24,460 11 23,330 24,066 2.34 5.93 25,009 23,064 Forestry & Paper 03 32,198 15 28,858 29,395 2.42 5.29 33,519 28,045 Industrial Metals & Mining 10 21,893 02 20,394 20,688 8.39 9.75 25,873 19,593 Mining 24 34,864 01 32,926 34,415 2.92 5.49 35,853 29,491 Gold Mining 24 1,566 01 1,418 1,552 0.94 1.48 1,659 1,016 Platinum & Precious Metals 22 52 01 49 50 0.37 2.70 54 46 General Mining 24 10,063 01 9,504 9,941 3.46 6.26 10,455 8,663 Industrials 30 45,580 01 43,365 45,391 2.25 6.68 45,580 40,140 Construction & Materials 02 42 15 40 41 2.22 6.60 44 39 General Industrials 30 145 01 137 144 1.88 6.07 145 122 Electronic & Electrical Equipment 30 22,084 01 20,170 21,679 3.85 7.60 22,116 18,761 Industrial Engineering 17 8,980 07 8,607 8,859 3.01 8.72 9,466 8,562 Industrial Transportation 25 200 07 186 199 3.10 8.75 205 175 Support Services 07 2,719 17 2,482 2,584 3.21 4.66 2,819 2,264 Consumer Goods 29 60,443 01 56,323 60,193 1.81 4.49 60,443 53,288 Automobiles & Parts 01 9,744 07 9,151 9,619 2.24 5.16 10,641 8,607 Beverages 29 196 01 178 195 1.76 3.39 196 164 Food Producers 30 70,787 03 66,539 70,571 2.70 6.10 70,787 61,647 Household Goods & Home Construction 24 381 01 346 371 1.46 8.53 381 300 Personal Goods 25 1,074 08 997 1,071 1.01 4.32 1,103 991 Health Care 30 78,521 14 74,350 78,145 1.51 3.12 79,221 68,291 Health Care Equipment & Services 30 8,786 01 8,277 8,771 2.37 2.96 9,002 7,558 Pharmaceuticals & Biotechnology 30 28,513 11 27,029 28,239 0.55 3.29 29,069 24,746 Consumer Services 02 11,587 30 10,512 10,561 1.65 3.41 12,034 10,268 Food & Drug Retailers 29 9,209 01 8,442 9,140 2.32 4.20 9,209 7,363 General Retailers 30 62,649 15 58,801 62,490 3.77 5.94 62,649 52,063 Media 02 262 30 215 217 0.39 1.86 295 215 Travel & Leisure 25 5,811 01 5,287 5,738 2.74 5.37 5,811 5,240 Telecommunication 14 10,568 25 9,893 10,077 4.92 6.98 10,568 9,109 Fixed Line Telecommunications 10 1,273 01 1,075 1,201-18.93 1,273 890 Mobile Telecommunications 14 360 25 337 344 5.05 6.65 360 311 Financials 30 36,426 14 35,142 36,306 3.94 7.33 36,426 30,600 Financial 15 30 13,906 14 13,413 13,851 3.76 7.06 13,906 11,549 Banks 25 63,295 01 60,185 62,337 4.09 8.04 63,295 50,549 NonLife Insurance 29 54,929 07 46,555 54,107 3.18 4.87 54,929 40,836 Life Insurance 02 34,956 17 33,323 34,574 3.71 6.91 34,956 29,298 Real Estate Development & Services 03 1,130 30 1,090 1,094 1.69 1.20 1,182 1,064 General Financial 30 3,851 01 3,546 3,821 2.61 5.58 3,851 2,980 Equity Investment Instruments 30 3,935 02 3,727 3,923 1.16 6.74 3,935 3,197 Technology 24 42,886 11 39,415 41,890 1.02 6.49 44,895 39,211 Software & Computer Services 24 897 09 823 881 0.84 5.67 897 767 SA Resources 24 31,797 01 30,347 31,465 3.05 6.31 32,160 27,017 SA Listed Property 30 514 07 492 511 6.34 9.00 514 459 Capped Property 30 444 07 428 442 5.52 8.09 444 409 Property Unit Trust 30 522 07 482 519 7.35 11.68 522 459 Property Loan Stock 00-00 - - - - 1,920 - Dividend+ 30 225 03 217 225 4.64 7.32 225 199 OVERALL MARKET AND SECTORAL INFORMATION 13

OVERALL MARKET AND SECTORAL INFORMATION CONSTITUENTS AS AT MONTH END (R MILLIONS) Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. J200 Top 40 ANG Anglogold Ashanti 100% 76,385 76,556 IMP Impala Platinum Hlds 82% 61,253 74,854 AMS Anglo American Platinum 22% 29,665 134,841 AGL Anglo American 94% 370,576 394,234 ARI African Rainbow Minerals Ltd 46% 19,599 42,839 ASR Assore Ltd 24% 13,622 56,760 INL Investec Ltd 86% 22,486 26,146 NED Nedbank Group 39% 44,800 115,721 SBK Standard Bank Group 75% 166,254 223,675 BGA Barclays Africa Group Ltd 38% 49,610 130,554 GRT Growthpoint Prop Ltd 92% 43,280 54,496 CFR Compagnie Financiere Richemont AG 96% 537,151 559,532 SAB SABMiller 59% 560,992 956,086 SOL Sasol 85% 322,997 383,817 TBS Tiger Brands 78% 41,639 53,947 MDC Mediclinic International 50% 30,392 60,781 SHP Shoprite 76% 76,186 100,245 FSR Firstrand Limited 52% 112,851 217,963 IPL Imperial Holdings 83% 34,147 40,557 BVT Bidvest Group 95% 91,198 95,562 APN Aspen Pharmacare Holdings 67% 85,307 127,758 RMH RMB Holdings 47% 33,447 71,164 NPN Naspers 94% 387,483 413,478 MTN MTN Group 95% 377,123 394,681 BIL BHP Billiton 100% 730,063 730,063 WHL Woolworths Holdings 87% 52,664 60,560 SHF Steinhoff International Holdings 100% 111,124 116,035 SLM Sanlam 90% 106,313 121,864 ITU Intu Properties Plc 70% 45,081 64,858 OML Old Mutual 96% 166,278 174,284 DSY Discovery Ltd 50% 26,798 53,979 REM Remgro 100% 101,826 101,826 EXX Exxaro Resources 36% 18,473 51,347 INP Investec PLC 100% 55,849 56,177 KIO Kumba Iron Ore 18% 21,578 120,505 MND Mondi Ltd 100% 20,704 20,705 MNP Mondi Plc 100% 64,267 64,267 REI Reinet Investments 75% 36,151 48,202 BTI British American Tobacco PLC 15% 184,063 1,227,384 VOD Vodacom Group 22% 41,066 186,664 CCO Capital & Counties Properties PLC 26% 11,592 44,868 LHC Life Healthcare Group Holdings 88% 38,309 43,533 5,420,643 8,093,367 J201 Mid Cap 861,916 1,210,854 J202 Small Cap 179,060 269,261 J203 All Share 6,461,619 9,573,481 J257 SA Industrials 3,441,258 5,545,853 J258 SA Resources 1,755,168 2,079,684 J259 Dividend+ 2,048,835 3,924,005 14

CONSTITUENTS AS AT MONTH END (R MILLIONS) Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. J211 Industrial 25 CFR Compagnie Financiere Richemont AG 96% 537,151 559,532 SAB SABMiller 59% 560,992 956,086 TBS Tiger Brands 78% 41,639 53,947 NPK Nampak 85% 23,111 27,465 MDC Mediclinic International 50% 30,392 60,781 PIK Pick N Pay Stores 46% 13,257 28,819 SHP Shoprite 76% 76,186 100,245 MPC Mr Price Group 92% 36,285 39,762 IPL Imperial Holdings 83% 34,147 40,557 BVT Bidvest Group 95% 91,198 95,562 APN Aspen Pharmacare Holdings 67% 85,307 127,758 TSH Tsogo Sun Holdings 18% 5,855 32,526 NPN Naspers 94% 387,483 413,478 MTN MTN Group 95% 377,123 394,681 NTC Netcare 100% 37,577 37,647 WHL Woolworths Holdings 87% 52,664 60,560 TRU Truworths International 99% 35,170 35,526 SHF Steinhoff International Holdings 100% 111,124 116,035 MSM Massmart Holdings 50% 14,994 30,233 REM Remgro 100% 101,826 101,826 KIO Kumba Iron Ore 18% 21,578 120,505 MND Mondi Ltd 100% 20,704 20,705 MNP Mondi Plc 100% 64,267 64,267 BTI British American Tobacco PLC 15% 184,063 1,227,384 VOD Vodacom Group 22% 41,066 186,664 LHC Life Healthcare Group Holdings 88% 38,309 43,533 3,023,468 4,976,086 OVERALL MARKET AND SECTORAL INFORMATION J212 Financial 15 INL Investec Ltd 86% 22,486 26,146 NED Nedbank Group 39% 44,800 115,721 SBK Standard Bank Group 75% 166,254 223,675 BGA Barclays Africa Group Ltd 38% 49,610 130,554 MMI MMI Holdings 65% 26,943 41,443 GRT Growthpoint Prop Ltd 92% 43,280 54,496 FSR Firstrand Limited 52% 112,851 217,963 RMH RMB Holdings 47% 33,447 71,164 SLM Sanlam 90% 106,313 121,864 ITU Intu Properties Plc 70% 45,081 64,858 OML Old Mutual 96% 166,278 174,284 DSY Discovery Ltd 50% 26,798 53,979 INP Investec PLC 100% 55,849 56,177 REI Reinet Investments 75% 36,151 48,202 CCO Capital & Counties Properties PLC 26% 11,592 44,868 RMI Rand Merchant Insurance Holdings Ltd 47% 20,948 44,571 968,682 1,489,963 J213 Financial and Industrial 30 INL Investec Ltd 86% 22,486 26,146 NED Nedbank Group 39% 44,800 115,721 SBK Standard Bank Group 75% 166,254 223,675 BGA Barclays Africa Group Ltd 38% 49,610 130,554 GRT Growthpoint Prop Ltd 92% 43,280 54,496 CFR Compagnie Financiere Richemont AG 96% 537,151 559,532 SAB SABMiller 59% 560,992 956,086 TBS Tiger Brands 78% 41,639 53,947 MDC Mediclinic International 50% 30,392 60,781 SHP Shoprite 76% 76,186 100,245 FSR Firstrand Limited 52% 112,851 217,963 BVT Bidvest Group 95% 91,198 95,562 15

OVERALL MARKET AND SECTORAL INFORMATION CONSTITUENTS AS AT MONTH END (R MILLIONS) Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. APN Aspen Pharmacare Holdings 67% 85,307 127,758 RMH RMB Holdings 47% 33,447 71,164 NPN Naspers 94% 387,483 413,478 MTN MTN Group 95% 377,123 394,681 WHL Woolworths Holdings 87% 52,664 60,560 SHF Steinhoff International Holdings 100% 111,124 116,035 SLM Sanlam 90% 106,313 121,864 ITU Intu Properties Plc 70% 45,081 64,858 OML Old Mutual 96% 166,278 174,284 DSY Discovery Ltd 50% 26,798 53,979 REM Remgro 100% 101,826 101,826 INP Investec PLC 100% 55,849 56,177 KIO Kumba Iron Ore 18% 21,578 120,505 MND Mondi Ltd 100% 20,704 20,705 MNP Mondi Plc 100% 64,267 64,267 BTI British American Tobacco PLC 15% 184,063 1,227,384 VOD Vodacom Group 22% 41,066 186,664 CCO Capital & Counties Properties PLC 26% 11,592 44,868 LHC Life Healthcare Group Holdings 88% 38,309 43,533 RMI Rand Merchant Insurance Holdings Ltd 47% 20,948 44,571 3,728,661 6,103,869 J537 General Retailers JDG JD Group 42% 2,649 6,307 CSB Cashbuild Ltd 81% 2,561 3,161 TFG The Foschini Group Ltd 89% 21,438 24,088 MPC Mr Price Group 92% 36,285 39,762 WHL Woolworths Holdings 87% 52,664 60,560 ADH Advtech 88% 3,196 3,636 TRU Truworths International 99% 35,170 35,526 MSM Massmart Holdings 50% 14,994 30,233 LEW Lewis Group 90% 5,507 6,119 COH Curro Holdings 19% 1,448 7,620 HSP Holdsport 60% 1,013 1,688 176,924 218,699 J835 Banks NED Nedbank Group 39% 44,800 115,721 SBK Standard Bank Group 75% 166,254 223,675 BGA Barclays Africa Group Ltd 38% 49,610 130,554 FSR Firstrand Limited 52% 112,851 217,963 RMH RMB Holdings 47% 33,447 71,164 CPI Capitec Bank Hldgs Ltd 53% 13,794 26,228 FGL Finbond Group Ltd 30% 545 1,815 421,301 787,120 J055 Oil & Gas Producers SOL Sasol 85% 322,997 383,817 322,997 383,817 J135 Chemicals AFE AECI 91% 13,712 15,068 OMN Omnia Holdings Ltd 91% 13,831 15,198 AFX African Oxygen 40% 2,837 7,094 30,380 37,360 16

CONSTITUENTS AS AT MONTH END (R MILLIONS) Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. J153 Platinum & Precious Metals IMP Impala Platinum Hlds 82% 61,253 74,854 NHM Northam Platinum 87% 14,182 16,301 AMS Anglo American Platinum 22% 29,665 134,841 LON Lonmin PLC 76% 21,673 28,638 AQP Aquarius Platinum 36% 2,017 1,928 RBP Royal Bafokeng Platinum 30% 3,637 13,050 132,428 269,613 J154 General Mining AGL Anglo American 94% 370,576 394,234 ARI African Rainbow Minerals Ltd 46% 19,599 42,839 ASR Assore Ltd 24% 13,622 56,760 BIL BHP Billiton 100% 730,063 730,063 1,133,860 1,223,895 J173 Forestry & Paper SAP Sappi 100% 17,891 18,036 MND Mondi Ltd 100% 20,704 20,705 MNP Mondi Plc 100% 64,267 64,267 102,863 103,007 OVERALL MARKET AND SECTORAL INFORMATION J175 Industrial Metals & Mining ACL ArcelorMittal South Africa Ltd 36% 5,937 16,493 KIO Kumba Iron Ore 18% 21,578 120,505 27,516 136,998 J177 Mining ANG Anglogold Ashanti 100% 76,385 76,556 HAR Harmony 86% 13,019 15,154 GFI Gold Fields 100% 33,988 34,164 IMP Impala Platinum Hlds 82% 61,253 74,854 NHM Northam Platinum 87% 14,182 16,301 AMS Anglo American Platinum 22% 29,665 134,841 AGL Anglo American 94% 370,576 394,234 ARI African Rainbow Minerals Ltd 46% 19,599 42,839 ASR Assore Ltd 24% 13,622 56,760 LON Lonmin PLC 76% 21,673 28,638 BIL BHP Billiton 100% 730,063 730,063 EXX Exxaro Resources 36% 18,473 51,347 AQP Aquarius Platinum 36% 2,017 1,928 PAN Pan African Resource 84% 4,176 4,975 RBP Royal Bafokeng Platinum 30% 3,637 13,050 SGL Sibanye Gold 100% 19,843 20,163 1,432,171 1,695,866 J231 Venture Capital LAB Labat Africa 67% 20 30 JDH John Daniel Holdings 44% 25 58 45 88 17

OVERALL MARKET AND SECTORAL INFORMATION CONSTITUENTS AS AT MONTH END (R MILLIONS) Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. J232 Alternative Exchange BEG Beige Holdings 20% 10 49 ISA ISA Holdings 32% 41 128 ADW African Dawn Capital 75% 109 114 SVB Silverbridge Holdings 30% 8 26 FWX Foneworx Holdings 40% 126 316 MNY MoneyWeb Holdings 24% 8 34 STA Stratcorp 30% 7 25 CMO Chrometco 26% 6 25 OAS Oasis Crescent Property Fund 86% 573 666 WEA W G Wearne 39% 13 33 PSV PSV Holdings Ltd. 35% 28 79 GDN Gooderson Leisure Corp 22% 20 91 IPS IPSA Group 20% 15 73 WKF Workforce Holdings 16% 17 108 ACE ACCENTUATE 66% 51 77 CSG CSG Holdings Ltd 70% 687 982 JBL Jubilee Platinum 20% 34 178 NUT Nutritional Holdings 85% 34 40 RAR Rare Holdings 25% 25 240 AET Alert Steel Holdings 17% 19 109 ANS Ansys 45% 45 100 IWE INTERWASTE HOLDINGS 41% 239 582 HUG Huge Group Ltd 30% 53 176 ILE IMBALIE BEAUTY LTD 48% 25 52 RBA RBA Holdings 40% 25 61 BSS BSI Steel LTD 17% 71 418 CSP Chemical Specialities 32% 103 322 VUN Vunani Ltd 30% 47 158 MSP MAS Real Estate Inc 57% 3,014 5,288 UBU Ububele Holdings Ltd 50% 41 81 BCK Blackstar Group 63% 659 1,047 MRI Mine Restoration Investments 37% 18 50 TOR Torre Industrial Holdings 79% 706 893 ROC Rockcastle Global Real Estate Co Ltd 35% 2,690 7,685 GAM Global Asset Management Ltd 28% 26 94 9,592 20,400 J235 Construction & Materials MUR Murray & Roberts 92% 10,065 10,941 GRF Group Five/South Africa 69% 3,335 4,841 PPC PPC Ltd 75% 13,893 18,525 WBO Wilson Bayly Holmes-Ovcon 81% 7,269 8,975 AEG Aveng 100% 8,810 8,810 AFT Afrimat 52% 1,166 2,242 RBX Raubex Group 68% 2,729 4,043 SSK Stefanutti & Bressan Holding 67% 1,096 1,635 48,365 60,012 J255 Property Unit Trust CPL Capital Property Fund 83% 14,138 17,034 FPT Fountainhead Property Trust 39% 3,605 9,244 SYC Sycom Property Fund 73% 3,901 5,344 SAC SA Corporate Real Estate Fund 91% 7,442 8,178 EMI Emira Property Fund 87% 6,191 6,992 35,276 46,791 18

CONSTITUENTS AS AT MONTH END (R MILLIONS) Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. J272 General Industrials BAW Barloworld 91% 24,035 26,487 NPK Nampak 85% 23,111 27,465 BVT Bidvest Group 95% 91,198 95,562 KAP KAP Industrial Holdings Ltd 39% 3,737 9,619 REM Remgro 100% 101,826 101,826 EQS Eqstra Holdings 93% 2,793 3,003 MPT Mpact Ltd 100% 4,560 4,547 251,261 268,510 J275 Industrial Engineering HDC Hudaco Industries 98% 3,498 3,582 IVT Invicta Holdings 36% 3,232 9,059 BEL Bell Equipment 31% 510 1,660 HWN Howden Africa Holdings 45% 1,420 3,155 8,659 17,457 J277 Industrial Transportation GND Grindrod 60% 9,034 14,959 TRE Trencor Ltd 94% 12,393 13,199 IPL Imperial Holdings 83% 34,147 40,557 SPG Super Group 93% 8,308 8,933 63,881 77,648 OVERALL MARKET AND SECTORAL INFORMATION J279 Support Services ADR Adcorp Holdings 100% 3,208 3,208 MFL Metrofile Holdings 51% 1,093 2,159 NT1 Net 1 UEPS Technologies 18% 971 5,798 5,271 11,164 J335 Automobiles & Parts MTA Metair Investments Ord 69% 5,833 8,453 5,833 8,453 J353 Beverages SAB SABMiller 59% 560,992 956,086 CVH Capevin Holdings Ltd 85% 5,536 6,513 566,528 962,598 J357 Food Producers AVI AVI 89% 17,758 20,010 OCE Oceana Group 30% 3,199 10,757 TBS Tiger Brands 78% 41,639 53,947 TON Tongaat Hulett 99% 13,609 13,746 RCL RCL Foods 17% 2,243 13,251 ILV Illovo Sugar 50% 6,616 13,358 ARL Astral Foods Ltd 91% 3,693 4,025 PFG Pioneer Food Group 56% 12,110 21,743 CLR Clover Industries Ltd 75% 2,655 3,540 103,522 154,377 J453 Health Care Equipment & Services MDC Mediclinic International 50% 30,392 60,781 NTC Netcare 100% 37,577 37,647 LHC Life Healthcare Group Holdings 88% 38,309 43,533 106,278 141,962 19

OVERALL MARKET AND SECTORAL INFORMATION CONSTITUENTS AS AT MONTH END (R MILLIONS) Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. J457 Pharmaceuticals & Biotechnology APN Aspen Pharmacare Holdings 67% 85,307 127,758 AIP Adcock Ingram Holdings 85% 9,034 10,714 ASC Ascendis Health Ltd 42% 1,026 2,443 95,368 140,915 J533 Food & Drug Retailers PIK Pick N Pay Stores 46% 13,257 28,819 SHP Shoprite 76% 76,186 100,245 CLS Clicks Group Ltd 94% 14,842 15,790 SPP The Spar Group 100% 21,286 21,393 125,572 166,247 J555 Media NPN Naspers 94% 387,483 413,478 TMG Times Media Group Ltd 63% 1,690 2,683 389,173 416,161 J575 Travel & Leisure SUI Sun International Ltd 81% 9,614 11,869 TSH Tsogo Sun Holdings 18% 5,855 32,526 CLH City Lodge Hotels 74% 3,905 5,323 FBR Famous Brands 62% 6,491 10,470 SUR Spur Corp 85% 2,490 2,929 28,355 63,118 J653 Fixed Line Telecommunications TKG Telkom SA SOC 59% 11,652 19,581 11,652 19,581 J657 Mobile Telecommunications MTN MTN Group 95% 377,123 394,681 BLU Blue Label Telecoms Ltd. 55% 3,383 6,152 VOD Vodacom Group 22% 41,066 186,664 421,572 587,497 J857 Life Insurance LBH Liberty Hldgs. 36% 12,975 36,070 MMI MMI Holdings 65% 26,943 41,443 SLM Sanlam 90% 106,313 121,864 OML Old Mutual 96% 166,278 174,284 DSY Discovery Ltd 50% 26,798 53,979 CLI Clientele 17% 805 4,740 340,113 432,379 J863 Real Estate Development & Services NEP New Europe Property Investment Plc 57% 10,027 19,182 CCO Capital & Counties Properties PLC 26% 11,592 44,868 ATT Attacq Limited 60% 7,083 12,825 28,702 76,875 20

CONSTITUENTS AS AT MONTH END (R MILLIONS) Code Security Free FTSE Free Float JSE Full Float Mkt Cap. Mkt Cap. J867 Real Estate Investment Trusts GRT Growthpoint Prop Ltd 92% 43,280 54,496 HYP Hyprop Investments Ltd 97% 18,543 19,127 CPL Capital Property Fund 83% 14,138 17,034 FPT Fountainhead Property Trust 39% 3,605 9,244 SYC Sycom Property Fund 73% 3,901 5,344 OCT Octodec Investments 59% 1,402 2,376 PMM Premium Properties 57% 1,564 2,744 SAC SA Corporate Real Estate Fund 91% 7,442 8,178 ITU Intu Properties Plc 70% 45,081 64,858 RDF Redefine Properties 98% 29,915 30,526 ACP Acucap Properties Limited 87% 7,493 8,689 RES Resilient Prop Inc Fd 79% 14,220 16,892 EMI Emira Property Fund 87% 6,191 6,992 VKE Vukile Property Fund 100% 8,546 8,546 HPA Hospitality Property A 100% 2,285 2,291 HPB Hospitality Property B 100% 712 714 FFA Fortress Income Fund Ltd. (A) 74% 3,846 5,516 IPF Investec Property Fund ltd 46% 2,439 5,302 REB Rebosis Property Fund 83% 3,722 4,484 AWA Arrowhead Properties (A) 100% 2,130 2,268 AWB Arrowhead Properties (B) 100% 2,100 2,236 AIA Ascension Properties Ltd A 80% 1,174 1,467 AIB Ascension Properties Ltd B 52% 489 941 DLT Delta Property Fund 88% 3,114 3,775 RPL Redefine International PLC 62% 7,105 12,602 234,436 296,640 OVERALL MARKET AND SECTORAL INFORMATION J877 General Financial INL Investec Ltd 86% 22,486 26,146 BAT Brait SE 63% 18,375 29,108 PSG PSG Group 36% 7,786 21,627 ABL African Bank Invest 84% 15,724 18,719 PGR Peregrine Holdings 73% 3,001 4,111 INP Investec PLC 100% 55,849 56,177 CML Coronation Fund Managers 76% 26,981 35,501 JSE JSE 100% 8,384 8,384 ZED Zeder Investments 58% 2,485 4,293 GPL Grand Parade Investments Ltd 76% 1,927 2,536 TCP Transaction Capital 26% 798 3,059 163,793 209,659 J953 Software & Computer Services DTC Datatec 92% 9,526 10,428 EOH EOH Holdings Ltd. 88% 8,382 9,525 BCX Business Connexion Group 89% 2,040 2,292 19,949 22,246 21

Instrument Call or Put Style Type Issuer Underlying Expiry Date Cover Strike Price per or note Security/Bond Ratio Share (cents) ABLSBE C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ABL 01/07/2014 0.167 1,350 ABLSBF C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ABL 02/09/2014 0.2 1,100 AGLSBC C American Vanilla STANDARD BANK OF SOUTH AFRICA LD AGL 01/07/2014 0.015 24,500 AGLSBD C American Vanilla STANDARD BANK OF SOUTH AFRICA LD AGL 02/09/2014 0.013 29,000 AGLSBU P European Vanilla STANDARD BANK OF SOUTH AFRICA LD AGL 02/09/2014 0.014 21,500 AGLSBV P European Vanilla STANDARD BANK OF SOUTH AFRICA LD AGL 02/09/2014 0.013 25,000 AMSSBH C American Vanilla STANDARD BANK OF SOUTH AFRICA LD AMS 07/05/2014 0.006 44,000 AMSSBI C American Vanilla STANDARD BANK OF SOUTH AFRICA LD AMS 02/09/2014 0.007 42,000 AMSSBJ C American Vanilla STANDARD BANK OF SOUTH AFRICA LD AMS 04/11/2014 0.005 52,000 AMSSBP P European Vanilla STANDARD BANK OF SOUTH AFRICA LD AMS 04/11/2014 0.006 41,000 ANGSBJ C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ANG 07/05/2014 0.018 14,500 ANGSBL C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ANG 07/05/2014 0.018 17,500 ANGSBM C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ANG 05/08/2014 0.017 14,000 ANGSBN C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ANG 02/09/2014 0.013 17,500 ANGSBO C American Vanilla STANDARD BANK OF SOUTH AFRICA LD ANG 04/11/2014 0.011 20,500 ANGSBQ P European Vanilla STANDARD BANK OF SOUTH AFRICA LD ANG 02/09/2014 0.015 15,500 BGASBB C American Vanilla STANDARD BANK OF SOUTH AFRICA LD BGA 01/07/2014 0.04 15,000 BGASBC C American Vanilla STANDARD BANK OF SOUTH AFRICA LD BGA 02/09/2014 0.04 14,500 BGASBP P European Vanilla STANDARD BANK OF SOUTH AFRICA LD BGA 07/05/2014 0.014 15,702 BGASBP P European Vanilla STANDARD BANK OF SOUTH AFRICA LD BGA 07/05/2014 0.015 15,702 BGASBQ P European Vanilla STANDARD BANK OF SOUTH AFRICA LD BGA 04/11/2014 0.029 14,000 BILSBG C American Vanilla STANDARD BANK OF SOUTH AFRICA LD BIL 02/09/2014 0.014 35,000 BILSBQ P European Vanilla STANDARD BANK OF SOUTH AFRICA LD BIL 07/05/2014 0.014 29,000 BILSBR P European Vanilla STANDARD BANK OF SOUTH AFRICA LD BIL 02/09/2014 0.013 30,000 CFRSBI C American Vanilla STANDARD BANK OF SOUTH AFRICA LD CFR 01/07/2014 0.033 11,500 CFRSBJ C American Vanilla STANDARD BANK OF SOUTH AFRICA LD CFR 04/11/2014 0.033 11,000 CFRSBS P European Vanilla STANDARD BANK OF SOUTH AFRICA LD CFR 07/05/2014 0.04 9,500 ESPIBA P European Index INVESTEC BANK LTD TOPI 27/10/2016 1 34,068 EXXSBJ C American Vanilla STANDARD BANK OF SOUTH AFRICA LD EXX 01/07/2014 0.02 15,000 EXXSBK C American Vanilla STANDARD BANK OF SOUTH AFRICA LD EXX 04/11/2014 0.02 15,000 EXXSBL C American Vanilla STANDARD BANK OF SOUTH AFRICA LD EXX 04/11/2014 0.029 15,500 FSRSBA C American Vanilla STANDARD BANK OF SOUTH AFRICA LD FSR 01/07/2014 0.125 3,600 FSRSBB C American Vanilla STANDARD BANK OF SOUTH AFRICA LD FSR 02/09/2014 0.1 3,600 FSRSBC C American Vanilla STANDARD BANK OF SOUTH AFRICA LD FSR 02/09/2014 0.125 3,400 FSRSBO C American Vanilla STANDARD BANK OF SOUTH AFRICA LD FSR 07/05/2014 0.111 3,600 FSRSBP P European Vanilla STANDARD BANK OF SOUTH AFRICA LD FSR 02/09/2014 0.125 3,200 FSRSBQ P European Vanilla STANDARD BANK OF SOUTH AFRICA LD FSR 04/11/2014 0.125 3,400 FSRSBZ P European Vanilla STANDARD BANK OF SOUTH AFRICA LD FSR 07/05/2014 0.125 3,200 GFISBE C American Vanilla STANDARD BANK OF SOUTH AFRICA LD GFI 01/07/2014 0.05 4,500 GFISBF C American Vanilla STANDARD BANK OF SOUTH AFRICA LD GFI 05/08/2014 0.067 3,750 GFISBG C American Vanilla STANDARD BANK OF SOUTH AFRICA LD GFI 04/11/2014 0.056 4,400 GFISBQ P European Vanilla STANDARD BANK OF SOUTH AFRICA LD GFI 02/09/2014 0.067 3,600 GLDSBE C American Vanilla STANDARD BANK OF SOUTH AFRICA LD GLD 07/05/2014 0.04 14,000 GLDSBF C American Vanilla STANDARD BANK OF SOUTH AFRICA LD GLD 02/09/2014 0.029 14,000 GRTIVC C European Vanilla INVESTEC BANK LTD GRT 24/07/2019 1 675 GRTIVC C European Vanilla INVESTEC BANK LTD GRT 24/07/2019 1 62,226 GRTIVC C European Vanilla INVESTEC BANK LTD GRT 24/07/2019 1 62,502 GRTIVE C European Vanilla INVESTEC BANK LTD GRT 15/03/2028 1 1,850 HARSBD C American Vanilla STANDARD BANK OF SOUTH AFRICA LD HAR 07/05/2014 0.05 3,700 HARSBE C American Vanilla STANDARD BANK OF SOUTH AFRICA LD HAR 01/07/2014 0.067 3,150 HARSBF C American Vanilla STANDARD BANK OF SOUTH AFRICA LD HAR 05/08/2014 0.083 3,000 HARSBG C American Vanilla STANDARD BANK OF SOUTH AFRICA LD HAR 04/11/2014 0.05 3,750 HARSBQ P European Vanilla STANDARD BANK OF SOUTH AFRICA LD HAR 02/09/2014 0.067 2,700 HYPIVC C European Vanilla INVESTEC BANK LTD HYP 24/07/2019 1 1,771 WARRANTS INFORMATION 23

WARRANTS INFORMATION 24 Instrument Call or Put Style Type Issuer Underlying Expiry Date Cover Strike Price per or note Security/Bond Ratio Share (cents) HYPIVC C European Vanilla INVESTEC BANK LTD HYP 24/07/2019 1 1,771 HYPIVC C European Vanilla INVESTEC BANK LTD HYP 24/07/2019 1 1,937 HYPIVC C European Vanilla INVESTEC BANK LTD HYP 24/07/2019 1 1,975 IMPSBI C American Vanilla STANDARD BANK OF SOUTH AFRICA LD IMP 02/09/2014 0.025 13,000 IMPSBS P European Vanilla STANDARD BANK OF SOUTH AFRICA LD IMP 07/05/2014 0.033 11,500 IMPSBT P European Vanilla STANDARD BANK OF SOUTH AFRICA LD IMP 02/09/2014 0.029 11,000 IPFIVAC European Vanilla INVESTEC BANK LTD IPF 19/07/2016 1 469 IPFIVAC European Vanilla INVESTEC BANK LTD IPF 19/07/2016 1 469 IPFIVAC European Vanilla INVESTEC BANK LTD IPF 19/07/2016 1 500 IPFIVAC European Vanilla INVESTEC BANK LTD IPF 19/07/2016 1 550 KIOSBI C American Vanilla STANDARD BANK OF SOUTH AFRICA LD KIO 07/05/2014 0.009 46,000 KIOSBJ C American Vanilla STANDARD BANK OF SOUTH AFRICA LD KIO 01/07/2014 0.01 42,500 KIOSBL C American Vanilla STANDARD BANK OF SOUTH AFRICA LD KIO 04/11/2014 0.008 42,000 MPCSBC C American Vanilla STANDARD BANK OF SOUTH AFRICA LD MPC 07/05/2014 0.029 17,000 MPCSBD C American Vanilla STANDARD BANK OF SOUTH AFRICA LD MPC 02/09/2014 0.029 15,000 MPCSBQ P European Vanilla STANDARD BANK OF SOUTH AFRICA LD MPC 07/05/2014 0.033 13,500 MTNSBD C American Vanilla STANDARD BANK OF SOUTH AFRICA LD MTN 01/07/2014 0.02 21,000 MTNSBE C American Vanilla STANDARD BANK OF SOUTH AFRICA LD MTN 04/11/2014 0.017 23,000 MTNSBQ P European Vanilla STANDARD BANK OF SOUTH AFRICA LD MTN 01/07/2014 0.02 18,500 MTNSBR P European Vanilla STANDARD BANK OF SOUTH AFRICA LD MTN 02/09/2014 0.018 20,000 NEDSBL C American Vanilla STANDARD BANK OF SOUTH AFRICA LD NED 02/09/2014 0.02 22,000 NPNSBL C American Vanilla STANDARD BANK OF SOUTH AFRICA LD NPN 07/05/2014 0.004 102,500 NPNSBM C American Vanilla STANDARD BANK OF SOUTH AFRICA LD NPN 02/09/2014 0.003 125,000 NPNSBN C American Vanilla STANDARD BANK OF SOUTH AFRICA LD NPN 04/11/2014 0.002 115,000 NPNSBW P European Vanilla STANDARD BANK OF SOUTH AFRICA LD NPN 07/05/2014 0.004 90,000 NPNSBX P European Vanilla STANDARD BANK OF SOUTH AFRICA LD NPN 02/09/2014 0.003 105,000 OMLSBL C American Vanilla STANDARD BANK OF SOUTH AFRICA LD OML 07/05/2014 0.143 3,500 OMLSBM C American Vanilla STANDARD BANK OF SOUTH AFRICA LD OML 02/09/2014 0.111 3,700 OMLSBN C American Vanilla STANDARD BANK OF SOUTH AFRICA LD OML 02/09/2014 0.143 3,500 OMLSBQ P European Vanilla STANDARD BANK OF SOUTH AFRICA LD OML 07/05/2014 0.143 3,000 OMLSBR P European Vanilla STANDARD BANK OF SOUTH AFRICA LD OML 02/09/2014 0.125 3,250 RDFIVD C European Vanilla INVESTEC BANK LTD RDF 21/05/2024 1 700 SBKSBF C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SBK 07/05/2014 0.04 13,500 SBKSBG C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SBK 02/09/2014 0.033 14,000 SBKSBH C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SBK 02/09/2014 0.04 12,750 SBKSBP P European Vanilla STANDARD BANK OF SOUTH AFRICA LD SBK 02/09/2014 0.04 12,000 SGLSBE C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SGL 07/05/2014 0.143 1,550 SGLSBF C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SGL 02/09/2014 0.143 1,500 SGLSBG C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SGL 02/09/2014 0.125 1,800 SGLSBH C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SGL 04/11/2014 0.083 2,400 SGLSBP P European Vanilla STANDARD BANK OF SOUTH AFRICA LD SGL 02/09/2014 0.125 1,550 SGLSBQ P European Vanilla STANDARD BANK OF SOUTH AFRICA LD SGL 04/11/2014 0.1 2,100 SHFSBA C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SHF 01/07/2014 0.1 4,400 SHPSBD C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SHP 01/07/2014 0.022 19,500 SHPSBE C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SHP 02/09/2014 0.022 17,000 SHPSBF C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SHP 02/09/2014 0.025 15,800 SHPSBY P European Vanilla STANDARD BANK OF SOUTH AFRICA LD SHP 07/05/2014 0.029 16,000 SOLSBI C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SOL 07/05/2014 0.009 55,000 SOLSBJ C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SOL 02/09/2014 0.007 56,000 SOLSBL C American Vanilla STANDARD BANK OF SOUTH AFRICA LD SOL 04/11/2014 0.008 64,000 SOLSBV P European Vanilla STANDARD BANK OF SOUTH AFRICA LD SOL 07/05/2014 0.01 48,500 SOLSBW P European Vanilla STANDARD BANK OF SOUTH AFRICA LD SOL 02/09/2014 0.008 50,000 SOLSBX P European Vanilla STANDARD BANK OF SOUTH AFRICA LD SOL 04/11/2014 0.006 56,000 SYCIVC C European Vanilla INVESTEC BANK LTD SYC 24/07/2019 1 540

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 SYCIVC C European Vanilla SYCIVC C European Vanilla SYCVIC C European Vanilla TFGSBD C American Vanilla TFGSBE C American Vanilla TFGSBF C American Vanilla TOPSBI C European Index TOPSBJ C European Index TOPSBL C European Index TOPSBP P European Index TOPSBQ P European Index TOPSBZ P European Index VODSBC C American Vanilla VODSBD C American Vanilla WHLSBC C American Vanilla WHLSBD C American Vanilla WHLSBE C American Vanilla WHLSBQ P European Vanilla INVESTEC BANK LTD SYC 24/07/2019 1 540 INVESTEC BANK LTD SYC 24/07/2019 1 776 INVESTEC BANK LTD SYC 24/07/2019 1 850 INVESTEC BANK LTD SYC 24/07/2019 1 85 STANDARD BANK OF SOUTH AFRICA LD TFG 07/05/2014 0.033 12,500 STANDARD BANK OF SOUTH AFRICA LD TFG 01/07/2014 0.04 11,000 STANDARD BANK OF SOUTH AFRICA LD TFG 02/09/2014 0.033 10,500 STANDARD BANK OF SOUTH AFRICA LD TOPI 07/05/2014 0.01 30,000 STANDARD BANK OF SOUTH AFRICA LD TOPI 07/05/2014 0 43,000 STANDARD BANK OF SOUTH AFRICA LD TOPI 02/09/2014 0 44,000 STANDARD BANK OF SOUTH AFRICA LD TOPI 07/05/2014 0 37,500 STANDARD BANK OF SOUTH AFRICA LD TOPI 02/09/2014 0 39,000 STANDARD BANK OF SOUTH AFRICA LD TOPI 07/05/2014 0.01 01 42,000 STANDARD BANK OF SOUTH AFRICA LD VOD 02/09/2014 0.029 14,000 STANDARD BANK OF SOUTH AFRICA LD VOD 02/09/2014 0.033 13,000 STANDARD BANK OF SOUTH AFRICA LD WHL 07/05/2014 0.04 8,000 STANDARD BANK OF SOUTH AFRICA LD WHL 02/09/2014 0.05 05 8,000 STANDARD BANK OF SOUTH AFRICA LD WHL 02/09/2014 0.05 6,800 STANDARD BANK OF SOUTH AFRICA LD WHL 07/05/2014 0.05 7,100 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

2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS 2014 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR APRIL 2014 TRADING STATISTICS 2014 TO APRIL TRADING STATISTICS 2014 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 HARE ODE 1time Holdings Ltd 1TM Airlines 280,000 3 ABSA Bank Ltd Pref ABSP Pref Shares 4,945 5,745.90 5,491.70 5,507.42 F 2723.85021 07/04 45,877 85,000 10 80,500 24 81,899 313 19 38,004,225 204 170,853 90,000 80,500 1,212 1,030,150 93,500 77,000 Accelerate Prop Fund Ltd APF Retail REITs 638,917 4,482,318 520 10 430 10 481 493 17 22,809,455 11,873 59,430 2,526 430 1,943 10,017 565 490 Accentuate Limited ACE Build Mat & Fix 122,638 633,881 64 23 57 14 63 71 19 375,952 4,854 3,259 97 52 6,564 5,882 150 58 Acucap Properties Ltd ACP Retail REITs 183,511 283.88 298.32 156.22 6,069,266 4,933 24 3,975 7 4,735 4,748 19 273,617,398 34,436 1,402,871 4,933 3,751 72,292 3,322,373 5,805 3,980 Adaptit Holdings Limited ADI Comp Serv 111,499 2.84 4.11 4.73 6,958,080 950 17 605 30 730 2,377 19 57,591,816 21,489 152,302 950 472 32,302 101,131 501 130 Adcock Ingram Hldgs Ltd AIP Pharmac 175,645 102.00 81.00 73.10 106.00 170.85 11,207,921 6,480 11 5,750 3 6,100 8,798 19 671,170,786 80,828 5,310,801 7,185 5,325 188,855 12,166,818 7,250 5,270 Adcorp Holdings Limited ADR Bus Train & empl agen 100,092 178.00 119.00 119.00 1,407,069 3,400 7 3,080 2 3,205 1,980 19 45,470,113 9,433 297,773 3,513 3,010 29,818 933,034 3,800 2,634 Adrenna Property Grp Ltd ANA Real Estate Holding & Dev 55,915 400,122 45 14 30 3 36 22 8 142,145 557 207 45 30 2,061 825 55 27 Advanced Health Ltd AVL Healthc Prov 210,831 21,508,695 170 30 125 25 170 1,387 3 30,158,518 21,509 30,159 170 125 ADvTECH Ltd ADH Spec Cons Serv 421,282 12.00 11.00 22.53 20.83 F 12.75 14/04 8,194,246 866 30 739 1 863 1,700 19 66,342,837 34,071 255,719 874 652 119,995 789,564 762 585 AECI Limited AFE Spec. Chemicals 128,241 213.00 245.30 246.50 F 178.5 14/04 4,548,016 12,701 3 11,560 29 11,750 5,800 19 553,050,531 13,396 1,686,424 13,280 11,560 46,972 5,092,974 12,857 7,901 AECI Limited 5,5% Pref AFEP Pref Shares 3,000 66.01 62.96 71.29 57,169 1,600 16 1,600 16 1,600 30 6 914,704 65 1,033 1,625 1,550 49 569 1,625 928 Africa Cellular Towers ATR Telecom equip 370,287 5 AfricaGold ETFGLD Exchange Traded Funds 400 1,651 13,880 15 13,642 15 13,613 7 4 225,934 2 226 13,880 13,642 African & Over Ent Ltd AOO Appar Retail 1,250 32.00 35.00 34.17 1,200 5 79 1,600 1,200 African & Over Ent Ltd -N AON Appar Retail 10,137 32.00 35.00 34.17 1,200 0 1 1,200 1,199 47 490 1,720 702 African & Over Ent Ltd P AOVP Appar Retail 275 61.00 6.00 66.00 I 5.1 13/01 I 45.9 13/01 30 1,250 23 1,250 23 1,250 1 1 375 2 18 1,250 1,200 10 112 1,150 1,100 African Bank Inv Ltd ABL Cons Fin 1,501,093 185.00 72.25 93.50 4.25 21.25 78,779,717 1,287 29 1,010 3 1,247 19,041 19 897,504,792 542,724 5,775,978 1,287 906 1,776,381 35,235,037 3,319 1,058 African Bank Inv Ltd Pref ABLP Pref Shares 13,523 620.00 567.80 535.50 300,032 6,450 2 6,220 22 6,260 222 17 18,866,147 1,154 72,902 6,650 6,150 4,686 317,410 7,500 6,100 African Dawn Capital Ltd ADW Cons Fin 880,271 21,079,458 15 24 8 22 13 284 18 2,306,654 45,747 4,376 15 7 166,697 13,145 12 5 African Eagle Res plc AEA Nom-ferr Metals 694,014 7,335,208 6 22 4 24 5 69 16 423,692 12,165165 672 7 4 14,743 1,769 60 4 African Media Ent Ltd AME Broadcast & ent 8,277 89.39 255.00 4,526 8,300 30 7,900 30 8,300 10 3 370,436 171 13,560 8,400 7,750 801 52,942 8,200 5,406 African Oxygen Limited AFX Spec. Chemicals 342,853 30.00 45.95 38.25 F 17 22/04 2,694,739 2,100 30 1,881 11 2,069 462 19 52,689,265 10,294 204,986 2,200 1,800 46,220 1,013,911 2,680 1,798 African Rainbow Min Ltd ARI Gen Mining 216,675 450.00 475.00 502.58 9,024,250 21,628 8 18,992 29 19,771 40,894 19 1,862,706,531 40,748 8,526,836 23,990 18,506 105,895 19,436,147 20,884 14,300 AfricaPalladium Debs ETFPLD Exchange Traded Funds 22,100 17,979,917 8,632 25 8,130 8 8,511 283 19 1,500,670,904 20,405 1,702,260 8,743 8,130 AfricaPlatinum ETFPLT Exchange Traded Funds 600 256,436 15,344 15 14,775 24 15,029 25 8 38,511,882 256 38,512 15,344 14,775 Afrimat Limited AFT Build Mat & Fix 143,262 17.00 20.14 26.35 1,199,238 1,600 30 1,370 1 1,565 502 19 17,254,259 7,855 102,020 1,600 1,150 28,732 284,761 1,380 675 AfroCentric Inv Corp Ltd ACT Healthc Prov 467,855 16.50 10.50 F 12.954 17/02 2,439,811 460 8 423 25 449 508 19 10,769,751 13,967 64,063 490 411 40,134 171,995 525 360 AH-Vest Limited AHL Food Prod 101,973 17.86 7,683 23 30 15 22 23 7 6 1,551 103 20 24 14 536 83 24 10 Alert Steel Holdings Ltd AET Home Imp Ret 100,000 196.35 72,629 109 30 75 11 109 19 9 67,458 344 341 155 60 3,256 4,311 218 75 Alliance Mining Corp Ltd ALM Software 108,512 Allied Elec Corp Pref ATNP Electr Comp & eq 253,360 108.00 78.00 51.00 5,913,901 2,525 30 2,311 22 2,401 1,606 19 141,692,189 36,493 877,476 2,541 2,202 79,692 1,676,742 2,459 1,800 Allied Electronics Corp ATN Electr Comp & eq 105,669 108.00 78.00 51.00 697,469 2,498 16 2,300 9 2,435 425 19 16,882,954 2,832 67,251 2,550 2,300 7,584 161,785 2,599 1,526 Alx Forbes Prf Sh Inv Ltd AFP Other Sec 324,407 29.70 48.13 38.37 CP 14/04 929.577 23,759,362 1,950 4 752 9 930 1,202 19 209,864,224 26,519 261,384 2,000 752 42,087 594,836 1,800 1,150 Amalgamated Elec Corp Ltd AER Electro Equipm 77,985 8.00 6.80 14.03 422,143 325 3 255 8 290 57 14 1,229,199 1,959 5,694 325 255 52,916 108,636 300 181 Andulela Inv Hldgs Ltd AND Equity inv Instr 87,645 2,523 283 11 283 11 283 2 2 7,140 149 518 400 170 931 551 500 6 Anglo American Plat Ltd AMS Plat & Prec. Met 269,682 1,183.00 200.00 6,538,476 53,000 14 46,702 1 50,000 41,358 19 3,249,954,660 23,601 10,766,974 53,000 36,351 101,063 38,233,070 50,899 27,318 Anglo American plc AGL Gen Mining 1,405,468 475.04 534.54 665.46 F 498.91974 29/04 52,128,738 28,544 24 26,450 15 28,050 69,298 19 14,186,911,20 1 251,903 66,170,495 28,940 21,804 879,398 206,082,197 29,145 18,519 Anglogold Ashanti Ltd ANG Gold 403,202 260.00 412.50 85.00 17,964,977 19,599 9 17,839 1 18,987 47,586 19 3,362,706,197 99,865 17,783,264 20,952 12,187 431,413 72,447,468 27,048 11,401 Annuity Properties Ltd ANP Diversified REITs 236,573 0.03 19.11 0.04 21.72 3,966,807 7,000 9 523 8 550 399 17 21,614,438 12,209 63,483 7,000 490 19,462 107,738 605 485 Ansys Limited ANS Electro Equipm 244,867 4,679,945 41 30 33 1 41 161 19 1,757,346 12,159 4,161 41 22 30,409 8,228 44 15 Aquarius Platinum Ltd AQP Plat & Prec. Met 488,103 58.04 28,124,353 760 17 381 30 395 4,804 19 171,384,091 45,199 289,410 770 381 129,161 942,057 1,095 536 Aquarius Platinum NPL AQPN Plat & Prec. Met 976,207 8,965,625 210 22 140 30 150 1,925 6 13,802,293 8,966 13,802 210 140 ARB Holdings Limited ARH Electr Comp & eq 235,000 12.25 11.65 13.77 8.50 3,877,324 725 23 561 7 675 396 19 23,679,241 10,058 59,501 725 550 13,118 63,752 655 408 ArcelorMittal SA Limited ACL Iron & Steel 445,752 55.00 13,361,963 3,924 23 3,301 1 3,700 11,861 19 486,374,885 33,782 1,313,730 4,850 3,205 137,330 4,425,721 4,559 2,260 Argent Industrial Ltd ART Div Indust 96,491 11.00 10.20 5.95 I 5.95 31/03 3,008,637 500 29 485 15 490 357 19 14,888,391 8,286 41,767 535 480 25,110 144,324 710 452 Arrowhead Properties A AWA Industrial & Office REITs 308,780 50.0000 60.0000 9,216,317 740 30 693 1 735 1,720 19 66,128,903 39,577 271,082 740 642 110,127 798,691 825 615 Arrowhead Properties B AWB Industrial & Office REITs 308,780 33.82 53.01 5,110,489 738 30 680 1 724 711 19 36,148,530 31,545 211,957 738 620 72,417 512,693 825 622 Ascendis Health Ltd ASC Pharmac 239,463 734,089 1,095 7 995 30 1,020 280 19 7,719,892 14,214 149,387 1,130 910 11,116 116,656 1,130 1,000 Ascension Prop Ltd A AIA Diversified REITs 308,861 17.91 22.17 6,153,777 490 25 475 29 475 432 15 29,243,509 61,362 277,758 490 410 84,568 386,183 500 410 Ascension Prop Ltd B AIB Diversified REITs 376,359 9.65 11.78 4,456,086 264 25 225 2 250 334 17 10,524,923 11,851 28,535 265 200 63,784 157,518 275 215 Aspen Pharmacare Hldgs Ltd APN Pharmac 456,329 105.00 157.00 131.00 26.00 16,086,049 28,422 1 26,512 11 27,997 57,977 19 4,419,291,074 76,107 20,304,803 28,999 23,626 339,626 75,469,687 27,978 15,577 Assore Ltd ASR Gen Mining 139,607 450.00 467.50 510.00 I 382.5 10/03 1,192,160 43,649 25 39,599 4 40,657 20,249 19 495,578,096 5,379 2,152,623 46,245 32,258 24,460 8,845,585 44,900 27,195 Astral Foods Ltd ARL Farm & Fish 42,149 775.00 790.60 285.60 F 188.7 27/01 1,626,563 9,700 30 8,525 2 9,550 2,289 19 146,167,655 9,113 790,388 10,600 7,950 22,685 2,145,460 11,454 8,460 Astrapak Limited APK Cont & Pack 135,131 26.40 947,640 751 23 551 30 729 128 15 7,041,255, 3,734 27,141 800 540 54,970 354,460 775 500 Astrapak Limited Pref APKP Pref Shares 1,500 707.62 661.76 668.62 32.98 42,090 8,000 15 7,500 30 7,500 48 14 3,220,703 67 5,114 8,000 7,400 301 24,196 8,590 7,350 Atlantic Leaf Prop Ltd ALP Real est Hold 15,295 11,210 1,761 3 1,761 3 1,761 1 1 197,408 11 197 1,761 1,761 Atlatsa Resources Corp ATL Plat & Prec. Met 554,288 388,142 506 1 384 24 415 118 18 1,695,722 1,777 9,695 630 202 11,046 31,906 620 145 Attacq Limited ATT Real Estate Holding & Dev 712,510 13,217,454 1,850 14 1,756 23 1,800 3,492 19 237,565,142 60,559 1,088,008 1,900 1,706 90,581 1,492,052 1,850 1,600 Austro Group Ltd ASO Industr mach 395,293 2.00 1,703,504 164 1 150 29 159 120 16 2,678,019 45,551 68,886 175 113 214,745 127,458 125 40 Aveng Group Limited AEG Heavy Contr. 389,838 145.00 51.00 14,401,207 2,440 2 2,243 1 2,260 12,498 19 331,840,711 94,395 2,194,103 2,717 2,026 327,990 9,796,423 3,834 2,383 AVI Ltd AVI Food Prod 344,938 125.00 173.12 153.00 221.00 I 102 07/04 14,614,036 5,950 9 5,590 1 5,801 17,619 19 851,115,765 81,542 4,374,304 5,950 4,917 231,476 13,063,091 6,200 5,216 Awethu Breweries Ltd AWT Brewers 84,557 1,633,931 6 17 4 29 5 29 13 82,188 3,687 203 7 4 9,418 544 7 4 Barclays Africa Grp Ltd BGA Banks 847,751751 522.00 660.0000 613.02 601.80 F 399.5 07/04 30,219,224 224 15,748 9 14,571 1 15,400 44,500 19 4,614,477,888 477 12 4,165 17,278,881 881 15,748 12,207 207 440,989 65,516,986 516 17,315 12,500 Barloworld Ltd BAW Div Indust 231,106 105.00 173.00 209.59 F 165.75 20/01 17,920,186 11,956 11 11,003 1 11,461 36,731 19 2,050,940,440 57,705 6,256,988 11,956 9,470 203,032 18,295,117 10,400 7,494 Barworld Ltd 6%Pref BAWP Pref Shares 375 12.00 11.10 10.20 124 10 12 124 124 28 41 150 121 Basil Read Holdings Ltd BSR Heavy Contr. 131,694 30.00 148.75 4,259,856 944 24 850 2 925 1,723 19 38,210,342 24,728 198,685 944 720 43,022 394,129 1,245 553 Bauba Platinum Limited BAU Plat & Prec. Met 127,061 614,951 73 3 50 24 65 41 13 401,321 6,396 4,518 110 50 9,363 8,524 150 35 BEE - Sasol Limited SOLBE1 Int. Oil & Gas 2,839 1,300.00 1,574.30 1,615.00 I 680 14/04 6,340 46,500 3 44,500 10 46,000 43 18 2,873,921 34 14,245 46,500 36,800 119 38,876 39,000 28,000 Beige Holdings Limited BEG Pers Products 1,631,821 0.23 6,148,657 5 16 3 30 3 60 17 220,193 14,768 583 5 3 39,753 2,049 7 3 Bell Equipment Ltd BEL Comm Veh & Tru 95,144 34.00 761,219 1,884 1 1,715 30 1,745 307 18 13,403,279 2,870 53,774 2,149 1,715 7,692 175,986 2,950 1,822 BettaBeta CIS BGreen BGREEN Exchange Traded Funds 7,433 28.58 0.00 29.24 I 6.33831 27/01 18,885 1,919 25 1,876 1 1,907 22 14 357,145 230 4,196 1,919 1,701 1,037 16,859 1,811 1,477 BettaBeta Eq Wted Top 40 BBET40 Exchange Traded Funds 3,000 59.70 18.64 114.27 0.00 100.62 1.74 I 18.63629 27/01 57,661 5,030 11 4,904 17 5,009 84 19 2,861,626 405 19,139 5,030 4,451 1,638 70,010 4,800 3,928 BHP Billiton plc BIL Gen Mining 2,136,185 702.28 827.94 955.60 I 538.084425 26/03 33,926,901 34,549 25 32,800 1 34,176 55,770 19 11,488,196,569 177,484 59,104,680 36,534 31,315 726,322 208,171,376 33,041 24,508 Bidvest Ltd BVT Div Indust 331,237 480.00 528.70 80.00 612.00 SC 14/04 321.3 19,834,016 29,206 30 27,739 7 28,850 59,224 19 5,649,760,652 77,953 20,737,774 29,206 23,603 231,572 56,328,770 27,263 21,000 Bioscience Brands Ltd BIO Food Prod 2,911,057 1 8,989 90 1 1 BK One Limited Pref BK1P Pref Shares 24,493 1,900 295 9 295 9 295 1 1 5,605 412 1,217 295 295 35 153 550 300 Blackstar Group SE BCK Equity inv Instr 82,089 80.53 21.25 395,407 1,350 16 1,201 10 1,275 65 12 4,982,937 4,890 59,557 1,350 1,150 18,863 212,225 1,200 1,082 Blue Financial Services BFS Cons Fin 8,229,773 13 42,104 6,923 23 11 Blue Label Telecoms Ltd BLU Mobile Telecom 674,509 14.00 19.55 21.25 16,000,071 919 30 810 3 912 2,617 19 136,370,947 35,992 310,793 940 810 210,535 1,738,275 968 706 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 BNP Paribas Arbitrage08 ZA008 Exchange Traded Notes 5 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 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. 26 27

2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS 2014 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR APRIL 2014 TRADING STATISTICS 2014 TO APRIL TRADING STATISTICS 2014 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 HARE ODE 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 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 60,000 494 1 5 902 902 BNP Paribas Arbitrage30 ZA030 Exchange Traded Notes 40,000 518 BNP Paribas Arbitrage31 ZA031 Exchange Traded Notes 50,000 490 BNP Paribas Arbitrage32 ZA032 Exchange Traded Notes 40,000 569 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 BNP Paribas Arbitrage65 ZA065 Exchange Traded Notes 3,000,000 7,828 109 15 109 15 112 3 2 8,533 25 27 112 108 BNP Paribas ASI ETN 4MAR2019 BNPASI Exchange Traded d Notes 5,000,000 413,800 103 8 103 8 103 4 1 426,214214 432 444 103 99 BNP Paribas EUR ETN 4MAR2019 BNPEUR Exchange Traded Notes 5,000,000 42,611 98 7 96 25 97 5 3 41,639 101 99 104 96 BNP Paribas USA ETN 4MAR2019 BNPUSA Exchange Traded Notes 5,000,000 81,045 98 25 93 15 96 8 4 76,205 189 184 103 93 BNP Paribas WOR ETN 4MAR2019 BNPWOR Exchange Traded Notes 5,000,000 45,592 101 7 95 15 98 6 3 45,423 109 109 102 95 Bonatla Property Hldgs BNT Real Estate Holding & Dev 508,102 Bowler Metcalf Ltd BCF Cont & Pack 88,428 35.60 35.94 28.53 I 15.64 14/04 458,749 800 17 759 24 785 149 17 3,544,792 1,698 12,899 810 740 13,129 104,205 850 738 Brait SE BAT Inv serv 513,633 17.50 22.64 5,541,202 5,749 30 5,170 2 5,667 10,179 19 302,045,706 24,758 1,234,755 5,749 4,480 126,921 4,997,069 5,755 3,165 BRAIT SE Pref BATP Pref Shares 20,000 115.29 751.40 116,520 11,225 30 10,570 1 11,225 117 18 12,835,562 761 80,424 11,225 10,175 2,389 253,475 11,425 9,800 Brian Porter Ld 5,5%Pref POTP Pref Shares 163 201 22 45 201 201 Brikor Ltd BIK Build Mat & Fix 645,242 9 4,251 389 15 5 Brimstone Inv Corp Ltd BRT Equity inv Instr 46,775 15.00 18.00 25.00 F 30 29/04 IS 29/04 10 965,471 1,400 30 1,300 11 1,400 135 13 13,057,312 2,270 30,141 1,400 1,299 8,597 111,967 1,500 1,100 Brimstone Inv Corp Ltd-N BRN Equity inv Instr 267,580 15.00 18.00 25.00 F 30 29/04 IS 29/04 10 1,238,964 1,400 15 1,320 24 1,345 260 15 16,702,967 4,957 65,721 1,400 850 14,094 183,871 1,420 1,110 British American Tob plc BTI Tobacco 2,026,456 1,354.96 1,386.83 1,625.44 14,457,087 62,080 29 57,555 8 60,568 33,992 19 8,709,966,088 64,783 36,998,890 62,080 52,329 235,788 119,807,195 57,200 42,773 BSI Steel Limited BSS Iron & Steel 719,855 2.00 1,942,859 61 3 56 25 58 152 19 1,149,807 16,502 11,911 84 55 31,399 18,789 90 41 Buildmax Ltd BDM Coal 181,301 12.02 722,551 270 25 235 9 265 68 16 1,776,528 3,415 8,607 280 218 15,637 38,607 310 151 Business Connexion Grp Ltd BCX Comp Serv 404,972 23.00 14.00 40.00 17.66 F 17 20/01 7,716,479 605 7 544 11 566 633 19 44,083,706 65,637 354,218 605 471 108,708 600,311 610 466 Cadiz Hldgs Ltd CDZ Inv serv 245,823 20.00 49.36 6.27 587,778 115 2 101 25 107 62 18 620,742 8,904 10,159 265 100 29,988 38,819 180 98 Cafca Limited CAC Electr Comp & eq 30,600 180 28 51 180 180 14 25 200 100 Calgro M3 Hldgs Ltd CGR Heavy Contr. 127,100 1,946,388 730 9 665 25 685 475 19 13,489,877 8,171 53,353 773 585 47,377 276,951 689 421 Camac Energy Inc. CME Int. Oil & Gas 1,088,396 114,215 910 15 666 30 701 77 17 912,243 742 6,889 1,085 666 Capevin Holdings Ltd CVH Dist & Vint 880,103 8.48 18.45 I 8.7125 14/04 19,403,251 755 24 665 16 740 1,686 19 143,366,804 43,318 331,673 900 665 315,331 2,050,131 835 600 Capital Property Fund CPL Industrial & Office REITs 1,606,986 63.14 67.55 72.08 IT 24/02 40.04 43,178,955 1,070 29 975 7 1,060 10,284 19 451,362,352 170,185 1,717,503 1,100 936 587,772 6,239,963 1,287 901 Capital&Counties Prop plc CCO Real Estate Holding & Dev 757,903 16.73 16.05 18.50 10,877,779 6,256 2 5,864 30 5,920 11,415 19 655,578,904 54,356 3,455,542 7,144 5,601 131,304 6,304,253 5,771 3,339 Capitec Bank Hldgs Ltd CPI Banks 115,298 330.00 443.65 516.80 F 391 22/04 5,175,538 22,800 25 19,450 1 22,748 7,993 19 1,093,674,993 13,118 2,612,997 22,800 17,555 46,551 9,150,474 22,250 17,700 Capitec Bank Hldgs Pref CPIP Pref Shares 2,869 684.04 653.77 602.06 F 301.4695 31/03 45,716 8,100 24 7,731 3 8,050 53 16 3,650,544 197 15,188 8,100 7,450 827 65,460 8,875 7,410 Cargo Carriers Ltd CRG Trucking 20,000 14.00 15.76 29.75 10,465 2,250 25 2,245 3 2,250 14 8 235,434 84 1,749 2,250 1,950 178 2,623 2,100 1,000 Cashbuild Ltd CSB Home Imp Ret 25,190 296.00 528.05 413.95 I 233.75 31/03 1,340,541 13,699 1 11,800 16 12,550 2,604 19 170,515,529 529 3,659 496,347 16,200 11,800 17,471 2,309,719 16,473 11,350 Caxton CTP Publish 6%Pf CATP Publishing 50 357.00 349.64 383.72 15,600 1 210 15,600 14,800 Caxton CTP Publish Print CAT Publishing 395,226 40.00 43.64 47.97 28,896,763 1,620 23 1,500 14 1,600 1,417 19 446,898,392 34,247 536,203 1,900 1,500 19,178 337,943 2,500 1,619 Central Rand Gold Ltd CRD Gold 75,181 15,532 375 1 260 22 280 15 10 50,796 195 577 425 141 27,650 4,309 650 4 Chemical Spec Ltd Pref CSPP Build Mat & Fix 389,006 132,905 35 14 33 25 33 5 4 45,953 10,547 3,701 44 33 0 0 44 44 Chemical Specialities Ld CSP Build Mat & Fix 1,073,862 2,659,885 32 29 29 30 30 110 18 791,977 12,559 3,936 38 29 88,260 33,929 56 27 Chrometco Ltd CMO Gen Mining 204,929 656,295 13 2 9 22 12 17 9 67,831 2,435 262 13 9 7,921 1,442 30 10 City Lodge Hotels Ltd CLH Hotels 43,151 228.00 248.05 298.35 I 171.7 17/03 754,607 12,988 14 10,733 1 12,336 1,519 19 90,690,812 3,167 389,688 13,960 10,733 12,084 1,441,155 14,301 10,085 Clicks Group Ltd CLS Drug Ret 246,138 112.70 44.10 88.00 132.94 F 101.575 27/01 15,858,183,, 6,708, 2 6,040, 16 6,415, 18,022, 19 1,000,044,800,,, 53,278, 3,, 164,669 6,708 5,312 268,646 15,634,160, 6,828 5,130 Clientele Ltd CLI Life Ins 329,149 53.50 57.16 62.90 10,245,947 1,500 25 1,395 15 1,440 522 18 144,857,943 11,703 166,209 1,690 1,330 8,266 103,472 1,490 805 Clover Industries Ltd CLR Food Prod 182,479 25.00 26.39 27.20 I 13.6 14/04 6,189,250 1,985 25 1,855 8 1,940 1,563 19 119,985,533 27,126 516,528 2,060 1,700 85,141 1,443,282 1,950 1,580 Coal of Africa Ltd CZA Coal 1,048,369 25,851,495 80 11 64 24 71 1,182 19 18,309,618 54,580 46,652 129 64 174,622 392,097 353 90 Comair Limited COM Airlines 440,263 12.92 I 4.25 17/03 3,209,551 500 30 386 1 495 538 19 13,295,914 29,237 104,043 500 316 98,346 290,563 355 155 Combined Motor Hldgs Ltd CMH Spec Retail 93,673 43.00 52.05 66.30 F 1086.47 04/02 CR 04/02 21.8 696,041 1,275 30 1,140 24 1,275 197 16 8,608,070 2,345 29,703 1,350 1,140 11,692 155,404 1,550 1,160 Command Holdings Limited CMA Buss Supp Serv 132,250 Compagnie Fin Richemont CFR Cloth & access 5,220,000 25.94 31.57 70.21 69,961,122 10,758 25 9,980 8 10,719 33,156 19 7,266,855,053 382,736 39,919,450 11,052 9,921 1,531,980 131,693,336 10,572 6,684 Compu Clearing Outs Ltd CCL Comp Serv 42,061 18.00 21.25 25.50 969,016 420 1 405 22 410 36 11 3,970,489 2,018 8,222 420 350 1,131 4,220 412 330 Conduit Capital Ltd CND Spec Finance 256,380 10.00 00 4,000,930 150 29 131 4 149 200 19 5,756,740 740 14,330 21,134 134 154 130 79,611 120,138 138 190 114 Cons Infrastructure Grp Ltd CIL Electr Comp & eq 134,132 894.20 612.00 3,538,994 2,900 25 2,475 1 2,865 2,049 19 97,258,054 44,247 989,558 2,900 2,155 27,547 542,857 2,400 1,600 Control Instruments Grp CNL Auto parts 139,437 1.28 10,807,490 150 2 131 7 140 18 8 15,124,980 11,775 16,402 150 125 89,111 111,432 199 75 Convergenet Holdings Ltd CVN Comp Serv 100,946 1.50 10.20 3,069,094 130 24 110 3 120 93 15 3,659,423 14,189 16,525 150 99 821,754 76,113 128 6 Coronation Fund Mngrs Ld CML Asset man 349,799 172.00 175.10 353.60 16,615,882 10,374 30 9,400 14 10,149 34,559 19 1,655,605,184 54,916 4,905,475 10,374 7,521 200,310 11,833,159 8,599 4,018 Corwil Investments Ltd CRW Equity inv Instr 3,900 Country Bird Hldgs Ltd CBH Farm & Fish 202,444 21.94 8.31 2,596,068 350 29 255 3 349 208 19 7,632,677 3,514 10,193 350 202 12,914 46,229 415 285 Crookes Brothers Ltd CKS Farm & Fish 12,547 110.00 50.00 255.85 136.46 I 68.08594 13/01 59,427 8,000 23 7,000 8 7,500 39 10 4,199,238 153 10,537 8,000 6,271 294 17,739 7,000 5,200 CSG Holdings Ltd CSG Bus Train & empl agen 387,955 3.60 751,390 270 1 235 8 253 117 16 1,939,220 5,491 14,168 320 174 11,211 12,409 180 44 Cullinan Hldgs 5,5%Pref CULP Pref Shares 500 11.00 10.18 9.35 F 4.675 24/02 207 4 7 207 207 Cullinan Holdings Ltd CUL Travel & Tour 800,173 1.00 0.85 F 1.7 20/01 81,278 330 8 230 22 240 24 10 231,886 1,759 4,576 341 214 1,105 1,899 250 100 Curro Holdings Limited COH Spec Cons Serv 294,794 1,498,522 2,800 3 2,550 30 2,585 1,487 19 39,921,755 9,793 274,663 3,095 2,400 22,173 424,381 2,955 1,379 Datacentrix Holdings Ltd DCT Comp Serv 205,266 22.58 26.16 20.69 2,152,879 444 23 385 2 420 470 18 8,959,322 15,739 66,900 485 385 56,075 217,976 509 300 Datatec Ltd DTC Comp Serv 197,168 144.00 145.00 163.00 7,318,059 5,490 25 4,660 2 5,289 7,206 19 365,753,485 28,581 1,395,166 5,500 4,270 57,069 3,026,371 6,138 4,555 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 2,007 10,146 23 9,747 8 9,961 24 13 198,944 11 1,032 10,146 9,273 73 5,809 9,435 7,447 DB MSCICH ETN 05JUL2021 DBCHIN Exchange Traded Notes 20,000 35,372 3,911 14 3,689 30 3,707 41 16 1,356,855 236 9,276 4,061 3,500 2,955 104,708 4,179 3,076 DB MSCIEM ETN 05JUL2021 DBEMER Exchange Traded Notes 20,000 229,830 4,333 3 4,216 30 4,232 36 15 9,881,354 313 13,357 4,333 4,029 586 23,094 4,255 3,520 Db x-trackers Col in USA DBXUS Exchange Traded Funds 87,000 4.76 0.15 7.11 0.04 10.56 0.57 F 6.41 24/01 IT 24/01 1.467 4,005,410 1,988 14 1,825 14 1,892 920 19 75,377,549 18,007 342,937 1,988 1,825 71,261 1,120,610 2,200 1,135 Db x-trackers Col in Wld DBXWD Exchange Traded Funds 111,000 9.41 0.34 13.08 0.44 16.80 0.17 F 8.326 24/01 IT 24/01 1.695 4,197,751 1,848 30 1,720 14 1,779 603 19 74,534,513 21,726 389,241 1,944 1,701 71,022 1,058,803 1,838 1,150 Db x-trackers DJ eu ST 50 DBXEU Exchange Traded Funds 31,000 55.85 56.10 4.63 59.51 4.75 F 12.509 24/01 IT 24/01 2.087 1,272,901 4,750 7 4,513 14 4,680 469 19 58,970,966 7,432 343,426 4,860 4,218 23,693 889,748 4,800 2,990 Db x-trackers FTSE 100 DBXUK Exchange Traded Funds 6,100 136.47 203.35 1.82 223.14 0.00 F 129.174 24/01 IT 24/01 2.116 133,477 12,488 30 11,450 8 12,018 141 19 15,724,386 994 118,623 12,544 11,450 1,540 152,417 11,707 8,060 Db x-trackers MSCI Japan DBXJP Exchange Traded Funds 45,000 2.99 0.91 5.75 0.0707 5.24 0.02 02 F 2.915 24/01 IT 24/01 0.002 002 2,308,276 276 779 2 700 22 738 161 18 17,037,328 328 7,866 61,367 888 700 40,800 282,117 825 510 Delrand Resources Ltd DRN Diamonds & Gems 53,735 480 51 25 51 25 51 1 1 245 42 32 180 32 133 106 240 21 Delta EMD Ltd DTA Spec. Chemicals 49,166 25.00 21.25 360,322 495 8 450 24 460 69 15 1,688,833 1,724 8,150 600 375 5,353 30,145 801 475 Delta Property Fund Ltd DLT Industrial & Office REITs 444,133 56.20 5,923,807 859 30 805 15 850 743 19 48,883,554 38,838 318,867 880 770 94,452 819,937 1,000 760 Diamondcorp plc DMC Diamonds & Gems 318,365 284,871 114 2 87 3 104 43 12 283,953 841 858 125 87 4,230 4,396 350 60 Digicore Holdings Limited DGC Electro Equipm 247,669 6.00 3.00 8,191,083 230 30 213 8 230 219 18 18,165,207 21,488 44,434 235 161 83,900 154,901 316 122 Dipula Income Fund A DIA Diversified REITs 153,966 2.77 79.37 41.67 110,603 1,100 29 1,050 15 1,100 35 8 1,195,951 4,338 42,268 1,100 960 13,412 145,661 1,250 890 Dipula Income Fund B DIB Diversified REITs 156,046 2.06 60.82 29.80 579,589 800 30 700 15 776 143 12 4,527,792 5,311 38,175 800 640 20,399 181,392 1,100 670 Discovery Ltd DSY Life Ins 591,872 90.00 95.48 105.83 I 62.05 24/03 25,511,694 9,185 30 8,320 1 9,120 33,009 19 2,250,767,615 112,924 9,027,938 9,185 7,056 351,766 28,313,978 10,000 6,036 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

2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS 2014 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR APRIL 2014 TRADING STATISTICS 2014 TO APRIL TRADING STATISTICS 2014 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 HARE ODE Discovery Ltd B pref DSBP Pref Shares 8,000 641.76 724.83 I 364.21918 17/03 37,056 11,600 17 10,811 1 11,201 47 13 4,123,256 386 42,524 11,700 10,800 1,222 133,856 12,000 10,500 Distell Group Ltd DST Dist & Vint 221,435 256.00 272.20 284.75 I 130.9 17/03 1,205,924 12,846 1 12,003 16 12,500 1,938 19 150,686,995 18,012 2,376,047 16,600 12,000 7,068 877,844 15,100 10,150 Distr and Warehousing DAW Build Mat & Fix 241,843 14.03 1,313,849 1,021 30 940 14 1,021 218 18 12,524,518 6,466 60,229 1,021 870 22,479 190,315 1,027 600 Don Group Ltd DON Hotels 294,485 CR 03/02 16 6 57,328 8,747 28 5 78,754 15,341 22 16 Dorbyl Ltd DLV Auto parts 34,070 65.00 85.00 70 Dorbyl Ltd 5%Pref DLVP Pref Shares 740 10.00 4.25 100.00 101 Dorbyl Ltd 5,5%Pref DLP1 Pref Shares 1,250 11.00 4.68 110.00 111 DRD Gold Ltd DRD Gold 385,384 7.50 8.50 23.80 11,228,868 404 1 328 22 335 2,814 19 39,379,867 54,706 222,749 480 328 213,380 1,234,581 755 310 Eastern Platinum Ltd EPS Plat & Prec. Met 928,188 1,267,983 80 2 63 30 63 133 18 907,945 6,780 5,601 101 63 31,547 35,981 299 54 Efficient Group Ltd EFG Asset man 90,593 5.45 111,233 355 17 220 10 320 13 4 353,236 273 849 402 220 11,420 16,512 305 80 ELB Group Ltd ELR Ind Supp 35,825 55.00 62.20 73.18 I 23.8 14/04 1,036,215 5,000 25 4,000 9 4,900 172 16 43,691,528 1,885 78,839 5,000 3,550 6,768 230,518 4,551 2,800 Ellies Holdings Ltd ELI Electr Comp & eq 303,506 8.50 7,386,240 440 3 400 16 415 2,615 19 31,038,517 60,185 297,397 650 387 218,623 1,726,624 1,000 539 Emira Property Fund EMI Diversified REITs 483,881 113.52 110.68 114.59 22,559,884, 1,465 14 1,339, 3 1,445, 5,069, 19 317,468,072,, 87,805, 1,182,493,, 1,, 498 1,240 200,104 2,896,684, 1,629 1,311 EOH Holdings Ltd EOH Comp Serv 113,397 48.00 59.50 80.75 2,977,273 8,560 2 7,725 8 8,400 6,698 19 244,749,867 12,770 1,066,381 9,002 7,377 40,868 2,539,467 9,000 3,699 Eqstra Holdings Ltd EQS Div Indust 411,368 25.00 23.97 30.60 3,868,578 730 30 651 17 730 1,140 19 27,091,286 29,434 210,828 837 650 146,164 1,001,334 900 546 erafi Overall SA Index RAFISA Exchange Traded Funds 2,957 0.00 0.00 95.07 0.87 F 10.99861 21/01 F 0.82744 21/01 IT 21/01 0.16892 32,215 4,910 23 4,772 17 4,882 56 18 1,561,244 150 6,868 4,910 4,317 638 26,070 4,532 3,000 I 13.57628 24/04 I 30.0364 24/04 IT 24/04 0.1046 erafi SA Financial 15 RAFFIN Exchange Traded Funds 322 38.00 118.80 3.05 96.90 2.25 F 3.0683 21/01 F 20.35128 21/01 IT 21/01 0.31896 12,446 4,374 29 4,180 17 4,360 29 15 534,843 62 2,452 4,374 3,596 471 16,830 4,006 3,283 I 34.53616 24/04 IT 24/04 0.09713 erafi SA Industrial 25 RAFIND Exchange Traded Funds 251 39.00 1.00 112.11 2.33 87.89 1.24 F 0.98014 21/01 F 7.02744 21/01 IT 21/01 0.49114 4,033 5,576 3 5,371 25 5,395 24 14 219,850 44 2,371 5,576 4,916 147 6,560 5,292 4,191 I 53.31231 24/04 I 10.53278 24/04 IT 24/04 0.17434 erafi SA Resource 20 RAFRES Exchange Traded d Funds 266 22.00 140.97 3.98 68.72 1.40 F 1.72726 21/01 I 5.7139 24/04 IT 21/01 0.0217402174 3,631 3,794 23 3,728 2 3,798 25 13 136,348348 55 2,001 3,794 3,269 186 5,715 3,500 2,700 I 13.88518 24/04 IT 24/04 0.04408 Erbacon Inv Hldgs Ltd ERB Heavy Contr. 732,090 10 2,684 462 40 10 Esor Limited ESR Heavy Contr. 395,185 32.30 13,031,496 50 24 36 1 47 444 19 5,951,936 76,643 39,341 76 34 175,576 233,552 203 75 Evraz Highveld Steel & Van EHS Iron & Steel 99,150 201,583 1,000 22 670 10 914 123 11 1,737,910 704 8,535 1,700 670 4,028 66,572 2,450 1,105 Exxaro Resources Ltd EXX Coal 358,116 600.00 850.00 385.00 F 275.92784 14/04 10,889,443 15,090 4 13,900 1 14,338 33,202 19 1,558,001,362 45,174 6,599,495 15,986 13,535 220,408 34,374,879 18,249 13,480 Fairvest Property Hldgs FVT Retail REITs 527,636 10.90 15.21 6.86 4,785,819 145 17 125 29 130 86 12 6,227,852 30,673 39,479 150 120 45,074 60,982 200 110 Famous Brands Ltd FBR Rest & Bars 99,242 165.00 193.97 231.20 1,678,327 10,800 10 10,005 1 10,550 3,852 19 176,827,035 8,959 907,473 11,144 9,001 36,330 3,327,101 10,399 6,950 Faritec Holdings Ltd FRT Comp Serv 1,891,545 Ferrum Crescent Limited FCR Iron & Steel 380,603 179,833 49 30 32 23 49 8 5 57,789 352 142 75 25 1,125 258 120 15 Finbond Group Ltd FGL Banks 605,025 F 2.1 29/04 4,076,731 335 1 261 15 300 885 19 12,313,823 19,202 59,040 360 261 125,353 190,180 375 18 Firestone Energy Limited FSE Coal 3,549,699 16,020,843 9 1 7 30 8 177 19 1,186,660 60,288 5,013 12 7 128,651 11,513 16 5 Firestone Energy Ltd Opt FSEO1 Coal 42,383 20,859 5 4 5 4 5 3 2 1,043 444 20 5 3 630 32 7 1 Firstrand Ltd FSR Banks 5,637,942 81.00 70.00 94.37 116.94 I 65.45 31/03 266,075,635 3,922 25 3,576 1 3,866 86,156 19 10,031,853,623 1,078,733 37,038,730 3,922 2,995 3,110,975 96,825,772 3,649 2,598 Firstrand Ltd B Pref FSRP Pref Shares 45,000 618.71 638.25 629.12 I 306.83472 24/02 500,634 9,400 11 8,845 1 9,245 377 19 45,836,135 2,173 198,115 9,720 8,500 9,330 857,594 9,950 8,402 Foneworx Holdings Ltd FWX Telecom equip 136,002 4.30 1.20 5.95 10.20 357,538 240 1 230 29 232 56 17 834,317 2,517 5,727 250 195 20,810 45,447 260 121 Forbes & Manhatt Coal Corp FMC Coal 39,489 600 335 22 335 22 335 1 1 2,010 13 39 350 119 1,416 4,878 650 301 Fortress Inc Fund Ltd A FFA Diversified REITs 380,434 101.60 106.68 112.02 9,824,842 1,485 30 1,400 2 1,450 1,060 19 139,708,358 77,073 1,102,76 9 1,561 1,351 113,870 1,679,275 1,699 1,375 Fortress Inc Fund Ltd B FFB Diversified REITs 380,434 12.67 19.26 28.68 3,207,481 950 7 900 2 916 358 19 29,512,566 6,814 64,555 1,140 890 14,045 120,021 975 700 Foschini Ltd 6,5%Pref TFGP Pref Shares 200 13.00 12.03 11.05 F 5.525 24/03 160 16 25 160 160 Fountainhead Prop Trust FPT Retail REITs 1,162,710 55.27 55.83 50.00 16,277,473 802 25 731 7 795 5,474 19 125,640,115 123,722 914,351 802 695 556,950 4,590,663 1,025 656 Gijima Group Limited GIJ Comp Serv 198,418 784,527 69 25 53 22 64 115 18 494,371 5,104 3,569 89 50 183,851 21,529 120 4 Giyani Gold Corporation GIY Gold 54,729 Glencore Xstrata plc GLN Gen Mining 13,278,405 94,319,764 5,689 24 5,420 10 5,675 12,825 19 5,224,992,620 243,911 13,901,777 6,440 5,275 163,268 8,645,420 5,549 4,967 Global Asset Mngment Ltd GAM Spec Finance 45,655 205 100 222 245 191 187 410 240 120 GoGlobal Properties Ltd GGP Real Estate Holding & Dev 15,986 Gold Commodity-Linker ETN SBAG1 Exchange Traded d Notes 1,000 109 15,489 14 15,128 128 23 15,123 123 11 7 16,668 668 4 657 16,495 14,426 426 19 2,857 17,680 13,300 300 Gold Fields Ltd GFI Gold 774,509 170.00 388.84 63.75 F 18.7 10/03 40,079,343 4,476 29 3,913 1 4,411 45,193 19 1,691,861,088 183,293 7,502,241 4,614 3,206 879,873 54,441,781 11,029 3,115 Goliath Gold Mining Ltd GGM Gen Mining 147,355 136,300 214 2 101 23 209 18 7 268,540 1,107 2,335 250 101 6,311 16,130 350 105 Gooderson Leisure Corp GDN Hotels 125,000 1.60 1.50 229,218 78 1 60 16 73 14 7 156,529 3,064 1,778 78 52 1,375 849 77 51 Grand Parade Inv Ltd GPL Spec Finance 469,589 10.00 12.50 67.50 15.00 10,543,026 550 1 525 14 540 1,420 19 56,671,419 61,673 305,740 555 455 147,183 565,007 480 315 Great Basin Gold Ltd GBG Gold 552,436 70 GRINDROD DIVTRAX DIVTRX Exchange Traded Funds 10,000 44,240 2,460 30 2,179 16 2,242 37 10 981,657 44 982 2,460 2,179 GRINDROD LOWVOLTRAX LVLTRX Exchange Traded Funds 10,000 30,794 2,469 30 2,254 30 2,459 26 9 743,562 31 744 2,469 2,254 Grindrod Ltd GND Marine Tranp 600,765 44.50 26.88 30.31 F 14.535 24/03 26,553,327, 2,661 1 2,471 30 2,490 11,637 19 673,045,951, 92,451 2,433,080, 2,8 40 2,300 191,329 4,042,148, 2,875 1,580 Grindrod Ltd Pref GNDP Pref Shares 7,400 743.00 698.75 637.50 F 320.45 24/03 121,940 9,250 22 8,561 1 9,165 167 19 10,991,615 609 53,614 9,350 8,400 1,838 165,288 9,400 8,501 Grindrod PrefTrax PREFTX Exchange Traded Funds 22,600 33.28 1.83 58.32 8.05 I 4.72898 17/01 I 0.5245 17/01 IT 17/01 0.10303 289,566 1,040 30 995 2 1,037 59 18 2,950,663 4,290 43,057 1,050 985 5,695 58,215 1,092 970 I 0.23088 17/01 F 7.05837 16/04 F 3.06732 16/04 Grindrod PropTrax SAPY PTXSPY Exchange Traded Funds 2,152 207.75 30.62 124.14 118.27 269.35 I 0.00992 17/01 IT 17/01 57.79832 50,867 5,149 30 4,847 9 5,107 67 19 2,573,704 302 14,644 5,149 4,590 1,382 70,930 5,870 4,600 IT 16/04 14.53027 Grindrod PropTrax Ten PTXTEN Exchange Traded Funds 8,763 36.90 0.32 40.82 41.51 88.26 IT 17/01 13.82882 249,529 1,500 25 1,428 4 1,490 109 19 3,645,999 1,867 26,331 1,500 1,334 10,305 151,588 1,750 1,330 IT 16/04 5.39241 Group Five Ltd GRF Heavy Contr. 111,856 20.00 00 52.00 36.00 67.00 I 38.59142 14/04 3,438,406 406 4,495495 4 4,021 14 4,328 2,024 19 149,035,436 436 14,453453 609,00 53 4,799 3,782 53,694 2,060,544 4,607 2,700 Growthpoint Prop Ltd GRT Diversified REITs 2,242,615 0.13 197.97 0.13 206.66 0.13 148.85 148,755,422 2,507 11 2,392 4 2,430 40,328 19 3,640,560,700 424,236 9,994,604 2,507 2,143 1,247,620 31,817,123 3,094 2,251 Harmony GM Co Ltd HAR Gold 435,711 60.00 87.76 42.50 15,723,064 3,515 10 3,160 1 3,478 26,057 19 522,586,310 79,672 2,629,924 4,098 2,630 416,822 18,094,508 7,598 2,378 Holdsport Limited HSP Appar Retail 43,150 47.00 157.25 174.25 2,129,983 4,080 1 3,790 15 3,911 943 18 81,878,666 6,816 278,643 4,700 3,681 17,053 767,901 5,398 4,110 Hosken Cons Inv Ltd HCI Equity inv Instr 119,869 80.00 94.00 114.00 823,759 15,498 10 14,050 3 15,000 2,151 19 121,615,100 5,238 730,966 15,498 12,506 27,804 3,297,353 15,543 9,600 Hospitality Prop Fund A HPA Specialty REITs 137,584 122.12 113.08 134.63 2,031,098 1,843 17 1,585 7 1,665 364 19 34,761,126 14,462 234,775 1,843 1,545 35,595 597,963 1,908 1,450 Hospitality Prop Fund B HPB Specialty REITs 137,584 58.90 7.91 18.08 11,133,890 540 2 390 4 519 298 19 55,979,645 28,166 143,679 560 390 52,895 273,775 650 365 Howden Africa Hldgs Ltd HWN Industr mach 65,729 35.00 45.90 124.10 51.00 800,275 4,803 30 4,500 22 4,800 396 19 36,887,700 2,665 122,357 5,200 3,950 11,294 385,318 4,700 2,436 Hudaco Industries Ltd HDC Industr mach 34,154 365.00 465.00 465.00 I 310 10/03 1,120,488 10,778 2 10,100 7 10,489 1,307 19 117,757,257 3,911 416,479 11,799 9,900 15,304 1,455,233 12,395 8,232 Huge Group Ltd HUG Telecom equip 100,512 1,244,801 175 30 125 1 175 239 18 1,842,203 15,745 9,939 175 31 17,554 9,426 85 35 Hulamin Ltd HLM Aluminium 319,597 4,518,194 750 30 663 29 730 680 19 31,389,339 27,080 174,569 750 495 71,863 333,164 648 300 Hwange Colliery Ltd HWA Coal 101,334 8,210 99 30 27 3 99 5 2 7,617 20 11 99 14 498 588 220 96 Hyprop Inv Ltd HYP Retail REITs 243,256 429.00 335.00 424.00 8,500,104 8,000 30 7,521 7 7,863 11,072 19 650,781,309 39,397 2,957,592 8,000 6,977 109,482 8,081,967 8,400 6,652 IB GOLDEN ETN OCT17 GOLDEN Exchange Traded Notes 2,778 1,830 13,600 3 12,200 29 12,485 18 10 229,136 15 1,945 20,025 12,011 128 18,710 17,800 10,000 IB SWX40 TRI ETN OCT17 SWXTRI Exchange Traded Notes 5,000 28 13,908 2 13,838 3 13,837 4 3 3,890 11 1,371 13,908 12,560 13 1,368 12,812 10,329 IB TOP40 TRI ETN OCT17 TOPTRI Exchange Traded Notes 12,750 1,463 5,642 25 5,549 3 5,611 9 5 81,798 6 326 5,642 5,028 543 23,891 5,187 4,166 IL REDEEMABLEPREF1 MAR17 ILRP1 Pref Shares 408 133.00 F 1019.68076 27/01 I 1037.28394 29/04 7,100 101,478 15 100,185 17 100,451 54 17 7,186,204 32 32,307 101,478 100,185 12 12,440 101,149 100,041 Iliad Africa Ltd ILA Ind Supp 138,218 20.00 20.00 20.00 2,052,535, 750 3 640 30 641 291 19 14,655,682, 10,303 67,059 750 540 44,038 218,990 679 355 Illovo Sugar Ltd ILV Food Prod 460,623 56.00 66.00 95.00 CR 13/01 37 4,532,794 2,945 10 2,656 4 2,900 4,902 19 127,693,011 21,419 580,457 2,945 2,500 94,846 2,999,165 3,952 2,611 Imbalie Beauty Limited ILE Pers Products 345,548 581,749 18 22 15 25 15 15 5 94,029 2,438 514 27 15 17,796 3,771 30 13 Impala Platinum Hldgs Ltd Cnv IMPCB Plat & Prec. Met 267 25,000.00 IT 21/02 25000 565 918,000 25 900,000 24 918,000 3 3 5,170,500 9 89,617 950,500 900,000 21 196,626 1,000,000 890,000 Impala Platinum Hlgs Ltd IMP Plat & Prec. Met 632,214 570.00 186.00 80.75 29,679,508 12,433 2 11,607 15 11,840 53,826 19 3,568,507,268 143,669 17,060,042 13,095 10,650 656,719 80,576,824 17,600 8,325 Imperial Holdings Ltd IPL Transp serv 206,984 480.00 623.26 698.53 I 340.93025 31/03 21,251,128 19,916 25 17,960 2 19,594 53,005 19 4,003,643,435 106,310 18,860,708 20,578 15,581 232,618 47,931,389 23,342 18,335 Imperial Holdings Pref IPLP Pref Shares 4,540 697.81 655.11 598.37 I 298.84778 31/03 147,078 8,000 24 7,700 1 7,990 137 16 11,749,937 446 35,351 8,000 7,201 1,367 115,456 9,200 7,900 Indequity Group Ltd IDQ Prop & Casual Ins 12,515 F 14.875 06/01 20,000 480 15 460 14 475 3 3 94,900 96 437 500 450 822 3,853 510 375 Infrasors Holdings Ltd IRA Gen Mining 185,521 273,730 122 30 105 23 122 46 8 326,526 37,987 38,044 122 92 121,535 48,823 100 38 Ingenuity Property Inv ING Real Estate Holding & Dev 1,200,358 0.85 1.28 433,764 91 1 83 17 90 21 12 378,692 8,497 7,130 95 80 13,297 11,210 115 61 Insimbi Ref & Alloy Sup ISB Nom-ferr Metals 260,000 2.00 2.55 0.85 1,828,819 68 22 56 9 64 54 15 1,110,445 6,164 3,587 68 50 9,037 5,111 63 30 Interwaste Hldgs Ltd IWE Waste & disp Serv 395,978 4,018,654 147 30 128 1 147 404 18 5,639,888 15,883 19,280 147 107 18,924 18,246 120 70 Intu Properties plc ITU Retail REITs 1,252,087 150.06 112.30 55.08 174.94 38,670,485 5,299 29 4,853 11 5,180 22,879 19 1,953,249,156 113,859 6,218,415 6,152 4,807 247,317 12,319,315 5,617 4,420 Investec Australia Prop Fd IAP Real Estate Holding & Dev 134,685 637,538 1,185 1 1,120 25 1,159 157 17 7,371,005 6,776 77,907 1,234 1,101 33,986 374,021 1,150 1,000 Investec Bank Ltd Pref INLP Pref Shares 15,448 680.03 706.10 619.17 231,823 9,800 11 8,890 1 9,501 174 18 21,978,932 1,068 98,894 9,800 8,800 3,078 275,438 9,650 8,700 Investec Ltd INL Inv serv 282,935 205.00 217.10 233.75 12,204,383 9,323 30 8,391 1 9,241 26,598 19 1,079,008,176 55,117 4,381,845 9,323 6,765 231,608 15,422,472 7,700 5,870 Investec Ltd Pref INPR Pref Shares 32,214 634.70 607.53 604.88 301,304 9,100 22 8,411 1 9,050 223 19 26,524,409 1,607 139,539 9,100 8,300 6,604 551,206 9,000 8,000 Investec plc INP Inv serv 608,898 205.00 214.15 233.75 22,224,019 9,321 30 8,500 1 9,226 27,992 19 1,963,183,621 109,683 8,714,234 9,321 6,855 317,150 21,220,612 7,560 5,875 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

2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS 2014 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR APRIL 2014 TRADING STATISTICS 2014 TO APRIL TRADING STATISTICS 2014 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 HARE ODE Investec plc Pref INPP Pref Shares 15,081 181.00 174.61 196.40 140,364 8,800 25 8,200 22 8,800 29 9 11,638,938 379 32,828 9,100 8,200 2,108 128,717 8,300 4,610 Investec plc Pref (Rand) INPPR Pref Shares 2,276 220.19 720.67 686.38 14,715 9,302 30 9,195 3 9,302 14 6 1,359,642 29 2,699 9,302 9,195 359 35,327 10,050 9,100 Investec Property Fund Ltd IPF Diversified REITs 358,232 0.03 43.71 0.06 96.05 0.03 53.13 2,532,954 1,492 10 1,385 7 1,480 470 19 36,552,837 24,566 339,160 1,492 1,250 46,004 718,210 1,869 1,270 Invicta Hldgs Ltd pref IVTP Pref Shares 7,500 802.86 52,394 10,901 29 10,400 1 10,900 53 15 5,595,165 162 16,990 10,901 10,000 1,477 150,205 10,925 9,738 Invicta Holdings Ltd IVT Industr mach 75,551 203.00 266.00 281.00 1,071,802 12,826 14 11,480 2 11,991 1,457 19 125,200,667 3,910 464,547 12,982 11,480 11,208 1,103,884 12,945 8,000 IPSA Group plc IPS Conv Electricity 107,504 112,872 79 7 57 3 68 25 10 79,532 345 213 79 42 1,223 624 91 31 ISA Holdings Limited ISA Comp Serv 170,593 6.20 1.00 5.95 4.42 602,342 75 30 70 25 75 60 16 433,041 3,358 2,405 77 65 19,250 11,702 78 40 Italtile Ltd ITE Home Imp Ret 1,033,333 12.00 13.12 13.87 42.50 I 7.6647 10/03 1,373,742 820 16 760 8 800 140 13 10,628,584 4,499 34,679 820 750 45,981 285,716 1,000 550 Jasco Electron Hldgs Ltd JSC Electr Comp & eq 218,399 5.50 2.55 1,152,626 90 16 85 30 85 110 18 1,017,814 7,420 6,228 97 71 23,464 26,071 171 58 JD Group Ltd JDG Home Imp Ret 229,338 200.00 197.20 197.20 6,439,015 2,948 3 2,219 14 2,750 3,445 19 173,480,916 48,121 1,274,112 3,062 1,900 144,867 5,025,675 4,700 2,575 JD Group Ltd Conv JDGCB Home Imp Ret 100 37,500.00 75,000.00 2,760 1,010,000 22 1,000,000 17 1,010,000 6 5 27,850,000 20 176,150 1,010,000 820,000 6 63,038 1,060,000 900,000 John Daniel Holdings Ltd JDH Spec Finance 444,132 924,203 13 29 10 2 13 40 15 114,599 5,610 660 13 9 17,338 2,365 21 7 JSE Ltd JSE Inv serv 86,878 210.00 210.00 250.00 212.50 2,646,576, 9,700 30 9,060 14 9,650 4,694 19 245,597,656, 11,624 1,010,358, 9,700 8,005 55,424 4,294,200, 9,070 6,728 Jubilee Platinum plc JBL Plat & Prec. Met 524,315 8,544,371 35 25 30 1 34 354 19 2,772,139 49,029 20,506 68 30 59,658 71,941 187 53 KAP Industrial Hldgs Ltd KAP Div Indust 2,346,188 10.00 5.10 6.80 15,393,224 415 30 362 16 410 564 19 57,129,331 83,333 311,685 415 340 465,239 1,395,103 420 281 Kaydav Group Ltd KDV Build Mat & Fix 172,752 5.50 6.00 7.00 262,007 215 4 180 23 190 20 5 492,448 703 1,093 215 118 4,212 4,917 150 102 Keaton Energy Hldgs Ltd KEH Coal 224,311 1,127,233 265 9 220 24 248 329 19 2,764,340 5,263 14,627 330 220 15,271 31,338 340 100 Kelly Group Ltd KEL Bus Train & empl agen 100,000 1,437,716 245 8 192 2 230 99 14 3,296,352 32,190 79,203 245 151 7,111 12,629 210 155 Kibo Mining plc KBO Gen Mining 171,155 85 135 115 85 85 420 182 180 10 Kruger Rand KR Kruger Rands 212 1,490,000 14 1,430,000 29 1,430,000 26 8 3,085,340 1 17,420 1,550,000 1,340,000 3 42,651 1,600,000 1,225,301 Kruger Rand Half KRHT Kruger Rands 1 680,000 9 680,000 9 680,000 1 1 6,800 0 27 680,000 680,000 0 69 720,000 600,001 Kruger Rand Quarter KRQT Kruger Rands 375,000 0 11 375,000 350,000000 0 69 375,600 325,000 Kruger Rand Tenth KRTT Kruger Rands 160,000 0 66 160,000 140,000 Kumba Iron Ore Ltd KIO Iron & Steel 322,086 4,270.00 3,889.46 2,771.14 F 1694.9 17/03 12,618,315 40,295 10 37,000 30 37,414 68,532 19 4,853,920,076 54,221 21,823,634 46,900 34,804 131,515 61,611,725 61,955 38,351 Labat Africa Ltd LAB Electro Equipm 202,212 1,943,918 22 10 15 30 15 76 14 334,048 10,850 1,611 24 8 4,815 804 250 5 Lewis Group Ltd LEW Home Imp Ret 98,058 363.00 404.25 436.90 I 182.75 27/01 8,134,888 6,600 25 5,800 1 6,240 11,893 19 493,009,944 30,390 1,874,927 7,250 5,450 100,817 6,382,362 7,498 5,035 Liberty Hldgs 11c Pref LBHP Pref Shares 15,000 11.00 15.68 9.35 225,990 130 9 114 1 130 4 2 266,061 569 670 135 114 1,042 1,373 150 115 Liberty Holdings Ltd LBH Life Ins 286,202 291.00 182.00 432.85 465.80 110.50 F 313.65 31/03 4,934,011 13,227 10 12,292 3 12,603 14,009 19 630,806,770 26,773 3,271,469 13,227 11,060 96,775 11,531,257 13,965 10,843 Life Healthc Grp Hldgs Ltd LHC Healthc Prov 1,042,210 29.00 56.00 90.73 107.54 IS 17/03 85 62,167,912 4,207 30 3,836 2 4,177 43,534 19 2,508,622,109 271,810 10,392,854 4,391 3,466 761,020 27,568,418 4,300 3,109 Litha Healthcare Grp Ltd LHG Pharmac 559,635 2,093,611 210 25 185 3 200 328 18 4,187,253 23,268 55,252 274 162 185,115 522,245 395 230 London Fin Inv Group plc LNF Asset man 30,000 7.12 8.36 10.01 I 6.88252 11/04 1,200 400 3 400 3 400 1 1 4,800 4 15 500 400 1,551 5,652 564 300 Lonmin plc LON Plat & Prec. Met 568,554 99.43 121.99 12,296,853 5,285 2 4,862 11 5,037 16,301 19 623,870,991 54,256 2,929,954 6,120 4,862 352,811 16,644,446 5,909 3,513 MacquarieSA EL Pref EXX1 MAQP1 Pref Shares 13 68,370.27 F 40458.836 30/04 1 1,000,000 30 1,000,000 30 1,000,000 1 1 10,000 0 41 1,039,516 1,000,000 0 132 1,047,647 1,000,000 Marshall Monteagle plc MMP Ind Supp 35,858 20.45 23.60 27.21 F 16.652214 14/02 1,894 907 8 806 1 907 6 4 16,041 771 6,464 907 758 3,196 23,487 850 620 MAS Real Estate Inc. MSP Real Estate Holding & Dev 278,146 20.92 38.63 13.92 35.16 1,280,975 1,965 3 1,881 22 1,901 410 18 24,452,696 3,757 72,647 2,150 1,800 3,054 42,894 2,150 1,175 Masonite Africa Ltd MAS Build Mat & Fix 7,136 2,298 3,300 30 3,300 30 3,300 5 4 75,834 30 978 3,500 2,690 90 2,767 3,600 2,775 Massmart Holdings Ltd MSM Broad Retail 217,114 386.00 376.10 357.85 F 233.75 24/03 5,520,644 13,999 1 12,501 15 13,925 18,937 19 737,571,861 29,778 3,745,131 13,999 11,000 98,021 17,008,739 20,800 12,710 Master Drilling Grp Ltd MDI Industr mach 148,265 2,865,305 1,225 3 1,170 9 1,185 117 17 34,327,404 10,689 113,853 1,225 951 20,068 176,890 1,100 775 Mazor Group Ltd MZR Build Mat & Fix 121,502 2.80 1.38 4.08 422,944 230 30 220 30 230 41 14 969,140 8,356 18,123 245 205 5,751 10,626 240 152 Mediclinic Internat Ltd MDC Healthc Prov 826,957 73.00 68.26 75.23 19,335,995 7,745 4 7,071 11 7,350 31,889 19 1,415,539,876 86,739 6,188,669 7,745 6,651 339,267 23,154,937 7,839 5,382 Merafe Resources Ltd MRF Gen Mining 2,495,255 2.00 38,044,336 122 3 105 17 111 1,804 19 43,734,135 188,378 192,328 122 81 630,295 463,614 92 56 Metair Investments Ltd MTA Auto parts 198,986 65.00 72.00 80.75 10,350,471 4,303 1 4,041 7 4,248 4,882 19 436,253,707 23,384 997,903 4,699 3,801 38,376 1,373,760 4,199 3,126 Metmar Ltd MML Nom-ferr Metals 267,307 11.00 16.50 1,106,724 145 30 115 8 132 84 17 1,428,987 14,438 23,573 195 115 42,068 63,272 230 115 Metrofile Holdings Ltd MFL Buss Supp Serv 423,240 4.50 6.83 9.35 I 5.95 14/04 1,882,525 516 17 470 9 510 707 19 9,280,547 17,402 85,925 545 450 56,168 255,039 600 371 Micromega Holdings Ltd MMG Buss Supp Serv 115,633 112,805 1,135 1 825 23 900 67 17 1,085,613 834 8,185 1,180 725 6,564 25,372 2,000 131 Mine Restoration Inv Ltd MRI Industr mach 498,286 5,525,693 11 29 9 23 10 49 14 547,475 19,950 2,080 14 8 124,002 17,591 25 8 Miranda Mineral Hldgs Ld MMH Gen Mining 711,154 17,551,047 12 29 10 30 10 109 17 1,811,867 50,294 6,154 17 10 197,715 30,188 26 9 Mix Telematics Ltd MIX Buss Supp Serv 784,150 6.00 10.20 5.10 2,631,089 495 2 400 11 470 276 19 11,823,340 340 22,894 115,454 600 400 68,192 360,061 061 700 285 MMI Holdings Limited MMI Life Ins 1,569,804 105.00 21.00 1,796.98 55.52 108.59 I 48.45214 31/03 65,619,488 2,699 30 2,402 2 2,640 27,264 19 1,668,973,569 268,662 6,527,899 2,699 2,228 696,202 16,260,185 2,700 1,951 Mondi Ltd MND Paper 118,313 240.12 231.05 298.52 8,606,228 19,177 7 17,100 15 17,500 37,723 19 1,543,537,047 30,591 5,570,538 19,998 15,917 104,474 14,455,232 18,300 9,151 Mondi plc MNP Paper 367,241 240.12 231.05 298.52 16,233,052 19,135 3 17,036 17 17,500 40,454 19 2,889,844,168 60,350 11,018,197 20,159 16,202 175,919 23,706,438 18,318 9,305 Money Web Holdings Ltd MNY Publishing 107,772 1,859,143 40 1 32 25 32 46 8 636,276 3,524 1,387 70 32 1,934 1,034 75 33 Morvest Business Grp Ltd MOR Buss Supp Serv 880,000 1.00 0.91 1.00 16,597,596 39 25 22 7 32 490 19 5,003,160 75,832 18,026 39 19 123,612 22,936 24 14 Mpact Limited MPT Cont & Pack 163,576 57.00 61.20 6,848,403 2,800 30 2,552 8 2,780 3,763 19 181,025,982 22,671 599,352 2,800 2,352 96,225 2,343,109 2,819 1,800 Mr Price Group Ltd MPC Appar Retail 251,184 268.90 300.39 368.05 11,051,570 16,198 29 15,160 7 15,830 30,304 19 1,721,219,497 62,667 9,341,926 16,585 13,176 264,625 34,694,279 16,422 11,103 MTN Group Ltd MTN Mobile Telecom 1,872,214, 622.00 752.61 742.05 F 565.25 31/03 91,261,069, 22,049 14 20,653 25 21,081 131,685 19 19,639,556,883,, 393,424 81,315,601, 22,049 19,048 1,467,593, 267,306,497, 21,975 15,679 Murray & Roberts Hldgs MUR Heavy Contr. 444,736 25,828,403 2,540 2 2,334 15 2,460 16,140 19 628,180,282 80,996 2,037,085 2,899 2,200 421,999 10,650,724 3,165 2,051 Mustek Ltd MST Comp hardw 108,433 17.00 15.81 17.00 3,423,717 725 7 650 1 695 546 19 23,909,478 9,765 60,428 725 500 22,652 126,128 648 450 Nampak Ltd NPK Cont & Pack 700,643 92.00 65.40 43.50 111.46 F 83.3 20/01 33,006,614 3,995 29 3,580 1 3,920 22,905 19 1,234,698,102 119,972 4,420,774 4,300 3,336 492,847 16,444,295 4,149 2,920 Nampak Ltd 6%Pref NPKP Pref Shares 400 12.00 11.10 10.20 I 5.1 27/01 253 23 57 255 240 Nampak Ltd 6,5%Pref NPP1 Pref Shares 100 13.00 12.03 11.05 I 5.525 27/01 270 12 33 285 250 Naspers Ltd -N- NPN Broadcast & ent 416,813 270.00 303.04 327.25 34,659,087 119,998 2 98,325 30 99,200 148,724 19 37,711,113,233 161,638 188,666,293 135,409 98,325 404,597 299,703,771 109,601 53,325 NB ANGLO STUB 09APR2015 NBKIO3 Inv. Prod 12,000 21,748 Nedbank Group Ltd NED Banks 513,973 533.00 629.00 681.70 F 429.25 07/04 27,387,780 22,916 25 21,501 15 22,515 54,211 19 6,021,259,262 78,583 16,482,430 22,916 18,750 220,575 41,690,037 21,925 16,346 Nedbank Ltd Pref NBKP Pref Shares 358,277 69.6868 65.73 60.31 F 30.3515935159 24/03 11,521,285 285 1,027 15 953 1 1,010 293 19 112,834,300 300 23,030 227,427 1,1212 0 950 72,303 734,723 723 1,090 940 Net 1 UEPS Tech Inc NT1 Fin Admin 62,800 126,933 10,511 4 7,000 17 9,233 78 12 11,737,797 671 63,781 11,900 5,200 6,581 488,660 12,999 4,211 Netcare Limited NTC Healthc Prov 1,476,361 43.00 6.50 49.78 51.85 F 34.425 03/02 68,380,580 2,564 25 2,324 1 2,550 31,594 19 1,674,521,291 269,157 6,287,000 2,604 2,076 725,942 16,117,902 2,620 1,910 Netcare Limited Pref NTCP Pref Shares 6,500 680.03 625.84 596.06 13,729 9,020 30 8,406 1 9,020 33 13 1,192,198 246 20,446 9,020 8,200 1,566 135,498 9,200 8,001 New Europe Prop Inv plc NEP Real Estate Holding & Dev 223,050 190.58 106.18 101.46 269.03 SC 14/04 176.715 3,583,947 9,000 7 8,400 8 8,600 2,556 19 310,151,114 10,343 878,982 9,000 7,960 38,781 2,649,471 8,499 5,100 New Gold Issuer Ltd GLD Exchange Traded Funds 136,436 5,016,559 13,517 14 12,900 24 13,086 2,677 19 666,340,194 19,517 2,644,670 14,363 12,350 170,582 22,415,138 14,800 11,501 New Gold Platinum ETF NGPLT Exchange Traded Funds 102,800 9,243,927 15,498 4 14,636 22 15,050 2,446 19 1,386,899,764 36,920 5,688,546 16,500 14,560 112,508 15,830,991 16,300 13,100 NEWFUNDS EQUITY MOM ETF NFEMOM Exchange Traded Funds 1,000 4.04 0.70 45.50 0.67 F 2.76117 21/01 I 8.02742 24/04 IT 21/01 0.04211 24,716 2,548 3 2,431 15 2,452 48 16 613,164 139 3,408 2,571 25 434 8,813 4,198 1,845 IT 24/04 0.35586 NEWFUNDS GOVI ETF NFGOVI Exchange Traded Funds 1,450 292,230 4,441 2 4,323 2 4,399 116 19 12,798,214 1,142 49,344 4,441 4,159 1,287 55,554 4,573 4,099 NEWFUNDS ILBI ETF NFILBI Exchange Traded Funds 1,000 217,375 5,667 30 5,452 1 5,621 60 17 12,016,895 664 36,011 5,667 5,129 846 45,276 5,665 5,063 Newfunds MAPPS Growth MAPPSG Exchange Traded Funds 1,407 13.88 8.64 22.26 10.05 F 0.2753 21/01 F 3.79423 21/01 IT 21/01 1.95225 188,203 1,752 25 1,650 15 1,681 41 15 3,156,092 494 8,109 1,752 1,520 559 8,124 1,592 1,300 I 5.81367 24/04 I 1.2501 24/04 IT 24/04 4.63812 Newfunds MAPPS Protect MAPPSP Exchange Traded Funds 1,109 16.37 16.36 22.19 30.64 F 3.14339 21/01 F 0.25328 21/01 IT 21/01 3.65847 31,051 2,960 25 2,880 15 2,929 29 13 908,434 121 3,446 2,960 2,700 167 4,545 2,809 2,529 I 5.56649 24/04 I 2.98594 24/04IT 24/04 16.89055 NEWFUNDS NEWSA INDEX NEWFSA Exchange Traded Funds 1,273 54.00 47.90 2.68 75.92 2.75 F 14.6149 21/01 F 2.48238 21/01 IT 21/01 0.11743 2,686 4,963 3 4,842 15 4,932 11 7 131,836 6 309 4,963 4,436 27 1,075 4,592 3,734 I 10.79376 24/04 I 20.25141 24/04 IT 24/04 0.03098 NEWFUNDS SHARIA TOP40 NFSH40 Exchange Traded Funds 6,895 5.00 8.33 7.71 F 1.54224 21/01 I 2.13635 24/04 479,854 439 3 410 17 424 67 16 2,056,174, 1, 007 4,193 439 378 3,191 11,414 399 306 I 1.95013 24/04 NEWFUNDS SWIX 40 ETF NFSWIX Exchange Traded Funds 1,000 13.94 0.09 23.86 0.73 F 0.22765 21/01 F 3.14231 21/01 IT 21/01 0.13249 22,429 1,381 23 1,333 10 1,353 40 17 304,850 145 1,878 1,381 1,201 374 4,376 1,281 1,014 I 3.64427 24/04 I 6.55996 24/04 IT 24/04 0.05745 NEWFUNDS TRACI 3-M ETF NFTRCI Exchange Traded Funds 4,832 95,667 1,822 30 1,069 23 1,823 47 18 1,733,503 558 10,046 1,822 1,069 4,486 79,346 1,795 176 NewGold Palladium ETF NGPLD Exchange Traded Funds 20,885 19,646,644 8,834 22 8,139 8 8,840 434 18 1,637,851,371 21,278 1,771,917 8,834 8,139 NEWWAVE EURO ETN 12MAR42 NEWEUR Exchange Traded Notes 257 2,948 1,477 24 1,446 10 1,462 8 7 43,419 9 133 1,527 1,445 61 776 1,456 1,170 NEWWAVE GBP ETN 12MAR42 NEWGBP Exchange Traded Notes 258 2.00 2.00 IT 24/03 2 742 1,794 25 1,750 10 1,777 12 8 13,090 123 2,224 1,884 1,742 133 2,061 1,739 1,330 NEWWAVE INDEXETN 13JUN22 NEWBCI Exchange Traded Notes 1 NEWWAVE PLAT ETN 12MAR42 NEWPLT Exchange Traded Notes 908 17,128128 15,500500 3 14,605 24 14,856 50 19 2,567,497 136 21,007 16,124124 14,605 2,150 305,593593 16,000 12,960 NEWWAVE SLV ETN 12MAR42 NEWSLV Exchange Traded Notes 8,154 770,899 215 2 200 30 202 74 19 1,600,043 3,810 8,484 243 200 9,154 21,286 292 188 NEWWAVE USD ETN 12MAR42 NEWUSD Exchange Traded Notes 1,335 40,391 1,069 3 1,040 10 1,054 23 12 425,629 428 4,675 1,141 1,040 2,879 27,761 1,051 843 Nictus Ltd NCS Broad Retail 66,270 8.55 12.11 56,544 72 11 67 7 72 5 3 39,034 400 264 90 56 787 891 185 81 Niveus Investments Ltd NIV Equity inv Instr 115,512 5.95 15.30 151,449 2,790 30 2,410 2 2,790 77 15 4,151,837 6,409 135,392 2,790 1,960 21,161 317,610 2,390 959 Northam Platinum Ltd NHM Plat & Prec. Met 397,586 15.00 5.00 12,225,313 4,221 25 3,804 3 4,100 15,901 19 481,402,251 52,372 2,134,699 4,899 3,801 218,330 8,172,651 4,390 3,005 Nu-World Hldgs Ltd NWL Cons. Electro 22,646 29.50 56.50 59.40 8,863 1,950 29 1,701 25 1,950 14 7 163,644 191 3,871 2,275 1,701 1,223 22,796 2,200 1,600 Nutritional Holdings Ltd NUT Pharmac 1,997,368 15,332,108 2 30 1 30 2 60 15 182,422 118,983 1,483 2 1 337,477 6,342 3 1 Oando plc OAO Int. Oil & Gas 7,027,031 11.78 3.93 135,716 148 2 110 9 117 41 14 166,101 2,321 3,605 225 96 40,951 30,510 96 15 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

2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS 2014 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR APRIL 2014 TRADING STATISTICS 2014 TO APRIL TRADING STATISTICS 2014 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 HARE ODE Oasis Crescent Prop Fund OAS Retail REITs 44,407 186.52 177.90 87.44 25 1,500 2 1,500 2 1,500 1 1 375 2,182 30,888 1,500 1,340 2,324 31,030 1,400 1,290 Oceana Group Ltd OCE Farm & Fish 119,526 212.00 221.25 302.60 F 188.7 13/01 775,765 9,480 1 8,227 11 9,000 2,280 19 68,950,526 6,755 569,638 9,500 7,612 20,058 1,653,933 9,876 6,505 Octodec Invest Ltd OCT Retail REITs 117,348 0.64 128.66 0.68 136.62 0.78 156.82 2,990,300 2,055 7 1,901 7 2,025 482 19 59,007,148 19,958 369,318 2,055 1,701 23,770 496,500 2,600 1,790 Old Mutual plc OML Life Ins 4,896,993 50.18 57.30 188.17 89.22 148,460,772 3,603 4 3,395 17 3,559 81,812 19 5,216,098,694 635,495 21,718,011 3,603 3,058 1,880,712 55,326,314 3,389 2,465 Omnia Holdings Ltd OMN Spec. Chemicals 67,250 253.00 357.00 I 157.25 20/01 1,643,537 22,787 23 20,825 2 22,600 5,460 19 359,028,741 8,256 1,764,273 22,787 20,200 33,973 5,990,559 21,500 13,745 Onelogix Group Ltd OLG Transp serv 207,845 8.00 1.80 7.20 8.08 2,828,314 394 16 346 1 380 391 19 10,487,495 10,556 35,801 394 271 33,178 94,673 481 185 Orion Real Estate Ltd ORE Real Estate Holding & Dev 630,699 0.11 0.04 IT 20/01 0.11852 50,134 29 25 24 30 24 9 7 13,336 468 115 34 22 1,039 261 32 13 Osiris Properties Int Ltd OPI Real Estate Holding & Dev 664 100 1,500 29 1,500 29 1,500 1 1 1,500 0 2 1,500 1,500 1 17 1,555 1,550 PaladiumCommodity-Linker SBAPD1 Exchange Traded Notes 500 7,112 23,650 25 22,135 8 23,368 38 16 1,620,932 241 53,402 23,935 21,200 990 184,316 22,020 16,236 Pallinghurst Res Ltd PGL Equity inv Instr 760,453 4,413,130 360 16 305 10 315 955 19 14,375,341 25,620 83,609 369 270 169,904 360,946 295 161 Pamodzi Gold Limited PZG Gold 93,545 Pan African Resource plc PAN Gold 1,829,145 6.63 13.15 28,139,965 274 24 245 2 272 1,937 19 73,006,995 132,162 339,376 294 221 705,315 1,573,828 284 180 Peregrine Holdings Limited PGR Asset man 213,001 35.00 72.00 45.33 61.20 23.80 5,797,028, 1,973 11 1,835, 8 1,930, 1,907, 19 110,341,073,, 20,947, 371,75, 2 1,973 1,590 83,158 1,015,560, 1,780 1,030 Petmin Ltd PET Gen Mining 576,908 4.00 4.25 2.55 12,442,106 272 30 215 11 272 884 19 31,981,678 51,773 107,772 272 145 237,310 499,379 254 169 Phumelela Game Leisure PHM Gambling 77,102 68.00 64.60 74.80 2,346,125 2,250 25 1,800 1 2,230 447 19 48,309,734 4,716 89,127 2,250 1,555 21,410 309,068 29,999 900 Pik n Pay Holdings Ltd PWK Food Ret & Whole 527,249 62.25 51.19 34.69 7,247,588 2,572 23 2,136 4 2,550 3,300 19 164,763,802 20,303 436,022 2,572 1,950 101,989 1,887,513 2,281 1,624 Pik n Pay Stores Ltd PIK Food Ret & Whole 480,397 128.00 104.64 71.44 26,589,696 5,999 30 4,975 4 5,999 25,420 19 1,437,043,227 78,895 3,873,286 5,999 4,315 231,239 10,046,765 5,440 3,530 Pinnacle Hldgs Ltd PNC Comp hardw 170,104 23.00 29.78 34.85 19,720,407 1,535 2 1,236 11 1,300 8,794 19 272,494,060 91,317 1,518,339 2,490 1,120 78,886 1,791,037 2,724 1,822 Pinnacle Point Group Ltd PNG Real Estate Holding & Dev 8,311,122 Pioneer Foods Group Ltd PFG Food Prod 231,305 40.00 77.42 98.60 F 73.1 03/02 1,965,358 9,799 29 8,350 3 9,400 3,236 19 175,597,822 11,247 971,911 10,016 7,802 34,695 2,720,934 9,490 6,500 Platfields Limited PLL Plat & Prec. Met 789,597 2 33,936 934 5 2 PlatinumCommodity-Linker SBAPL1 Exchange Traded d Notes 2,000 11,872 13,400 7 12,500 1 12,796 29 14 1,519,215 109 14,103103 15,000 12,500 1,660 208,045045 14,266 11,231 Poynting Hldgs Ltd POY Telecom equip 176,604 3,288,008 575 10 319 3 380 1,245 19 14,642,292 7,964 26,968 575 191 24,028 35,666 235 50 PPC Limited PPC Build Mat & Fix 605,380 165.00 127.30 124.10 F 100.3 13/01 39,817,006 3,117 29 2,887 4 3,060 15,093 19 1,183,296,509 103,988 3,073,886 3,154 2,834 277,440 8,785,721 3,680 2,435 Premium Properties Ltd PMM Diversified REITs 156,773 0.57 113.43 0.60 119.40 0.66 131.74 1,265,928 1,850 2 1,700 25 1,750 364 18 22,268,666 9,711 166,204 1,874 1,600 24,106 449,410 2,269 1,600 Prescient Limited PCT Asset man 1,598,022 2.81 2.13 I 2.125 27/01 1,527,350 77 22 72 29 75 76 18 1,125,062 16,471 12,800 90 72 57,158 56,740 120 78 Primeserv Group Ltd PMV Bus Train & empl agen 132,063 2.50 0.50 207,372 35 3 25 22 26 8 6 54,273 1,547 449 35 23 7,522 2,998 49 27 Protech Khuthele Hldgs PKH Heavy Contr. 362,500 1,347,849 41 4 30 24 35 66 16 493,094 38,350 13,141 48 29 42,883 22,187 60 41 PSG Financial Serv Pref PGFP Pref Shares 17,416 684.04 646.50 602.06 F 301.4695 31/03 229,177 8,500 29 8,120 15 8,388 287 19 18,883,225 877 71,386 8,500 7,600 3,054 244,615 8,900 7,550 PSG Group Ltd PSG Inv serv 207,589 73.00 89.00 117.09 1,402,533 10,418 30 9,085 7 10,418 4,505 19 136,829,516 7,715 711,550 10,418 7,748 22,687 1,522,521 9,150 5,880 PSV Holdings Ltd PSV Industr mach 272,548 3.06 1,035,358 29 30 17 8 29 10 5 224,406 2,164 438 29 16 74,987 15,267 26 14 Purple Group Ltd PPE Inv serv 822,905 2.00 9,949,357 60 11 34 1 38 589 19 4,509,095 67,459 17,319 60 20 55,642 11,205 25 12 Putprop Ltd PPR Real Estate Holding & Dev 28,793 30.00 30.30 30.60 I 15.3 14/04 353,012 750 30 680 11 750 113 16 2,478,910 529 3,587 750 601 533 3,422 750 501 Quantum Prop Group Ltd QPG Real Estate Holding & Dev 152,974 19 Rand Merchant Ins Hldgs Ltd RMI Equity inv Instr 1,485,688 56.50 75.98 46.75 81.07 I 39.14671 31/03 21,547,742 3,055 24 2,760 2 3,000 18,121 19 629,510,910 101,219 2,704,151 3,055 2,333 413,934 10,112,511 2,883 2,080 Randgold & Expl Co Ltd RNG Gold 74,585 90.00 1,415,602 400 17 190 4 370 127 18 4,096,749 2,275 5,945 400 185 6,827 14,476 301 181 Rare Holdings Ltd RAR Ind Supp 42,888 35,353 670 2 550 24 560 29 11 198,450 99 530 700 450 33,647 2,721 800 6 Rare Holdings Ltd NPL RARN Ind Supp 25,000 56,153 6 23 5 23 5 10 1 2,808 56 3 6 5 Raubex Group Ltd RBX Heavy Contr. 185,900 93.00 55.36 55.25 3,779,435 2,290 4 2,025 16 2,175 2,905 19 81,161,896 18,631 413,011 2,450 2,000 73,128 1,588,128 2,520 1,600 RBA Holdings Ltd RBA Home Contr. 614,876 40,205,546 13 9 10 30 10 165 18 4,468,204 81,046 8,619 14 8 340,891 37,229 14 8 RCL Foods Limited RCL Farm & Fish 860,444 84.00 55.20 1,684,320 1,678 2 1,433 8 1,540 3,459 19 25,605,431 18,536 295,787 1,750 1,302 44,161 716,517 1,900 1,400 Rebosis Property Fund Ltd REB Diversified REITs 386,532 22.25 85.50 92.00 3,330,694 1,167 24 1,110 23 1,160 1,024 19 37,712,946 29,569 325,012 1,198 951 98,329 1,175,816 1,425 1,052 RECM and Calibre Limited RACP Pref Shares 45,000 277,596 1,300 3 1,265 4 1,286 101 13 3,550,319 2,344 29,907 1,390 1,240 8,653 88,283 3,800 950 Redefine International P.L.C RPL Diversified REITs 1,270,329 22.80 7,319,010 1,025 29 935 14 992 2,163 19 71,544,932 38,597 356,968 1,047 851 56,370 463,457 1,050 770 Redefine Properties Ltd RDF Diversified REITs 3,070,978 68.00 64.00 68.70 133,721,231 1,015 10 935 7 994 25,715 19 1,318,784,747 489,598 4,577,898 1,015 865 1,383,974 13,646,716 1,188 867 Reinet Inv Soc Anon REI Equity inv Instr 1,959,413 44,161,585 2,490 30 2,317 1 2,460 20,167 19 1,061,767,240 237,773 5,370,555 2,490 1,961 536,355 10,153,085 2,091 1,563 Remgro Ltd REM Div Indust 481,106 314.00 314.00 346.00 I 156 14/04 13,453,485 21,264 25 19,831 14 21,165 42,616 19 2,765,739,406 73,086 14,142,015 21,264 17,915 245,519 45,477,054 20,875 15,992 Resilient Prop In Fd NPL RESN Retail REITs 19,231 197,489 563 24 450 25 485 161 4 1,008,993 197 1,009 563 450 Resilient Prop Inc Fund RES Retail REITs 293,339 220.59 242.09 271.16 4,272,309 5,888 29 5,611 3 5,759 4,399 19 245,753,449 18,904 1,038,430 5,888 5,001 75,999 4,063,055 6,120 4,670 Resource Generation Ltd RSG Coal 581,380 14,075 340 25 335 4 340 7 6 47,299 51 142 340 225 795 1,748 100,000 220 Reunert Ltd RLO Electr Comp & eq 187,252 297.00 333.75 314.50 F 233.75 20/01 12,321,674 6,994 16 6,162 14 6,900 17,270 19 833,643,602 36,087 2,311,400 7,194 5,567 93,632 6,766,294 8,791 6,200 Rex Trueform Cl Co -N- RTN Appar Retail 17,736 52.00 51.85 51.85 1,200 6 59 1,200 850 199 3,378 9,999 900 Rex Trueform Cloth Co Ld RTO Appar Retail 2,906 52.00 51.85 51.85 1,150 7 107 1,950 1,150 Rex Trueform Ltd 6%Pref RTOP Pref Shares 140 12.00 5.10 10.20 I 5.1 13/01 115 2 2 115 115 4 5 130 130 RMB Coal ETN 05MAY2016 COLRMB Exchange Traded Notes 100 18 59,054 25 54,625 10 57,031 6 4 10,352 2 985 67,270 54,625 7 4,697 67,539 53,051 RMB Holdings Ltd RMH Banks 1,411,703, 101.00 95.00 117.75 146.74 I 85 31/03 28,208,649, 5,170, 25 4,703, 2 5,041, 26,699, 19 1,401,628,848,,, 132,804, 6,225,,, 600 5,170 4,105 440,918 18,510,156, 5,034 3,522 RMB Inflation X RMBINF Exchange Traded Funds 24,400 52.22 29.69 45.18 IT 13/01 15.93 1,865,609 2,048 14 1,718 8 1,912 151 19 34,973,684 5,652 104,217 2,048 1,618 63,543 1,160,947 2,000 1,711 IT 08/04 7.31 RMB Mid Cap ETF RMBMID Exchange Traded Funds 18,000 10.13 0.41 35.15 0.67 I 3.05164 13/01 I 3.78291 08/04 462,931 750 7 604 1 638 138 19 2,868,666 1,993 11,909 750 562 6,489 45,336 5,998 505 RMB Oil ETN 08DEC2015 OILRMB Exchange Traded Notes 200 58 95,076 16 89,078 8 89,860 15 10 53,185 0 430 96,560 81,641 3 2,844 97,963 65,216 RMB Top 40 ETF RMBT40 Exchange Traded Funds 18,334 67.95 2.45 69.68 0.85 84.37 I 12.51764 13/01 I 0.36099 13/01 447,041 4,548 29 4,218 2 4,408 206 19 19,473,748 2,636 110,481 4,548 3,836 13,629 496,292 4,288 3,331 I 25.43631 08/04 I 0.3765 08/04 Rockcastle Global Real Estate Co Ltd ROC Real Estate Holding & Dev 530,000 67.83 I 38.64262 10/03 1,276,974 1,499 23 1,425 2 1,450 260 19 18,460,581 32,504 453,153 1,530 1,390 33,351 441,810 1,500 1,088 Rockwell Diamonds Inc RDI Diamonds & Gems 53,523 35,441 340 2 326 4 329 10 6 117,285 328 1,137 398 326 1,179 2,964 450 101 Rolfes Technology Hldgs RLF Spec. Chemicals 108,609 10.00 00 9.25 8.50 907,391 480 23 441 1 460 285 19 4,111,086 10,696 50,779 650 406 34,427 427 206,799 1,000 470 Royal Bafokeng Platinum Ltd RBP Plat & Prec. Met 191,918 5,889,111 6,992 8 6,310 1 6,800 8,631 19 393,062,998 13,366 875,336 6,992 5,400 36,785 2,081,188 6,499 4,201 SA Corp Real Estate Fund SAC Retail REITs 1,980,093 28.53 29.65 31.26 51,703,323 418 30 382 9 413 4,707 19 206,896,786 192,023 750,606 419 363 776,024 3,094,682 468 330 Sable Metals and Min Ltd SMM Plat & Prec. Met 196,870 40,017 73 4 36 8 66 15 6 25,381 954 575 80 13 6,911 5,381 105 40 SABMiller plc SAB Brewers 1,672,648 600.56 682.53 849.44 19,023,060 57,475 29 52,001 1 57,160 44,938 19 10,404,799,830 90,502 47,261,883 57,475 48,115 358,213 173,084,023 53,988 39,150 Sabvest Ltd SBV Equity inv Instr 17,296 17.00 32.00 38.00 100.00 F 22 31/03 6,344 3,800 30 3,350 22 3,800 17 6 229,768 18 494 3,800 2,050 1,115 16,512 2,100 1,300 Sabvest Ltd -N- SVN Equity inv Instr 29,480 17.00 32.00 38.00 100.00 F 22 31/03 3,052 2,650 24 2,645 8 2,650 4 2 80,864 127 2,935 2,650 2,051 2,256 29,554 2,050 1,300 Sacoil Holdings Ltd SCL Int. Oil & Gas 3,086,169 43,213,285 69 7 56 30 56 1,427 19 26,538,364 286,637 163,542 80 23 358,835 106,126 40 21 Safari Investments RSA Ltd SAR Retail REITs 170,000 614,320 1,000 8 825 11 855 146 15 5,236,342 614 5,236 1,000 825 Sanlam Limited SLM Life Ins 2,166,472 115.00 130.00 140.52 42.50 F 170 14/04 101,647,613 5,935 2 5,334 14 5,625 59,620 19 5,645,367,069 364,268 19,116,327 5,935 4,495 1,246,943 58,841,134 5,518 4,051 Santam Limited SNT Prop & Casual Ins 119,346 525.00 552.91 850.00 555.92 F 368.59982 31/03 498,498 21,525 29 18,241 7 21,200 2,651 19 97,745,542 2,730 505,464 21,525 16,000 12,697 2,413,217 21,901 16,696 Santova Logistics Ltd SNV Marine Tranp 136,459 2.13 2,543,865 195 30 160 2 195 334 19 4,432,829 25,475 36,788 195 109 82,352 85,329 125 80 Sanyati Holdings Ltd SAN Heavy Contr. 450,803 21 Sappi Ltd SAP Paper 541,446 15,434,457 3,706 1 3,255 29 3,331 16,524 19 541,320,010 105,158 3,633,820 3,783 3,094 419,331 11,357,426 3,429 2,204 Sasfin Hldgs Ltd Pref SFNP Pref Shares 1,905 696.78 639.09 597.89 I 300.4835 07/04 20,895 8,200 29 7,850 10 8,200 29 11 1,676,677 80 6,323 8,200 7,680 390 30,771 8,435 7,410 Sasfin Holdings Ltd SFN Inv serv 32,301 118.00 123.80 142.80 I 55.539 14/04 144,558 4,589 16 4,400 7 4,430 388 18 6,429,085 809 35,859 4,750 4,250 5,433 195,853 4,984 3,275 Sasol Limited SOL Int. Oil & Gas 650,218 1,300.00 1,574.30 1,615.00 I 680 14/04 20,916,587 59,378 24 56,820 8 59,029 97,982 19 12,147,170,265 101,965 56,806,418 60,377 51,035 430,881 188,568,627 52,098 36,212 Satrix 40 Portfolio STX40 Exchange Traded Funds 187,492 58.73 2.80 75.17 2.44 73.60 2.73 F 2.44434 24/01 F 0.26154 24/01 IT 24/01 0.22152 15,6 31,178 4,436 24 4,307 15 4,404 1,449 19 683,461,181, 82,153 3,468,796, 4,436 3,950 192,526 7,101,350, 4,150 3,331 F 8.39511 24/01 I 14.88293 10/04 IT 24/01 0.07448 I 2.62104 10/04 IT 10/04 0.24709 Satrix DIVI Plus Portfolio STXDIV Exchange Traded Funds 834,390 5.57 0.05 7.38 0.06 6.74 0.09 F 1.35988 24/01 F 0.07454 24/01 IT 24/01 0.01624 19,451,346 228 30 218 4 227 524 19 43,243,988 107,071 226,478 228 199 337,384 716,579 226 191 I 1.33963 10/04 I 0.12465 10/04 IT 24/01 0.00942 IT 10/04 0.04732 Satrix FINI Portfolio STXFIN Exchange Traded Funds 47,737 24.60 3.16 31.20 1.67 30.71 2.12 F 2.44945 24/01 F 0.54644 24/01 IT 24/01 0.06256 6,165,783 1,440 29 1,332 16 1,420 219 19 85,754,125 24,077 308,765 1,440 1,153 13,064 153,789 1,324 1,037 F 5.10346 24/01 IT 24/01 0.06494 Satrix INDI Portfolio STXIND Exchange Traded Funds 26,788 60.51 1.60 74.31 1.77 74.50 1.10 F 2.30123 24/01 F 5.81104 24/01 IT 24/01 0.21817 1,479,824 5,600 29 5,420 29 5,555 486 19 81,885,237 5,845 316,320 5,600 5,060 18,112 844,234 5,488 4,069 I 5.67418 10/04 I 6.12166 10/04 IT 24/01 0.00358 00358 IT 10/04 0.18254 Satrix RAFI 40 Portfolio STXRAF Exchange Traded Funds 85,877 11.31 0.25 20.41 0.39 F 0.57114 16/01 F 0.31841 16/01 IT 16/01 0.00347 978,198 1,177 30 1,132 1 1,172 214 19 11,256,473 6,556 72,104 1,177 990 22,876 220,766 1,100 865 I 0.23144 11/04 I 0.86336 11/04 IT 11/04 0.002 Satrix RESI Portfolio STXRES Exchange Traded Funds 6,488 91.42 2.39 117.51 2.75 116.58 1.18 F 17.89878 24/01 I 55.8758 10/04 IT 24/01 0.25322 431,165 5,890 24 5,590 1 5,753 201 19 24,526,198 3,377 187,525 5,898 4,961 12,101 566,382 5,600 4,067 I 0.84112 10/04 IT 24/01 0.18897 IT 10/04 0.38161 IT 10/04 0.0226 Satrix SWIX Top 40 Portfolio STXSWX Exchange Traded Funds 34,718 14.32 0.72 18.34 0.57 16.28 0.76 F 2.92491 24/01 F 0.04839 24/01 IT 24/01 0.06077 1,741,019 988 3 902 25 953 156 19 16,573,408 5,948 55,036 988 852 20,583 162,459 1,050 722 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

2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS 2014 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR APRIL 2014 TRADING STATISTICS 2014 TO APRIL TRADING STATISTICS 2014 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 HARE ODE F 0.37822 24/01 I 2.05404 10/04 IT 24/01 0.02709 I 0.76156 10/04 IT 10/04 0.04753 SB Copper ETN SBACOP Exchange Traded Notes 10,000 2,063 1,289 25 1,217 9 1,240 9 6 25,209 10 129 1,427 1,217 1,047 12,900 1,370 1,000 SB Corn ETN SBACRN Exchange Traded Notes 5,000 2,685 1,260 25 1,198 8 1,247 15 9 32,752 14 164 1,260 1,042 60 739 1,388 1,000 SB Wheat ETN SBAWHT Exchange Traded Notes 5,000 4,043 1,179 25 1,104 10 1,176 19 11 46,072 72 752 1,205 956 237 2,540 1,189 994 SB WTI Oil ETN SBAOIL Exchange Traded Notes 10,000 6,097 2,167 25 2,091 7 2,097 22 11 129,192 42 885 2,221 1,945 492 8,750 2,191 1,499 SBA Commodity Index ETN SBACI Exchange Traded Notes 10,000 3,110 1,381 17 1,348 8 14 8 42,228 35 471 1,390 1,300 49 618 1,419 1,140 SBAfricaEquity Index ETN SBAEI Exchange Traded Notes 20,000 62,373 1,499 29 1,142 16 1,344 46 18 751,635 423 5,304 1,499 1,142 2,001 21,015 1,168 946 Sea Kay Holdings Ltd SKY Heavy Contr. 488,864 1 Seardel Inv Corp -N- SRN Cloth & access 3,686,233 6,759,451 196 30 155 1 189 102 10 10,800,824 7,576 12,507 270 155 12,478 36,398 315 96 Seardel Inv Corp Ltd SER Cloth & access 646,851 1,838,244 220 30 156 17 220 149 18 3,115,669 5,006 10,790 287 156 23,370 57,458 320 115 Sekunjalo Inv Ltd SKJ Spec Finance 489,339 891,391 57 24 45 2 53 84 12 472,884 8,060 3,862 57 35 19,300 10,071 67 40 Sentula Mining Ltd SNU Gen Mining 586,559 9,053,130, 24 30 18 8 23 295 19 1,970,806, 37,198 10,039 47 18 197,812 160,768 185 29 Sephaku Holdings Ltd SEP Build Mat & Fix 189,873 1,323,797 679 3 610 25 660 426 19 8,686,133 7,088 47,020 750 610 40,091 220,190 750 318 Sherbourne Capital Ltd SHB Software 781,875 0.00 1 128,340 1,334 2 1 Shoprite 2nd 5%Pref SHP3 Pref Shares 225 10.00 9.25 8.50 F 4.25 03/03 101 Shoprite 3rd 5%Pref SHP4 Pref Shares 500 10.00 9.25 8.50 F 4.25 03/03 2,803 150 22 130 30 130 4 3 4,204 3 4 150 130 2 2 100 100 Shoprite 5%Pref SHP2 Pref Shares 325 10.00 9.25 8.50 F 4.25 03/03 4,000 120 17 120 17 120 1 1 4,800 4 5 120 120 1 1 101 101 Shoprite 6%Pref SHP1 Pref Shares 175 12.00 11.10 10.20 F 5.1 03/03 105 2 2 127 105 Shoprite Holdings Ltd SHP Food Ret & Whole 570,579 253.00 260.82 287.30 I 112.2 24/03 29,099,728 17,831 29 15,800 1 17,569 57,208 19 4,900,250,107 146,483 22,231,391 17,831 13,601 544,690 94,393,469 20,716 15,545 Shoprite Investments Limited SHPCB Food Ret & Whole 470 32,767.00 65,000.00 IT 03/04 32500 373 1,150,000 30 1,050,000 11 1,150,000 5 5 4,227,000 14 146,703 1,230,000 1,000,000 54 665,076 1,330,000 1,120,000 Sibanye Gold Limitedit SGL Gold 741,291 31.45 F 63.75 17/03 71,481,365 2,788 24 2,225225 1 2,720 47,596 19 1,833,371,474 371 239,470 5,269,207 207 2,788 1,230 1,055,601 12,252,603252 1,750 659 Silverbridge Holdings SVB Software 34,781 54,500 75 14 74 14 75 4 3 40,845 725 553 110 61 2,030 1,464 130 35 SilverCommodity-Linker ETN SBAS1 Exchange Traded Notes 500 21,899 15,331 4 14,472 24 14,548 42 17 3,236,889 84 13,519 17,413 14,472 466 78,058 22,310 13,520 Soapstone Investment Ltd DMCCB Diamonds & Gems 4 71,342.67 IT 14/03 33369.863 South African Coal Mining SAH Coal 452,454 480,987 36 1 15 25 16 22 11 94,535 648 160 94 8 355 24 20 3 South Ocean Holdings Ltd SOH Electr Comp & eq 156,379 1,119,953 120 2 91 23 110 74 17 1,151,699 4,911 5,866 136 91 21,986 32,332 173 115 Southern View Fin Ltd B SVFB Pref Shares 14,000 Southern View Finance Ltd SVF Cons Fin 55,300 Sovereign Food Inv Ltd SOV Farm & Fish 76,222 16.15 331,999 600 11 545 8 562 45 15 1,891,809 2,427 12,790 600 500 23,798 121,180 580 450 Spanjaard Limited SPA Spec. Chemicals 8,143 26.00 30.75 21.25 54,311 460 23 400 4 460 10 5 235,369 143 619 460 302 792 3,518 510 390 Spur Corporation Ltd SUR Rest & Bars 97,633 66.00 80.36 94.58 I 48.45 31/03 1,508,237 3,175 24 2,651 3 3,000 1,244 19 43,626,608 10,803 330,890 3,450 2,651 25,571 749,048 3,475 2,260 Square One Solutions Grp SQE Comp Serv 44,394 Standard Bank Group Ltd SBK Banks 1,619,896 386.00 284.00 180.20 198.05 206.55 F 255 14/04 66,315,356 14,484 9 13,518 16 13,808 86,956 19 9,243,989,130 287,094 36,698,636 14,484 11,316 1,012,189 116,482,038 13,054 10,316 Standard Bank Group Pref SBPP Pref Shares 52,982 650.31 663.14 586.04 F 284.69305 07/04 573,219 9,400 8 9,075 25 9,240 517 19 52,903,892 2,859 263,208 9,769 8,800 11,658 1,092,134 10,080 8,690 STANLIB SA Property ETF STPROP Exchange Traded Funds 1,386 0.37 230.43 F 0.01 10/01 IT 10/01 80.95 23,181 5,600 17 4,981 4 5,165 63 19 1,185,317 94 4,615 5,600 4,614 413 21,885 5,873 4,562 IT 11/04 12.13 STANLIB SWIX 40 Fund STANSX Exchange Traded Funds 296,964 15.10 0.97 15.77 5.75 13.66 6.62 F 2.6225 10/01 F 0.1275 10/01 CP 10/01 0.07 2,340,047 982 2 941 15 955 23 11 22,363,660 3,611 33,982 982 856 5,763 45,223 890 350 I 0.391 11/04 I 0.289 11/04 IT 10/01 0.04 IT 10/01 1.84 IT 11/04 0.52 IT 11/04 0.17 STANLIB Top 40 Fund STAN40 Exchange Traded Funds 12,322 62.76 1.73 86.70 2.50 82.78 2.62 F 13.0915 10/01 F 1.5215 10/01 CP 10/01 0.4 15,801 4,490 24 4,340 7 4,420 24 12 693,711 179 7,806 4,490 3,867 168 6,231 4,140 3,200 I 2.2695 11/04 I 7.939 11/04 IT 10/01 0.16 IT 11/04 0.7 Std Bank Group 6,5%Pref SBKP Pref Shares 8,000 6.50 6.01 5.53 F 2.7625 07/04 137,343 87 9 72 3 86 12 7 113,275 165 137 95 72 1,603 1,340 100 77 Stefanuti Stck Hldgs Ltd SSK Heavy Contr. 188,081 37.00 10.20 2,119,231 925 3 828 25 869 680 19 18,270,773 13,021 127,564 1,059 805 54,641 510,817 1,080 720 Steinhoff Int Hldgs Ltd SHF Furnish 2,124,799 130.0000 160.00 00 68.00 243,159,354 354 5,610 24 5,090 1 5,461 105,516 516 19 12,981,554,682 705,085 085 35,646,373 373 5,610 4,392 1,529,009 46,232,228 228 4,536 2,212 212 Steinhoff Inv Hldgs Pref SHFF Pref Shares 15,000 697.00 637.57 598.40 I 300.9 22/04 321,924 8,690 8 7,900 11 8,200 384 18 26,939,346 828 67,991 8,690 7,900 7,956 626,850 8,975 7,100 Sterling Waterford CCN SPV CBN013 Exchange Traded Notes 290 10 0 0 1,300 1,220 Stratcorp Ltd STA Inv serv 206,179 494,232 12 30 2 2 12 27 8 37,259 864 54 12 1 1,923 95 6 1 Sun International Ltd SUI Gambling 114,129 200.00 240.00 228.86 I 76.5 24/03 3,293,298 10,600 25 9,110 2 10,400 4,599 19 328,780,588 11,603 1,119,285 10,600 8,900 50,135 4,996,262 11,427 8,650 Super Group Ltd SPG Transp serv 315,334 10,218,429 2,910 22 2,750 9 2,833 5,505 19 287,188,672 38,418 1,057,764 2,910 2,418 128,297 2,932,632 2,699 1,680 Sycom Property Fund SYC Retail REITs 200,132 160.54 170.04 90.60 4,475,220 2,751 17 2,264 3 2,670 2,444 19 114,725,833 18,415 435,542 2,751 2,046 65,754 1,726,829 3,270 2,232 Synergy Inc Fund Ltd A L/U SGA Retail REITs 47,352 44.22 82.66 636,802 1,100 29 1,050 7 1,075 72 9 6,911,111 8,093 83,821 1,100 975 4,940 50,444 1,222 900 Synergy Inc Fund Ltd B L/U SGB Retail REITs 106,353 19.53 51.38 493,797 800 29 690 9 800 101 7 3,578,083,, 3,022, 21,106, 800 689 13,126 87,614 780 600 Taste Hldgs Ltd TAS Appar Retail 204,980 3.00 4.00 4.34 2,960,103 425 10 306 7 394 501 19 11,484,876 7,055 26,630 425 306 32,516 120,198 460 327 Tawana Resources NL TAW Diamonds & Gems 1,251,379 299,048 32 22 27 14 30 13 6 93,155 3,536 1,235 45 20 7,224 1,623 39 7 Telemaster Holdings Ltd TLM Fixed Line Tel 42,000 17.00 3.70 2.13 I 0.425 20/01 I 0.85 14/04 98,997 150 15 122 2 132 21 11 128,847 310 342 150 52 595 353 85 34 Telkom SA SOC Ltd TKG Fixed Line Tel 520,784 145.00 33,201,195 3,994 14 3,379 1 3,760 24,928 19 1,256,449,565 109,028 3,680,552 3,994 2,785 273,386 5,605,379 2,944 1,134 Tharisa plc THA Gen Mining 254,781 777,665 3,000 10 2,245 11 2,525 174 10 20,446,986 778 20,447 3,000 2,245 The Foschini Group Limited TFG Appar Retail 222,005 350.00 415.25 430.10 I 206.55 06/01 22,961,416 11,100 10 10,014 17 10,850 34,362 19 2,410,291,827 113,724 10,899,610 11,100 8,503 409,847 43,769,676 14,737 9,167 The Spar Group Ltd SPP Food Ret & Whole 173,226 377.00 365.50 412.25 8,913,713 12,636 23 12,000 17 12,350 15,848 19 1,097,608,011 40,744 4,883,159 13,500 11,089 130,016 15,337,942 13,632 10,750 The Waterberg Coal Co Ltd WCC Coal 174,933 1,047,886 192 1 119 17 141 212 18 1,425,188 1,800 2,815 250 119 1,008 1,883 275 11 Tiger Brands Ltd TBS Food Prod 191,887 522.00 235.00 760.7575 735.25 F 471.7575 13/01 12,931,696 28,157 11 26,078 3 28,114 47,267 19 3,506,441,974 54, 104 14,300,035 035 28,724 23,870 157,573 573 46,071,601 601 33,750 25,001 Times Media Group Ltd TMG Publishing 127,077 I 21.25 14/04 700,978 2,175 9 2,080 10 2,111 157 17 14,859,232 11,845 237,915 2,389 1,900 47,496 790,261 2,300 1,330 Tongaat Hulett Ltd TON Food Prod 109,967 250.00 264.50 289.00 SC 06/02 127.5 3,620,247 12,949 25 11,236 1 12,500 7,796 19 434,658,261 13,727 1,584,739 12,949 10,700 58,032 7,476,445 14,940 11,287 Torre Industrial Hldgs Ltd TOR Ind Supp 316,726 112.87 16,732,781 310 3 200 3 282 640 19 47,032,481 28,033 78,303 350 191 75,011 103,915 220 95 Total Client Services Ld TCS Comp Serv 390,135 1 16,685 263 3 1 Tower Property Fund Ltd TWR Diversified REITs 136,853 7,785,663 900 30 785 7 900 107 14 64,443,034 37,070 307,816 900 770 5,329 46,696 1,001 800 Tradehold Ltd TDH Real Estate Holding & Dev 141,234 4.25 96,683 1,395 16 1,306 2 1,390 51 14 1,320,540 1,487 20,236 1,420 1,300 5,088 48,438 1,399 750 Trans Hex Group Ltd TSX Diamonds & Gems 106,051 464,177 397 8 355 22 385 196 19 1,753,600 16,437 59,382 430 350 19,981 67,949 430 179 Transaction Capital Ltd TCP Spec Finance 582,581 9.00 20.87 CR 17/03 210 11,976,959 540 24 504 22 525 1,527 19 61,675,949 58,791 354,914 788 450 40,675 294,414 818 622 Transpaco Ltd TPC Cont & Pack 33,177 72.00 72.65 76.50 I 33.15 24/03 61,437 1,800 30 1,700 16 1,775 38 13 1,080,953 358 6,179 1,800 1,690 2,174 37,776 2,000 1,510 Trematon Capital Inv Ltd TMT Equity inv Instr 180,406 1.50 2.00 5.75 100,390 369 8 335 4 360 25 10 352,090 315 1,174 410 335 3,005 7,681 395 180 Trencor Ltd TRE Transp serv 177,068 150.00 180.25 188.70 306.00 F 134.3 31/03 3,012,457 7,569 30 6,401 1 7,454 3,138 19 205,814,530 14,614 1,009,405 7,569 6,325 44,812 3,015,745 7,989 5,310 Trustco Group Hldgs Ltd TTO Spec Finance 772,142 3.15 5.10 1.70 4,404,558 200 23 110 1 139 197 18 5,798,346 25,908 26,513 200 75 126,419 114,036 125 60 Truworths Int Ltd TRU Appar Retail 421,169 262.00 277.10 307.70 I 183.6 17/03 27,010,568 8,446 30 7,408 3 8,435 40,576 19 2,131,120,697 146,579 10,700,772 8,446 6,486 493,483 44,120,808 11,736 7,400 Tsogo Sun Holdings Ltd TSH Gambling 1,182,766 70.00 54.56 68.00 10,095,479 2,845 25 2,426 1 2,750 3,144 19 271,851,547 25,153 657,972 2,845 2,426 61,449 1,567,685 3,139 2,120 Ububele Holdings Ltd UBU Food Prod 231,754 2.00 594,884 36 3 30 17 35 36 15 198,209 2,658 832 41 23 33,480 16,309 60 28 Value Group Ltd VLE Transp serv 198,627 18.00 21.00 19.59 I 7.65087 20/01 1,528,746 540 29 510 2 535 176 19 7,946,361 6,491 33,859 580 501 8,828 52,143 790 500 Verimark Holdings Ltd VMK Broad Retail 114,272 15.00 13.50 152,198 71 22 68 30 68 24 11 105,379 1,052 721 71 65 5,791 5,103 105 65 Village Main Reef GM Co VIL Gold 1,040,697 25.50 19,220,659 48 2 39 30 40 694 19 8,425,097 131,192 59,936 57 35 361,078 263,560 130 32 Vividend Income Fund Ltd VIF Diversified REITs 268,332 33.25 50.50 50.00 14,136,414 535 23 491 1 512 1,374 19 73,079,123 42,727 210,534 535 453 105,204 535,474 599 447 Vodacom Group Ltd VOD Mobile Telecom 1,487,954 540.00 684.25 701.25 56,244,585 13,977 11 12,056 29 12,545 82,174 19 7,400,247,442 169,044 21,311,496 13,977 11,450 535,566 61,648,580 13,433 10,066 Vukile Property Fund Ltd VKE Retail REITs 509,573 0.25 121.18 0.24 127.27 22.72 2,040.66 10,783,167 1,705 23 1,600 7 1,677 5,655 19 179,868,281 42,427 680,856 1,705 1,450 154,447 2,648,500 2,075 1,443 Vunani Ltd VUN Inv serv 105,415 F 4.25 22/04 IS 22/04 21.25 358,779 215 8 150 30 150 42 13 578,016 9,591 16,596 220 150 4,198 7,037 225 119 Vunani Prop Inv Fund Ltd VPF Diversified REITs 169,122 60.97 77.25 880,332 967 2 870 17 940 64 18 8,197,853 15,915 150,942 1,000 870 31,935 321,145 1,850 900 Wescoal Holdings Ltd WSL Coal 193,687 2.55 2,657,963 209 1 198 17 200 454 19 5,388,970 10,972 22,576 250 169 48,570 65,850 259 74 Wesizwe Platinum Ltd WEZ Plat & Prec. Met 1,627,827 7,255,162 105 30 75 10 105 431 19 6,018,510 40,977 31,763 105 69 120,192 73,840 100 40 WG Wearne Ltd WEA Build Mat & Fix 276,393 1,267,605 605 16 30 12 30 12 40 12 185,245 6,893 864 16 10 9,966966 1,477 30 10 Wilderness Holdings Ltd WIL Travel & Tour 231,000 8.86 7.82 3.84 34 400 17 400 17 400 1 1 136 29 109 430 100 18,759 55,828 456 130 William Tell Holdings Ltd WTL Build Mat & Fix 125,000 9 Wilson Bayly Hlm-Ovc Ltd WBO Heavy Contr. 66,000 330.00 315.70 312.80 I 114.75 14/04 2,307,669 14,289 4 13,501 11 13,598 8,275 19 320,682,812 8,515 1,187,551 15,645 12,624 34,520 5,331,284 18,490 14,000 Winhold Ltd WNH Ind Supp 126,215 10.00 7.00 863,788 70 30 64 23 65 53 14 568,589 3,243 2,163 73 62 15,869 12,270 92 56 Woolworths Holdings Ltd WHL Broad Retail 846,993 143.50 168.30 198.90 I 85.85 10/03 115,674,594 7,425 1 6,640 15 7,150 89,239 19 8,081,422,409 379,282 25,197,641 7,599 5,840 936,798 64,406,020 8,185 5,762 Workforce Holdings Ltd WKF Bus Train & empl agen 240,000 45 381 172 49 45 331 120 50 34 York Timber Holdings Ltd YRK Forestry 331,241 520,296 390 1 340 30 340 115 14 1,878,813 8,429 31,109 395 311 32,414 115,364 500 340 ZCI Limited ZCI Nom-ferr Metals 55,678 7,150 441 1 362 4 430 5 3 30,873 76 338 499 362 283 1,485 1,050 342 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

2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS 2014 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR APRIL 2014 TRADING STATISTICS 2014 TO APRIL TRADING STATISTICS 2014 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 HARE ODE Zeder Inv Ltd ZED Spec Finance 980,188 4.00 4.00 4.00 15,818,903 448 10 414 1 438 1,960 19 67,962,140 46,737 197,361 460 377 185,624 725,028 500 299 Zurich Insurance Co SA ZSA Prop & Casual Ins 12,180 100.00 300.00 292.89 F 170 10/03 1,204 28,000 10 25,000 16 25,000 6 4 305,120 3 838 28,000 25,000 171 43,458 27,000 23,000 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 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 65 30 7,931 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 2017 LPWO04 Other Sec 44 AB LP WO05-03 May 2018 LPWO05 Other Sec 14 AB LSI RESET COMM 10MAY15 ABBB01 Other Sec 15 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 37 15 3,821 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 ABLPBCP10-28February2018 LBCP10 Inv. Prod 66 ABLPBCP4-28 MARCH 2017 LPBCP4 Inv. Prod 29 ABLPBCP6-23 MAY 2017 LPBCP6 Inv. Prod 85 ABLPBCP8-21 AUGUST 2017 LPBCP8 Other Sec 30 ABLPBCP9-NOVEMBER 2017 LPBCP9 Inv. Prod 34 ABLPWA07-23 AUGUST 2016 LPWA07 Other Sec 61 ABLSICPITOP405DEC2012 ABCT01 Other Sec 11 BIWIEFGEARGROW05SEP17 ESPIBE Inv. Prod 0 985,000 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 Arbitrage43 ZA043 Inv. Prod 50,000 BNP Paribas Arbitrage44 ZA044 Inv. Prod 50,000 BNP Paribas Arbitrage45 ZA045 Inv. Prod 100 BNP Paribas Arbitrage46 ZA046 Inv. Prod 10,000000 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 13,022 BNP Paribas Arbitrage64 ZA064 Inv. Prod 200 BNP Paribas Arbitrage66 ZA066 Inv. Prod 200 BNP Paribas Arbitrage67 ZA067 Inv. Prod 100,000 DB STUBAGLI 05MAY2014 DBAGLI Inv. Prod 15,000 IT 29/04 251.97 86 8,143 9,948 9,007 DB STUBAGLJ 05MAY2014 DBAGLJ Inv. Prod 15,000 IT 29/04 251.97 5,645,448 21,308 25 20,400 4 15 8 1,179,830,854 8,296 1,691,626 21,308 15,000 10,153 1,694,630 18,225 14,211 DB STUBAGLK 05MAY2014 DBAGLK Inv. Prod 30,000 7,384 1,495,018 20,494 17,052 52,069 8,669,555 16,835 14,755 DB STUBAGLL 05MAY2014 DBAGLL Inv. Prod 30,000 15,369 1,911,073 12,526 8,484 16,819 1,697,559 9,357 7,660 DB STUBAGLM 05NOV2014 DBAGLM Inv. Prod 15,000 DB STUBAGLN 05NOV2014 DBAGLN Inv. Prod 15,000 4,851,764 21,417 25 19,900 14 15 11 1,016,709,688 4,852 1,016,710 21,417 19,900 DB STUBAGLO 05NOV2014 DBAGLO Inv. Prod 30,000 1,501,745 21,032 7 20,000 16 9 7 314,171,455 6,450 1,320,629 21,032 20,000 DB STUBAGLP 05NOV2014 DBAGLP Inv. Prod 30,000 380,550 12,669 7 11,600 16 4 4 47,009,580 12,552 1,552,380 12,669 11,600 DB STUBNPNO 05AUG2014 DBNPNO Other Sec 10,000 DB STUBNPNQ 05AUG2014 DBNPNQ Other Sec 10,000 33,391 17,934 8 14,378 14 9 5 5,384,720 3,324 441,911 22,204 7,042 DB STUBNPNR 05AUG2014 DBNPNR Other Sec 10,000 DB STUBNPNS 05AUG2014 DBNPNS Other Sec 10,000 DB STUBNPNT 05AUG2014 DBNPNT Other Sec 10,000 DB TOP 3850CK 0002 JUL14 TOPDWK Inv. Prod 3,000 15,820 1,174 24 1,059 17 1,151 9 4 171,358 1,382 6,422 1,174 280 DB TOP 3950CL 0002 JUL14 TOPDWL Inv. Prod 3,000 1,106,501 944 29 778 15 945 28 9 9,541,749 15,976 63,917 944 48 DB TOP 4100CN 0002 AUG14 TOPDWN Inv. Prod 3,000 6,790,976 691 24 430 15 640 475 19 35,893,118 15,641 63,567 691 131 DB TOP 4400PZ 0002 OCT14 TOPDWZ Inv. Prod 3,000 13,574,049 223 15 7 24 7 829 11 13,855,538 13,574 13,856 223 7 DB TOP 4500PX 0002 AUG14 TOPDWX Inv. Prod 3,000 16,178,369 402 15 185 24 228 902 19 44,697,883 16,905 47,762 652 185 DB TOP 4600PW 0002 MAY14 TOPDWW Inv. Prod 3,000 343,000 602 7 400 24 453 16 9 1,644,730 558 3,244 1,247 400 50 603 1,205 1,205 DB TOP 4800PY 0002 AUG14 TOPDWY Inv. Prod 3,000 107,000 766 24 729 24 774 4 2 800,300 209 1,925 1,173 729 IB AGLR158CHL1:1JUL14 AGLIHL Inv. Prod 1,400 265.64 F 498.91974 29/04 250 12,322 25 12,322 25 12,544 1 1 30,805 71 6,044 12,322 6,800 76 5,868 10,700 6,369 IB AGRICOM- ONE MAY 2015 AGRIBA Other Sec 7 952,613 0 450 920,000 880,000 0 1,199 1,006,841 899,740 IB BILR210CHK1:1JUL14 BILIHK Inv. Prod 1,000 518.43 I 538.084425 26/03 8,054 13,783 9 12,806 11 13,534 5 3 1,052,663 87 11,138138 14,990 11,319 238 24, 087 12,125125 8,534 IB BTI R385CHC1:1JUL14 BTIIHC Inv. Prod 325 200 23,297 14 22,310 9 22,681 4 4 45,756 9 1,695 23,297 15,435 0 37 18,508 18,508 IB CFR 6900CHB1:1JUL14 CFRIHB Inv. Prod 2,600 70.21 5,300 3,834 24 3,493 11 3,948 4 3 191,514 18 652 4,262 3,372 62 2,204 3,961 3,311 IB EUR50 AUTOCALL3 JUL16 EURIIB Inv. Prod 45 216,612 IB EURSTXDIGITALPLUSSEP17 ESPIBC Inv. Prod 30 986,974 1 13,523 970,305 965,203 IB GRT 1133.626CVD 1:1APR22 GRTIVD Inv. Prod 11,500 1,575 6 72 1,429 1,266 2 36 2,007 1,446 IB GRT 1850CVE1:1MAR28 GRTIVE Inv. Prod 1,000 6,050 900 29 900 29 913 3 2 54,450 59 460 900 648 30 309 1,302 805 IB GRT517BC1:1 JUL19 GRTIVC Inv. Prod 997 950 2,190 9 2,190 9 2,192 1 1 20,805 1 21 2,190 2,190 1 21 4,300 2,025 IB HYP1248.022BC 1:1 JUL16 HYPIVC Inv. Prod 77 7,638 1 64 7,308 6,887 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

2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS 2014 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR APRIL 2014 TRADING STATISTICS 2014 TO APRIL TRADING STATISTICS 2014 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 HARE ODE IB IPF 468.74CVA1:1JUL16 IPFIVA Inv. Prod 150 1,112 15 179 1,263 1,154 IB IPF 678.36CVB 1:1APR22 IPFIVB Inv. Prod 100 8,470 942 24 942 24 949 1 1 79,787 65 567 942 835 IB IPL 12470CHF1:1FEB15 IPLIHF Inv. Prod 300 I 340.93025 31/03 2,940 7,700 17 6,857 3 8,184 5 4 218,652 28 1,536 7,700 3,950 IB MTN R129CHJ 1:1MAY14 MTNIHJ Inv. Prod 1,900 314.50 F 565.25 31/03 17,655 8,991 3 8,069 24 8,372 15 9 1,538,610 132 10,812 9,174 6,755 294 20,043 9,416 4,390 IB NPNR596CHB1:1JUL14 NPNIHB Inv. Prod 500 327.25 3,363 60,950 1 41,558 30 40,574 18 12 1,633,355 6 2,972 73,693 41,558 38 14,474 45,900 29,990 IB RDF 730CHG1:1JAN15 RDFIHG Inv. Prod 1,500 209,909 336 25 292 8 327 23 6 671,021 643 1,780 336 201 IB RDF R714.69CVD1:1MAY24 RDFIVD Inv. Prod 1,500 5,337 409 14 404 30 397 2 2 21,578 364 1,209 409 297 599 2,373 900 297 IB REMR145CHI1:1JUL14 REMIHI Inv. Prod 340 201.00 I 156 14/04 103,037 7,004 25 5,707 11 6,899 59 11 6,549,285 302 16,985 7,004 3,567 193 11,359 6,841 4,796 IB S&P500DIGITALPLUSSEP17 ESPIBF Inv. Prod 4 IB SBK 8850CHH1:1FEB15 SBKIHH Inv. Prod 1,000 F 255 14/04 1,126 5,797 2 5,590 23 5,585 3 3 63,558 7 291 5,797 3,036 IB SHP 10670CHG1:1FEB15 SHPIHG Inv. Prod 600 I 112.2 24/03 2,710 7,490 11 6,216 1 7,655 4 4 180,162 13 684 7,490 3,800 IB SOL R308CHJ 1:1MAY14 SOLIHJ Inv. Prod 550 1,130.50 I 680 14/04 21,539 28,500 23 26,567 8 28,265 10 7 5,920,610 82 20,316 28,758 21,413 274 51,547 22,000 12,153 IB SP500 ACCELERAT APR14 ESPIBR Inv. Prod 11 2,130,222, 0 3,414 2,276,250, 2,276,250, 0 6,998 1,872,826, 1,616,938, IB SP500 AUTOCALL5 JUL18 SPXIIE Inv. Prod 31 145,661 IB SP500 DIGITAL + SEP14 ESPIBU Inv. Prod 5 2,187,057 IB SP500 GEAR GROW JAN16 ESPIBZ Inv. Prod 4 1,506,477 0 191 1,486,132 1,454,967 0 1,897 1,407,741 1,052,318 IB SP500DIGITALPLUSAPR17 ESPIBD Inv. Prod 16 1,070,266 0 21 1,070,000 1,070,000 0 60 1,006,000 1,006,000 IB SYC 227.038CBV 1:1JUL16 SYCIVB Inv. Prod 5,000 2,573 4 92 2,297 2,283 10 241 2,586 2,244 IB SYC 540.318BC 1:1JUL19 SYCIVC Inv. Prod 56 1,000 2,026 10 2,026 10 2,373 1 1 20,260 1 20 2,026 2,026 1 22 2,250 2,050 IB TOP40 FENCEGRTH JUN14 ESPIBQ Inv. Prod 11 1,623,097 1 9,830 1,537,764 1,532,363 0 1,449 1,475,183 1,228,000 IB TOP40 GEAR GROW DEC14 ESPIBT Inv. Prod 5 1,542,486 0 533 1,513,792 1,454,222 0 1,324 1,408,251 1,266,135 IB TOP40 PROTECTOR JUN14 ESPIBS Inv. Prod 1 1,388,431 0 325 1,301,752 1,301,752 IB VKE850CVA1:1MAY24 VKEIVA Inv. Prod 400 15,650 1,069 24 987 7 1,068 3 3 161,999 57 555 1,069 880 1 9 912 823 IB VOD 8300CHA1:1MAY14 VODIHA Inv. Prod 700 701.25 32,807 5,484 14 3,847 29 4,295 44 9 1,462,455 73 3,297 5,484 3,375 331 12,196 5,251 2,246 IBEXX10930CHC1:1APR15 EXXIHC Inv. Prod 250 4,232 IBKIO29000CHD1:1APR15 KIOIHD Inv. Prod 200 10,403 IBSAB41100CHG1:1APR15 SABIHG Inv. Prod 425 77 17,654 25 17,654 25 18,863 2 1 13,594 0 14 17,654 17,654 IBTOP40GEARGROW027APR15 ESPIBV Inv. Prod 5 1,530,433 0 2,431 1,499,162 1,447,725 0 1,557 1,426,261 1,280,000 IBTOP40GEARGROW0330SEP15 ESPIBW Inv. Prod 1 7 1,377,607 25 1,369,600 25 7 4 96,032 0 203 1,377,607 1,303,200 0 1,371 1,326,233 1,150,638 IBTOP40GEARGROW0427OCT16 ESPIBA Inv. Prod 6 1,156,679 0 444 1,115,565 1,087,985 0 1,195 1,100,818 1,009,352 IBTOP40GEARGROW0430SEP15 ESPIBX Inv. Prod 0 7,370,151 IBTOP40GEARGROW0516MAR17 ESPIBB Inv. Prod 1 1,522,156 0 474 1,026,630 982,139 0 881 1,010,000 946,604 NB ABL 850CIH 1:1NOV14 ABLNIH Inv. Prod 100,000 4.25 458 24 227 991 891 NB ACL1746CIJ 1:1OCT14 ACLNIJ Inv. Prod 100,000 43,500 2,232 23 1,737 1 2,051 59 9 835,118 106 2,353 3,079 1,724 14 348 2,613 2,327 NB AGLR172.82CNH1:1OCT14 AGLNNH Inv. Prod 100,000 F 498.91974 25/03 11,671 8 833 11,857 9,421 2 181 10,338 8,527 NB ANGLO STUB 15JUL 2014 NBAGL Inv. Prod 15,000 13,543 2,915 308,700 11,243 8,575 6,175 504,291 10,484 7,180 NB ANGLO STUB 18JUL2013 NBAGL5 Inv. Prod 15,000 7,798 6,397 507,577 10,300 6,471 NB ANGLO STUB6 19JUL2013 NBAGL6 Inv. Prod 15,000 NB ANGLO STUB7 19JUL2013 NBAGL7 Inv. Prod 15,000 0 8 6,864 6,863 NB ANGLO STUB8 19JUL2013 NBAGL8 Inv. Prod 15,000 NB BGA 7875CIH 1:1OCT14 BGANIH Inv. Prod 100,000 601.80 F 399.5 07/04 7,866 20 1,286 7,600 5,327 22 1,579 8,444 5,663 NB BILR211.50CNG1:1OCT14 BILNNG Inv. Prod 100,000 I 538.084425 26/03 13,996 NB BVTR130.50CIJ 1:1OCT14 BVTNIJ Inv. Prod 100,000 I 321.3 14/04 300 16,173 3 15,766 3 16,590 4 2 47,971 7 915 16,173 11,500 0 36 14,639 13,480 NB CFR 5082CIF 1:1OCT14 CFRNIF Inv. Prod 100,000 400 5,547 3 5,547 3 5,882 1 1 22,188 1 56 5,893 5,294 0 18 5,866 5,866 NB FSR 1878CIK 1:1APR15 FSRNIK Inv. Prod 100,000 2,194 NB FSR 2492CNI 1:1OCT14 FSRNNI Inv. Prod 100,000 I 65.45 31/03 1,498 56 617 1,264 947 NB GFI 2170CIK 1:1APR15 GFINIK Inv. Prod 100,000 2,550 NB GFI 3293CNH 1:1OCT141OCT14 GFINNH Inv. Prod 100,000000 F 18.7 10/03 1,384 37 458 1,472 1,065 NB HAR 1634CIJ 1:1OCT14 HARNIJ Inv. Prod 100,000 NB IMP 8871CNG1:1OCT14 IMPNNG Inv. Prod 100,000 3,015 4,218 24 3,975 25 3,749 5 3 125,634 5 190 4,593 3,660 1 72 6,103 4,204 NB INL 3370CIG 1:1OCT14 INLNIG Inv. Prod 100,000 111.35 6,052 NB INP 4311CIK 1:1APR15 INPNIK Inv. Prod 100,000 5,398 NB INP 4371CNI1:1OCT14 INPNNI Inv. Prod 100,000 111.35 4,704 7 272 3,892 3,892 7 214 3,060 3,044 NB KIOR241.00CII1:1OCT14 KIONII Inv. Prod 100,000 F 1694.9 17/03 940 17,165 10 15,310 23 14,945 5 4 157,781 5 1,075 24,392 13,794 NB MND 8553CII 1:1APR15 MNDNII Inv. Prod 100,000 600 10,654 24 10,654 24 10,255 1 1 63,924 1 64 10,654 10,654 NB MNP 8550CII 1:1APR15 MNPNII Inv. Prod 100,000 10,212 NB MTNR109.63CIK 1:1APR15 MTNNIK Inv. Prod 100,000 11,521 NB MTNR143.25CNL 1:1OCT14 MTNNNL Inv. Prod 100,000 F 565.25 31/03 7,697 12 930 8,514 6,647 1 50 7,093 7,093 NB MTNR157.22CNM1:1JAN15 MTNNNM Inv. Prod 100,000 F 565.25 31/03 12,250 7,808 23 7,031 24 7,360 28 4 882,975 19 1,368 7,900 6,950 NB MUR 1520CIH 1:1NOV14 MURNIH Inv. Prod 100,000 1,035 40 532 1,376 1,286 NB OML 1560CIK 1:1OCT14 OMLNIK Inv. Prod 100,000 3,389 2,109 7 1,988 14 2,061 3 3 69,186 5 97 2,109 1,657 0 1 1,806 1,806 NB PIK 2065CIJ 1:1OCT14 PIKNIJ Inv. Prod 100,000 12.58 2,400 3,896 25 3,043 4 4,000 3 2 83,275 7 223 3,896 2,714 1 18 2,910 2,910 NB REI 973CIF 1:1OCT14 REINIF Inv. Prod 100,000 1,525 7 86 1,501 1,123 8 84 1,131 1,020 NB RMH 2442CIJ 1:1OCT14 RMHNIJ Inv. Prod 100,000 I 85 31/03 2,734 NB SAB R268.89CIK 89CIK 1:1APR15 SABNIK Inv. Prod 100,000 000 34,839 NB SAP 1690CIL 1:1APR15 SAPNIL Inv. Prod 100,000 1,857 NB SBK 6800CIO 1:1APR15 SBKNIO Inv. Prod 100,000 5,000 7,772 16 7,772 16 7,821 1 1 388,600 5 389 7,772 7,772 NB SBK 9000CNN 1:1OCT14 SBKNNN Inv. Prod 100,000 F 255 14/04 5,317 21 915 5,223 3,660 10 476 4,842 4,720 NB SBK 9221CNO1:1JAN15 SBKNNO Inv. Prod 100,000 F 255 14/04 6,400 5,640 22 5,530 7 5,571 16 3 358,544 7 375 5,945 5,530 NB SHF 1910CIJ 1:1OCT14 SHFNIJ Inv. Prod 100,000 68.00 326 3,419 10 3,378 16 3,617 5 2 11,030 12 384 3,665 2,702 27 628 2,562 2,023 NB SHP 8705CII 1:1OCT14 SHPNII Inv. Prod 100,000 I 112.2 24/03 9,295 1 68 6,890 6,620 NB SLM 2693CIK 1:1APR15 SLMNIK Inv. Prod 100,000 3,211 NB SOLR361.50CNG1:1OCT14 SOLNNG Inv. Prod 100,000 I 680 14/04 6,750 24,415 1 23,013 7 24,360 27 5 1,582,001 23 5,180 25,375 19,550 2 390 19,480 19,480 NB SPP 6225CIJ 1:1OCT14 SPPNIJ Inv. Prod 100,000 260.10 6,462 NB STX 2155CIK 1:1APR15 STXNIK Inv. Prod 100,000 1,221 2,457 22 2,457 22 2,464 1 1 30,000 1 30 2,457 2,457 NB STX 2869CNG 1:1OCT14 STXNNG Inv. Prod 100,000 F 8.39511 24/01 F 2.44434 24/01 IT 24/01 0.07448 906 1,655 22 1,655 22 1,660 1 1 14,994 1 15 1,655 1,655 F 0.26154 24/01 I 14.88293 10/04 IT 24/01 0.22152 I 2.62104 10/04 IT 10/04 0.24709 NB TBS R148.55CIJ 1:1OCT14 TBSNIJ Inv. Prod 100,000 F 471.75 13/01 13,752 4 472 14,074 10,261 4 601 16,600 11,801 NB TRU 4645CIH 1:1NOV14 TRUNIH Inv. Prod 100,000 I 183.6 17/03 4,039 8 237 2,960 2,957 NB VOD 6608CIF 1:1APR15 VODNIF Inv. Prod 100,000 600 6,676 30 6,475 25 6,705 2 2 39,453 1 39 6,676 6,475 NB VOD 8535CNH 1:1OCT14 VODNNH Inv. Prod 100,000 335.75 17,002 5,398 7 4,166 29 4,477 35 9 781,925 40 1,743 5,398 400 34 1,503 5,127 4,050 NB WHL 3697CII 1:1NOV14 WHLNII Inv. Prod 100,000 I 85.85 10/03 13,282 3,933 1 3,251 15 3,629 18 8 448,363 77 2,494 4,076 2,601 47 1,841 4,122 3,653 NBAGLR134.28CIJ1:1APR15 AGLNIJ Inv. Prod 100,000 16,151 NBAMSR212.CIJ 1:1OCT14 AMSNIJ Inv. Prod 100,000 2,000 30,735 2 27,759 1 30,093 9 4 596,296 7 1,829 30,735 23,779 3 635 21,556 20,362 NBANG 9575CIK 1:1APR15 ANGNIK Inv. Prod 100,000 NBAPN R139.74CIH 1:1NOV14 APNNIH Inv. Prod 100,000 2,267 14,481 2 13,600 11 14,737 16 6 324,379 13 1,908 15,640 12,126 7 945 15,173 12,870 NBBILR169.49CIK1:1APR15 BILNIK Inv. Prod 100,000 19,067 NBBVTR103.85CII1:1OCT13 BVTNII Inv. Prod 100,000 612.00 27 3,781 16,293 11,504 NBIMP 5917CIO1:1APR15 IMPNIO Inv. Prod 100,000 6,651 NBKI2EXXSTUB12 23JAN2015 NBEXX2 Inv. Prod 540,000 000 22,024 279 57,631 21,598 18,852852 NBNPNR474.25CIJ 1:1OCT14 NPNNIJ Inv. Prod 100,000 53,913 0 371 90,000 67,414 NBSOLR285.44CIK 1:1APR15 SOLNIK Inv. Prod 100,000 100 32,742 17 32,742 17 33,393 1 1 32,742 0 33 32,742 32,742 SB ABL 1100CF 5:1SEP14 ABLSBF Warrants 100,000 226,998 44 23 24 3 48 6 3 73,759 6,652 1,677 44 20 SB ABL 1180CTJ 1:1JUL14 ABLSTJ Inv. Prod 25,000 4.25 13,000 620 24 477 11 624 8 2 72,813 66 300 620 350 470 3,147 917 530 SB ABL 1350CE 6:1JUL14 ABLSBE Warrants 100,000 705,737 15 29 5 3 13 16 7 67,295 9,813 818 25 5 67 16 25 23 SB ABL 2300CTI 1:1MAY14 ABLSTI Inv. Prod 25,000 25.50 4 58 11 54 1 1,204 3,072 957 52 SB AGL R140CTH 1:1JUL14 AGLSTH Inv. Prod 25,000 265.64 F 498.91974 29/04 2,254 14,122 30 13,625 7 14,253 4 2 308,205 30 3,704 15,000 8,788 15 1,506 12,716 8,132 SB AGL R215PU 70:1SEP14 AGLSBU Warrants 100,000 566,700 8 16 6 24 6 8 5 38,536 12,135 1,841 25 6 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

2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS 2014 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR APRIL 2014 TRADING STATISTICS 2014 TO APRIL TRADING STATISTICS 2014 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 HARE ODE SB AGL R245CC 65:1JUL14 AGLSBC Warrants 100,000 1,242,850 70 24 52 29 65 24 7 739,995 9,759 4,674 77 24 1,531 387 32 22 SB AGL R250PV 80:1SEP14 AGLSBV Warrants 100,000 1,845,800 25 11 18 30 18 20 9 375,524 7,121 1,769 31 18 SB AGL R290CD 75:1SEP14 AGLSBD Warrants 100,000 2,832,562 36 24 26 29 33 48 18 828,123 11,779 3,285 45 20 SB AMS R210CTH 1:1JUL14 AMSSTH Inv. Prod 25,000 29,545 1 142 25,300 19,361 0 20 22,850 20,792 SB AMS R410PP 160:1NOV14 AMSSBP Warrants 100,000 30,000 19 16 18 17 17 2 2 5,550 84 21 29 18 SB AMS R420CI 140:1SEP14 AMSSBI Warrants 100,000 457,050 76 17 71 15 75 11 6 336,933 5,683 3,291 76 44 SB AMS R440CH 160:1MAY14 AMSSBH Warrants 100,000 315,000 42 3 32 15 40 11 6 117,650 2,245 588 42 13 10,255 2,507 43 12 SB AMS R520CJ 200:1NOV14 AMSSBJ Warrants 100,000 2,056,633 38 23 32 15 35 36 8 701,197 2,057 701 38 32 SB ANG R105CTI 1:1JUL14 ANGSTI Inv. Prod 25,000 8,559 1 88 8,832 8,832 18 797 4,924 3,132 SB ANG R140CM 60:1AUG14 ANGSBM Warrants 100,000 636,000 84 15 80 17 90 11 2 522,520 6,341 3,340 116 28 SB ANG R145CJ 55:1MAY14 ANGSBJ Warrants 100,000 1,276 83 10 83 10 80 1 1 1,059 4,212 924 116 16 9,777 2,377 61 12 SB ANG R150CTH 1:1MAY14 ANGSTH Inv. Prod 25,000 42.50 130 4,341 9 4,341 9 3,909 1 1 5,643 84 1,798 5,919 660 436 8,795 5,600 498 SB ANG R155PQ 65:1SEP14 ANGSBQ Warrants 100,000 1,211,116, 20 1 14 10 14 15 5 208,441 13,658 2,338 26 13 SB ANG R175CL 55:1MAY14 ANGSBL Warrants 100,000 27 8,883 1,485 56 5 6,398 889 35 3 SB ANG R175CN 75:1SEP14 ANGSBN Warrants 100,000 2,289,000 46 2 39 17 44 37 8 971,110 5,971 3,059 68 39 SB ANG R205CO 90:1NOV14 ANGSBO Warrants 100,000 2,080,396 35 9 27 17 30 32 13 654,935 3,082 1,010 50 27 SB BGA R140PQ 35:1NOV14 BGASBQ Warrants 100,000 50,000 27 14 27 14 24 1 1 13,500 50 14 27 27 SB BGA R145CC 25:1SEP14 BGASBC Warrants 100,000 124,500 68 15 68 15 72 5 3 84,660 2,753 787 68 19 SB BGA R150CB 25:1JUL14 BGASBB Warrants 100,000 61,000 50 7 50 7 45 2 1 30,500 4,300 788 50 11 1,640 297 23 17 SB BIL R220CTJ 1:1OCT14 BILSTJ Inv. Prod 25,000 I 538.084425 26/03 5,735 13,162 3 12,533 1 13,096 7 4 723,964 31 4,044 15,300 11,643 23 2,667 13,232 9,618 SB BIL R290PQ 70:1MAY14 BILSBQ Warrants 100,000 8 6,935 1,183 20 11 4,423 1,114 30 21 SB BIL R300PR 75:1SEP14 BILSBR Warrants 100,000 000 1,240,000 000 15 16 15 16 13 10 3 186,000 3,967 801 29 15 SB BIL R350CG 70:1SEP14 BILSBG Warrants 100,000 5,268,884 43 9 35 17 38 97 18 2,063,380 25,600 10,098 62 28 SB BTI R340CTB 1:1MAY14 BTISTB Inv. Prod 25,000 1,625.44 1,100 26,952 14 24,900 7 26,459 6 3 277,329 7 1,657 26,952 19,540 84 17,070 24,455 15,962 SB BTI R460CTC 1:1MAY15 BTISTC Inv. Prod 25,000 19,717 SB CFR 7500CTH 1:1OCT14 CFRSTH Inv. Prod 25,000 16,831 3,517 24 3,350 2 3,619 7 5 574,728 36 1,236 3,953 3,174 4 124 3,887 3,308 SB CFR 9500PS 25:1MAY14 CFRSBS Warrants 100,000 2,522 362 22 9 328 99 34 23 SB CFR R110CJ 30:1NOV14 CFRSBJ Warrants 100,000 901,500 34 17 28 8 36 12 5 289,595 902 290 34 28 SB CFR R115CI 30:1JUL14 CFRSBI Warrants 100,000 1,921,828 15 25 9 8 14 20 12 239,326 14,432 3,097 33 9 230 56 29 23 SB EXX R125CTH 1:1OCT14 EXXSTH Inv. Prod 25,000 F 275.92784 14/04 15,645 3,624 4 3,025 15 3,059 49 8 544,973 47 1,689 4,673 3,002 11 462 5,634 3,645 SB EXX R150CJ 50:1JUL14 EXXSBJ Warrants 100,000 7,029,536 24 9 15 14 16 92 10 1,194,356 11,527 2,546 43 14 424 143 36 28 SB EXX R150CK 50:1NOV14 EXXSBK Warrants 100,000 1 SB EXX R155CL 35:1NOV14 EXXSBL Warrants 100,000 403,850 45 7 34 23 37 10 5 148,706 404 149 45 34 SB FSR 2300CTH 1:1MAY14 FSRSTH Inv. Prod 25,000 69.55 I 65.45 31/03 59,730 1,623 25 1,308 1 1,574 30 8 858,416 457 4,933 1,623 790 998 10,366 1,411 719 SB FSR 2900CTI 1:1MAY15 FSRSTI Inv. Prod 25,000 1,372 SB FSR 3200PP 8:1SEP14 FSRSBP Warrants 100,000 1,039,900 17 1 8 29 8 15 8 116,391 2,031 333 30 8 SB FSR 3200PZ 8:1MAY14 FSRSBZ Warrants 100,000 482 114 27 17 219 54 30 22 SB FSR 3400CC 8:1SEP14 FSRSBC Warrants 100,000 708,000 82 30 62 1 82 13 5 471,280 1,010 579 82 32 SB FSR 3400PQ 8:1NOV14 FSRSBQ Warrants 100,000 574,500 29 11 19 30 21 15 8 139,983 575 140 29 19 SB FSR 3600CA 8:1JUL14 FSRSBA Warrants 100,000 97,631 39 3 39 3 50 2 1 38,076 10,872 2,433 39 10 586 177 33 26 SB FSR 3600CB 10:1SEP14 FSRSBB Warrants 100,000 5,000 51 30 51 30 51 1 1 2,550 5,481 1,136 51 13 SB FSR 3600CO 9:1MAY14 FSRSBO Warrants 100,000 910,040 34 8 19 2 31 17 8 240,528 15,307 2,358 34 5 11,403 2,868 43 18 SB GFI 3600CTJ 1:1JUL14 GFISTJ Inv. Prod 25,000 F 18.7 10/03 88,892 975 29 697 1 935 134 17 746,800 362 2,895 1,135 442 87 913 3,025 561 SB GFI 3600PQ 15:1SEP14 GFISBQ Warrants 100,000 370,048 23 2 15 25 16 4 4 68,108 2,489 521 32 15 SB GFI 3750CF 15:1AUG14 GFISBF Warrants 100,000 25,500 60 14 51 4 60 2 2 14,490 1,759 922 77 33 SB GFI 4400CG 18:1NOV14 GFISBG Warrants 100,000 229,950 45 14 34 7 41 8 4 90,058 230 90 45 34 SB GFI 4500CE 20:1JUL14 GFISBE Warrants 100,000 5,729,917 21 11 13 1 19 73 14 937,847 29,526 5,486 31 8 2,755 358 22 8 SB GFI 5000CTI 1:1MAY141MAY14 GFISTI Inv. Prod 25,000 F 18.7 10/03 133,150150 55 10 40 7 42 44 3 61,704 771 1,071 280 40 512 3,662 2,626 136 SB GLD R140CE 25:1MAY14 GLDSBE Warrants 100,000 6 648 135 34 17 3,643 857 35 12 SB GLD R140CF 35:1SEP14 GLDSBF Warrants 100,000 4,088,813 26 15 23 15 20 30 8 988,396 7,165 1,830 45 23 SB GND 1850CTH 1:1OCT14 GNDSTH Inv. Prod 25,000 F 14.535 24/03 4,800 794 4 758 29 734 4 2 36,653 78 723 1,118 758 39 400 1,150 861 SB HAR 2700CTI 1:1JUL14 HARSTI Inv. Prod 25,000 14,000 940 14 740 17 905 17 4 116,477 101 831 1,269 442 81 869 1,760 583 SB HAR 2700PQ 15:1SEP14 HARSBQ Warrants 100,000 907,832 17 3 11 25 11 18 8 133,753 14,418 2,297 25 10 SB HAR 3000CF 12:1AUG14 HARSBF Warrants 100,000 1,961,784 61 14 46 16 58 36 7 1,054,410 7,262 4,263 101 34 SB HAR 3150CE 15:1JUL14 HARSBE Warrants 100,000 440,334 38 10 29 22 35 10 5 135,434 3,180 977 65 19 1,677 312 30 14 SB HAR 3700CD 20:1MAY14 HARSBD Warrants 100,000 4 8,574 1,315 28 8 5,619 1,054 34 5 SB HAR 3750CG 20:1NOV14 HARSBG Warrants 100,000 637,050 28 10 21 1 27 21 9 154,126 1,346 404 45 21 SB HAR 4800CTH 1:1MAY14 HARSTH Inv. Prod 25,000 42.50 205 204 131 80 682 5,094 2,587 112 SB IMP 7000CTH 1:1JUL14 IMPSTH Inv. Prod 25,000 51.00 9,750 5,498 22 4,894 15 4,884 22 9 516,742 39 1,954 5,738 4,345 14 795 6,407 4,606 SB IMP R110PT 35:1SEP14 IMPSBT Warrants 100,000 140,000 21 25 21 25 23 1 1 29,400 6,817 1,992 38 21 SB IMP R115PS 30:1MAY14 IMPSBS Warrants 100,000 6 6,546 1,453 39 16 713 222 40 21 SB IMP R130CI 40:1SEP14 IMPSBI Warrants 100,000 1,333,252 33 2 22 29 22 30 11 353,080 6,245 1,809 43 21 SB INP 4750CTH 1:1MAY14 INPSTH Inv. Prod 25,000 233.75 4,508 4 112 3,148 2,446 44 1,097 2,925 2,046 SB KIO R280CTI 1:1JUL15 KIOSTI Inv. Prod 25,000 146 16,053 25 16,053 25 15,237 1 1 23,437 0 23 16,053 16,053 SB KIO R335CTH 1:1JUL14 KIOSTH Inv. Prod 25,000 1,708.50 F 1694.99 17/03 13,431 8,201 9 6,063 23 5,629 67 12 921,611 43 3,479 14,629 5,110 30 3,928 18,500 9,900 900 SB KIO R420CL 120:1NOV14 KIOSBL Warrants 100,000 9,335,095 35 11 23 30 23 127 14 2,737,254 9,335 2,737 35 23 SB KIO R425CJ 100:1JUL14 KIOSBJ Warrants 100,000 4,899,917 24 11 9 30 10 89 14 851,180 42,185 12,122 64 9 1,456 569 54 32 SB KIO R440CTG 1:1MAY14 KIOSTG Inv. Prod 25,000 2,771.14 F 1694.9 17/03 39,067 729 9 92 22 90 58 10 202,507 300 7,199 7,000 92 149 15,655 25,262 4,543 SB KIO R460CI 110:1MAY14 KIOSBI Warrants 100,000 1 6,437 1,372 32 6 12,949 3,068 42 14 SB MPC R135PQ 30:1MAY14 MPCSBQ Warrants 100,000 56,500 2 8 2 8 1 1 1,130 546 56 17 2 1,496 360 33 21 SB MPC R150CD 35:1SEP14 MPCSBD Warrants 100,000 54 269 121 50 35 SB MPC R170CC 35:1MAY14 MPCSBC Warrants 100,000 291,010 10 1 6 3 4 5 3 22,191 7,999 1,326 32 5 530 143 34 21 SB MTN R125CTH 1:1MAY14 MTNSTH Inv. Prod 25,000 314.50 F 565.25 31/03 9,996 9,500 3 8,450 24 8,737 17 9 899,138 123 9,903 9,738 6,950 233 16,994 9,745 5,700 SB MTN R160CTI 1:1MAY15 MTNSTI Inv. Prod 25,000 SB MTN R185PQ 50:1JUL14 MTNSBQ Warrants 100,000 400,200 8 17 4 23 6 3 2 16,016 1,938 246 26 4 943 187 33 16 SB MTN R200PR 55:1SEP14 MTNSBR Warrants 100,000 846,970 24 25 18 14 22 16 9 176,368 1,263 322 43 18 SB MTN R210CD 50:1JUL14 MTNSBD Warrants 100,000 642,403 43 14 25 24 29 16 10 210,638 23,473 5,884 43 16 86 24 33 25 SB MTN R230CE 60:1NOV14 MTNSBE Warrants 100,000 1,243,643 34 3 23 25 25 15 5 305,361 1,244 305 34 23 SB NED R220CL 50:1SEP14 NEDSBL Warrants 100,000 44,500 47 25 39 7 46 2 2 20,715 840 265 47 24 SB NPN R1025CL 240:1MAY14 NPNSBL Warrants 100,000 3,041,000 36 24 4 30 5 32 6 855,640 13,508 7,744 118 4 3,967 1,337 58 26 SB NPN R1150CN 450:1NOV14 NPNSBN Warrants 100,000 2,893,150 35 22 21 30 21 30 7 907,273 2,893 907 35 21 SB NPN R700CTH 1:1OCT14 NPNSTH Inv. Prod 25,000 3,900 52,285 2 33,804 30 32,863 27 13 1,693,223, 14 7,136 67,339 33,804 5 1,541 41,825 30,565 SB NPN R900PW 250:1MAY14 NPNSBW Warrants 100,000 6 2,373 136 10 1 910 248 40 16 SB NPNR1050PX300:1SEP14 NPNSBX Warrants 100,000 42,500,419 38 30 19 2 41 226 14 11,513,152 63,568 15,727 38 12 SB NPNR1250CM300:1SEP14 NPNSBM Warrants 100,000 57,657,221 38 1 8 30 9 626 19 12,895,911 130,524 43,721 72 8 SB OIL R985CD 250:1JUL14 OILSBD Inv. Prod 100,000 SB OML 2100CTH 1:1MAY14 OMLSTH Inv. Prod 25,000 28.09 17,968 1,476 3 1,377 22 1,454 14 9 254,214 53 712 1,505 1,077 302 3,084 1,301 811 SB OML 2600CTI 1:1MAY15 OMLSTI Inv. Prod 25,000 SB OML 3000PQ 7:1MAY14 OMLSBQ Warrants 100,000 676 99 23 6 SB OML 3250PR 8:1SEP14 OMLSBR Warrants 100,000 524,000 26 14 22 17 17 11 5 122,100 764 197 37 22 SB OML 3500CL 7:1MAY14 OMLSBL Warrants 100,000000 44,885 19 7 11 29 14 4 4 5,425 1,739 334 36 8 1,297 304 39 17 SB OML 3500CN 7:1SEP14 OMLSBN Warrants 100,000 50 SB OML 3700CM 9:1SEP14 OMLSBM Warrants 100,000 2,394,602 28 4 20 14 28 50 15 600,624 7,414 1,737 31 14 SB PPC 2300CTI 1:1OCT14 PPCSTI Inv. Prod 25,000 F 100.3 13/01 79,562 941 17 777 3 902 90 14 710,596 374 3,323 1,076 754 141 1,548 1,259 982 SB RDF 750CTD 1:1OCT14 RDFSTD Inv. Prod 25,000 35.00 489,844 302 10 253 8 284 70 13 1,357,040 964 2,523 302 210 592 1,833 386 254 SB SBK R120PP 25:1SEP14 SBKSBP Warrants 100,000 2,855,600 17 3 11 23 12 28 10 384,880 3,625 592 54 11 SB SBK R135CF 25:1MAY14 SBKSBF Warrants 100,000 17,000 27 7 27 7 21 1 1 4,590 7,441 1,401 33 6 922 279 40 23 SB SBK R140CG 30:1SEP14 SBKSBG Warrants 100,000 451,000 51 8 42 17 40 9 4 208,920 7,899 1,417 51 13 SB SBKR127.50CH25:1SEP14 SBKSBH Warrants 100,000 10,000 77 29 74 29 78 2 1 7,550 1,200 517 77 33 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

2011 PAYMENTS 2012 PAYMENTS 2013 PAYMENTS 2014 PAYMENTS (YEAR TO DATE) TRADING STATISTICS FOR APRIL 2014 TRADING STATISTICS 2014 TO APRIL TRADING STATISTICS 2014 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 HARE ODE SB SGL 1500CF 7:1SEP14 SGLSBF Warrants 100,000 178 4,829 3,017 154 36 SB SGL 1550CE 7:1MAY14 SGLSBE Warrants 100,000 164 4,275 1,030 88 12 4,917 1,271 33 11 SB SGL 1550PP 8:1SEP14 SGLSBP Warrants 100,000 624,450 10 1 6 4 5 7 4 39,532 7,016 961 29 6 SB SGL 1800CG 8:1SEP14 SGLSBG Warrants 100,000 227,098 113 15 104 7 124 7 3 251,472 13,295 9,906 119 37 SB SGL 2000CTA 1:1MAY15 SGLSTA Inv. Prod 25,000 SB SGL 2100PQ 10:1NOV14 SGLSBQ Warrants 100,000 121,790 28 4 20 24 20 8 6 29,026 122 29 28 20 SB SGL 2400CH 12:1NOV14 SGLSBH Warrants 100,000 9,229,496 58 25 46 7 57 100 16 4,884,356 24,738 11,969 58 33 SB SHF 4400CA 10:1JUL14 SHFSBA Warrants 100,000 425,700 110 3 89 11 111 8 5 402,128 1,874 1,484 115 46 104 49 56 32 SB SHP R158CF 40:1SEP14 SHPSBF Warrants 100,000 172,700 70 29 50 3 69 11 9 105,924 2,402 664 70 22 SB SHP R160PY 35:1MAY14 SHPSBY Warrants 100,000 2,836,932 16 2 4 22 5 43 12 245,452 4,399 1,006 72 4 656 175 40 19 SB SHP R170CE 45:1SEP14 SHPSBE Warrants 100,000 186,913 40 25 30 7 43 6 5 60,314 5,688 937 40 11 SB SHP R195CD 45:1JUL14 SHPSBD Warrants 100,000 4,524,548 11 10 5 1 10 42 8 399,387 36,131 2,805 16 2 1,395 225 32 14 SB SOL R350CTI 1:1SEP14 SOLSTI Inv. Prod 25,000 1,130.50 I 680 14/04 4,890 25,321 24 23,320 7 24,902 32 7 1,197,691, 14 3,174 26,500 18,440 49 8,621 19,401 15,633 SB SOL R485PV 100:1MAY14 SOLSBV Warrants 100,000 370,000 1 22 1 22 1 2 1 3,700 28,134 3,521 24 1 638 215 38 27 SB SOL R500PW 130:1SEP14 SOLSBW Warrants 100,000 7,582,000 14 7 10 25 10 41 9 933,610 11,732 1,611 31 10 SB SOL R550CI 110:1MAY14 SOLSBI Warrants 100,000 65,082 39 23 30 7 37 7 6 22,782 3,186 949 50 19 2,374 537 30 14 SB SOL R560CJ 150:1SEP14 SOLSBJ Warrants 100,000 1,994,616 46 25 39 2 46 35 11 866,614 24,749 9,220 52 30 SB SOL R560PX 160:1NOV14 SOLSBX Warrants 100,000 14,600 33 4 33 4 28 1 1 4,818 15 5 33 33 SB SOL R640CL 130:1NOV14 SOLSBL Warrants 100,000 2,078,658 32 25 28 14 32 31 12 614,069 2,079 614 32 28 SB TFG R105CF 30:1SEP14 TFGSBF Warrants 100,000 37 32 8 29 19 SB TFG R110CE 25:1JUL14 TFGSBE Warrants 100,000 61,200 29 11 15 17 24 4 4 13,288 1,163 182 29 6 SB TFG R125CD 30:1MAY14 TFGSBD Warrants 100,000000 3 4,598 133 5 1 14,514 1,945 19 5 SB TKG 2750CTA 1:1MAY15 TKGSTA Inv. Prod 25,000 1,376 SB USD 1000CJ 2:1JUL14 USDSCJ Inv. Prod 100,000 SB VESRESETSWIX4015AUG18 SBSW24 Other Sec 17 SB VOD R130CD 30:1SEP14 VODSBD Warrants 100,000 517,800 43 15 20 29 27 19 8 150,992 3,543 1,084 43 20 SB VOD R140CC 35:1SEP14 VODSBC Warrants 100,000 2,730,543 33 11 10 29 14 46 12 416,248 18,724 3,105 33 10 SB WHL 6800CE 20:1SEP14 WHLSBE Warrants 100,000 3,243,124 57 8 35 15 47 47 10 1,372,164 8,314 2,632 57 21 SB WHL 7100PQ 20:1MAY14 WHLSBQ Warrants 100,000 5,345,218 24 14 9 25 7 64 11 782,611 7,548 1,193 56 9 126 44 43 28 SB WHL 8000CC 25:1MAY14 WHLSBC Warrants 100,000 393,300 5 8 3 7 6 4 3 15,405 3,658 342 21 2 6,836 1,454 32 14 SB WHL 8000CD 20:1SEP14 WHLSBD Warrants 100,000 2,477,964 25 8 12 15 18 54 12 386,659 28,998 3,797 25 6 SBBGA R157PP66.61:1MAY14 BGASBP Warrants 100,000 6,950,826 19 1 9 9 7 68 8 975,098 8,371 1,251 48 9 132 51 52 37 SBTOP30000CI000100MAY14 TOPSBI Inv. Prod 100,000 10 13,751 29 13,751 29 13,839 1 1 1,375 41 4,593 13,751 11,035 284 19,920 10,840 5,485 SBTOP37500PP0002MAY14 TOPSBP Inv. Prod 100,000 99,000 1 30 1 30 1 2 2 990 56,136 7,245 19 1 15,762 4,135 39 16 SBTOP38000CKB0001SEP14 TOPSKB Inv. Prod 50,000 1,238,100 79 30 68 15 79 13 9 910,217 10,347 5,455 79 33 2,015 738 54 25 SBTOP39000PQ0002SEP14 TOPSBQ Inv. Prod 100,000 7,269,411 18 11 12 25 13 52 15 1,129,948 18,067 4,069 46 12 SBTOP41000PR0002NOV14 TOPSBR Inv. Prod 100,000 1,455,000 36 15 30 23 30 14 9 497,850 1,455 498 36 30 SBTOP42000PZ000100MAY14 TOPSBZ Inv. Prod 100,000 144,801 560 1 34 30 30 65 12 534,069 643 8,707 2,980 34 770 44,148 8,304 2,096 SBTOP43000CJ0002MAY14 TOPSBJ Inv. Prod 100,000 21 24,291 4,446 31 10 35,580 7,343 27 12 SBTOP44000CL0002SEP14 TOPSBL Inv. Prod 100,000 132,379 43 24 37 11 41 5 4 53,718 4,864 1,552 43 22 SBTOP45000PKW0001DEC14 TOPSKW Inv. Prod 50,000 7,524,100 36 15 23 25 25 61 19 2,146,891 12,335 4,034 51 23 SBTOP55000PS000100APR15 TOPSBS Inv. Prod 100,000 270 10,765 17 10,076 24 10,238 10 3 28,065 0 28 10,765 10,076 SBVESRESETSWX4011DEC15 SBSW14 Other Sec 3 SBVESRESETTOP4018NOV16 SBTPV7 Other Sec 49 249,695 SI GRT 1225CJ 1:1OCT14 GRTSIJ Inv. Prod 25,000 11,389 1,272 22 1,270 22 1,253 3 1 144,750 137 1,580 1,295 1,025 57 732 1,427 1,120 SI RDF 480CI 1:1SEP14 RDFSII Inv. Prod 25,000 35.00 23,451 540 24 505 3 527 8 4 123,704 188 849 540 433 492 2,595 592 501 SI SGL 370CB 1:1JUL14 SGLSIB Inv. Prod 25,000 31.45 F 63.75 17/03 3,353 2,238 22 2,111 4 2,338 2 2 72,500 11 158 2,238 906 0 2 884 857 SI SGL 650CA 1:1MAY14 1MAY14 SGLSIA Inv. Prod 25,000 31.45 F 63.75 17/03 10,000 000 1,668 1 1,658 1 2,053 4 1 166,165 165 174 2,262 262 1,840 609 1,238 5,858 3,440 225 UBS ETT SWIX TOP40 TRI UBILGA Other Sec 100 8,400 13,669 1 13,669 1 1 1 1,148,196 17 2,254 13,669 13,160 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

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 ARDOR SA (Formerly DECILLION) TE - Termination: 2014/03/31 The Issuer has failed to inject assets as required by the cash shell requirements. AFGRI (Formerly OTK HOLDINGS) SA - Scheme of Arrangement: See CP for details 03/20/2014 03/28/2014 03/31/2014 CP - Capital Payment: 710 cents per share held 03/20/2014 03/28/2014 03/31/2014 SU - Suspension: 2014/03/24 Scheme of Arrangement TE - Termination: 2014/04/01 Scheme of Arrangement AFRICAN DAWN CAPITAL (Formerly ABC CASH PLUS) (Including NilPL) RT - Rights / Claw Back Offer: 1 ADWN share for every 1 ADW share held 03/13/2014 03/20/2014 TU - Take-up Rights Offer: 1 ADW share for every 1 ADWN share held (NilPL) 03/28/2014 04/04/2014 SU - Suspension: 2014/03/31 Expiry of NPL (NilPL) TE - Termination: 2014/04/07 Expiry of NPL (NilPL) AFROCENTRIC INVESTMENT CORP TE - Termination: 2014/01/07 Conversion (PS) ALERT STEEL HOLDINGS RT - Rights / Claw Back Offer: 92.4435 AETN shares for every 100 AET shares held 02/07/2014 02/14/2014 TU - Take-up Rights Offer: 1 AET share for every 1 AETN share held (NilPL) 02/28/2014 03/07/2014 SU - Suspension: 2014/03/03 Expiry of NPL (NilPL) TE - Termination: 2014/03/10 Expiry of NPL (NilPL) ALEXANDER FORBES PREF SHARE INV (Formerly ALEXANDER FORBES PREF SHARE INVEST) (Formerly ALEXANDER FORBES PREFERENCE SHARE INVESTEMENTS) (Including PS) CP - Capital Payment: 929.577 cents per share held (PS) 04/04/2014 04/11/2014 04/14/2014 NC - Name Change: 2014/04/07 (PS) 04/04/2014 04/11/2014 04/14/2014 CV - Conversion of Instruments: 1.37045 AFP shares for every 1 AFP share held (PS) 04/04/2014 04/11/2014 04/14/2014 PV - Par Value Change: from 750 to 0.0001 cents per share on 2014/04/07 (PS) AQUARIUS PLATINUM RT - Rights / Claw Back Offer: 2 AQPN shares for every 1 AQP share held 04/17/2014 04/29/2014 B&W INSTRUMENTATION & ELECTRICAL LD (Formerly B&W INSTRUMENTATION AND ELECTRICAL) SA - Scheme of Arrangement: See CV for details 04/10/2014 04/17/2014 04/22/2014 CV - Conversion of Instruments: 1 ELR share for every 108 BWI shares held 04/10/2014 04/17/2014 04/22/2014 SU - Suspension: 2014/04/11 Scheme of Arrangement TE - Termination: 2014/04/23 Scheme of Arrangement COMBINED MOTOR HOLDINGS CR - Capital Reduction: 21.8 cents per share held 01/24/2014 01/31/2014 02/04/2014 CSG HOLDINGS (Formerly M & S HOLDINGS LIMITED ) (Formerly TOP FIX HOLDINGS) NC - Name Change: 2014/02/03 01/31/2014 02/07/2014 02/10/2014 EFFICIENT GROUP (Formerly EFFICIENT FINANCIAL HOLDINGS) (Including NilPL) PV - Par Value Change: from 0.00028 to 0 cents per share on 2014/01/16 RT - Rights / Claw Back Offer: 32.74303 EFGN shares for every 100 EFG shares held 03/13/2014 03/20/2014 TU - Take-up Rights Offer: 1 EFG share for every 1 EFGN share held (NilPL) 03/28/2014 04/04/2014 t SU - Suspension: 2014/03/31 Expiry of NPL (NilPL) TE - Termination: 2014/04/07 Expiry of NPL (NilPL) ESOR (Formerly ESORFRANKI) NC - Name Change: 2014/01/20 01/17/2014 01/24/2014 01/27/2014 FAIRVEST PROPERTY HOLDINGS PV - Par Value Change: from 2 to 0 cents per share on 2014/01/10 46 FOORD COMPASS (Formerly COMPASS PROPERTY HOLDINGS) (Including Deb) CM - Full Redemption: 905.50 cents per share held (Deb) 03/20/2014 03/28/2014 03/31/2014 CP - Capital Payment: 905.50 cents per share held (Deb) 03/20/2014 03/28/2014 03/31/2014 SU - Suspension: 2014/03/24 Full Redemption (Deb) TE - Termination: 2014/04/01 Full Redemption (Deb)

DETAILS LDT Record date Paydate/ Issue date GOLD ONE INTERNATIONAL (Formerly AFLEASE GOLD) (Formerly SUB NIGEL GOLD MINING COMPANY LD) CP - Capital Payment: 286.53 cents per share held 01/16/2014 01/23/2014 01/24/2014 SU - Suspension: 2014/01/17 Compulsory acquisition by BCX Gold Investment Holdings TE - Termination: 2014/01/30 Compulsory acquisition by BCX Gold Investment Holdings GRAND PARADE INVESTMENTS PV - Par Value Change: from 0.025 to 0 cents per share on 2014/01/17 COMPANY INFORMATION ILLOVO SUGAR (Formerly C G SMITH SUGAR) CR - Capital Reduction: 37 cents per share held 01/03/2014 01/10/2014 01/13/2014 INTU PROPERTIES PLC (Formerly CAPITAL SHOPPING CENTRES GROUP PLC) (Formerly LIBERTY INTERNATIONAL PLC) (Including NilPL) RT - Rights / Claw Back Offer: 2 ITUN shares for every 7 ITU shares held 03/28/2014 04/04/2014 SC - Scrip Dividend: 2.68956 ITU shares for every 100 ITU shares held or 104.61 cents per 04/10/2014 04/17/2014 05/20/2014 share held SC - Scrip Dividend: 0.89652 ITU shares for every 100 ITU shares held or 37.04937 cents 04/10/2014 04/17/2014 05/20/2014 per share held TU - Take-up Rights Offer: 1 ITU share for every 1 ITUN share held (NilPL) 04/10/2014 04/17/2014 SU - Suspension: 2014/04/11 Expiry of NPL (NilPL) TE - Termination: 2014/04/22 Expiry of NPL (NilPL) JASCO ELECTRONICS HOLDINGS (Including NilPL) TU - Take-up Rights Offer: 1 JSC share for every 1 JSCN share held (NilPL) 01/10/2014 01/17/2014 SU - Suspension: 2014/01/13 Expiry of NPL (NilPL) TE - Termination: 2014/01/20 Expiry of NPL (NilPL) JOHN DANIEL HOLDINGS PV - Par Value Change: from 1 to 0 cents per share on 2014/04/24 KEATON ENERGY HOLDINGS PV - Par Value Change: from 0.1 to 0 cents per share on 2014/01/02 LABAT AFRICA (Formerly ACREM HOLDINGS) PV - Par Value Change: from 1 to 0 cents per share on 2014/04/04 NEW EUROPE PROPERTY INVESTMENTS PLC (Formerly NEW EUROPE PROP INV PLC ) (Formerly NEW EUROPEAN PROP INVESTMENT PLC) SC - Scrip Dividend: 2.742 NEP shares for every 100 NEP shares held or 176.715 cents per share held 03/28/2014 04/04/2014 04/14/2014 PALABORA MINING COMPANY CP - Capital Payment: 11595 cents per share held 02/07/2014 02/14/2014 04/14/2014 SU - Suspension: 2014/02/10 Section 124(1) of the Companies Act. TE - Termination: 2014/04/15 Section 124(1) of the Companies Act. PINNACLE HOLDINGS (Formerly PINNACLE TECHNOLOGY HOLDINGS LD) NC - Name Change: 2014/01/27 01/24/2014 01/31/2014 02/03/2014 PRESCIENT (Formerly PBT GROUP) (Formerly WOOLTRU) OL - Odd Lot Offer: The payment will be made out of contributed tax capital. In terms of the 01/31/2014 02/07/2014 02/10/2014 Odd-lot Offer, each shareholder holding less than 100 ordinary shares will be offered the opportunity either to sell its shareholding ( Odd-lot Holding ) for the offer consideration or retain its Odd-lot Holding. PURPLE GROUP (Formerly AVASA HOLDINGS) (Formerly DECTRONIC) (Formerly PURPLE CAPITAL) NC - Name Change: 2014/02/17 02/14/2014 02/21/2014 02/24/2014 SU - Suspension: 2014/01/20 Expiry of NPL (NilPL) TE - Termination: 2014/01/29 Expiry of NPL (NilPL) RARE HOLDINGS RT - Rights / Claw Back Offer: 1.39762 RARN shares for every 1 RAR share held 04/10/2014 04/17/2014 RESILIENT PROPERTY INCOME FUND RT - Rights / Claw Back Offer: 6.55582 RESN shares for every 100 RES shares held 04/23/2014 05/02/2014 RCL FOODS (Formerly RAINBOW CHICKEN) MO - Minority Offer: 53.10646 RCL shares for every 100 RCL shares held. Pro-rata offer 01/24/2014 01/31/2014 02/03/2014 subscription price - R16.50 47

DETAILS LDT Record date Paydate/ Issue date COMPANY INFORMATION ROYAL BAFOKENG PLATINUM (Formerly ROYAL BAFOKENG PLATINUM) (Including NilPL) RT - Rights / Claw Back Offer: 8.2005 RBPN shares for every 100 RBP shares held 03/20/2014 03/28/2014 TU - Take-up Rights Offer: 1 RBP share for every 1 RBPN share held (NilPL) 04/04/2014 04/11/2014 SU - Suspension: 2014/04/07 Expiry of NPL (NilPL) TE - Termination: 2014/04/14 Expiry of NPL (NilPL) SABLE METALS & MINERAL (Formerly NEW CORPCAPITAL) (Formerly SABLE PLATINUM) NC - Name Change: 2014/03/03 02/28/2014 03/07/2014 03/10/2014 SACOIL HOLDINGS (Formerly MANGA-CHEM PRODUCTS) (Formerly SA MINERAL RESOURCES CORP) (Including NilPL) TU - Take-up Rights Offer: 1 SCL share for every 1 SCLN share held (NilPL) 01/17/2014 01/24/2014 SU - Suspension: 2014/01/20 Expiry of NPL (NilPL) TE - Termination: 2014/01/29 Expiry of NPL (NilPL) SEARDEL INVESTMENT CORPORATION (Including NilPL) RT - Rights / Claw Back Offer: 258.93 SRNN shares for every 100 SER shares held 03/28/2014 04/04/2014 TU - Take-up Rights Offer: 1 SRN share for every 1 SRNN share held (NilPL) 04/16/2014 04/25/2014 SU - Suspension: 2014/04/17 Expiry of NPL (NilPL) TE - Termination: 2014/04/29 Expiry of NPL (NilPL) SECUREDATA HOLDINGS (Formerly ERP.COM HOLDINGS) SA - Scheme of Arrangement: See CP for details 03/07/2014 03/14/2014 03/17/2014 CP - Capital Payment: 38 cents per share held 03/07/2014 03/14/2014 03/17/2014 SU - Suspension: 2014/03/10 Scheme of Arrangement TE - Termination: 2014/03/18 Scheme of Arrangement SOUTHERN ELECTRICITY COMPANY (Formerly BRAINWARE) TE - Termination: 2014/01/08 Scheme of Arrangement STELLA VISTA TECHNOLOGIES SA - Scheme of Arrangement: See CP for details 01/10/2014 01/17/2014 01/20/2014 CP - Capital Payment: 1 cents per share held 01/10/2014 01/17/2014 01/20/2014 SU - Suspension: 2014/01/13 Scheme of Arrangement TE - Termination: 2014/01/21 Scheme of Arrangement THE BIDVEST GROUP SC - Scrip Dividend: 1.65 BVT shares for every 100 BVT shares held or 321.3 cents per share held 04/04/2014 04/11/2014 04/14/2014 THE DON GROUP (Formerly BRISTOL INDUSTRIAL CORPORATION) SU - Suspension: 2014/02/19 Non fulfilment of acquisition agreement TONGAAT HULETT (Formerly THE TONGAAT-HULETT GROUP) SC - Scrip Dividend: 1.35344 TON shares for every 100 TON shares held or 127.5 cents per share held 01/24/2014 01/31/2014 02/06/2014 TRANSACTION CAPITAL CR - Capital Reduction: 210 cents per share held 03/07/2014 03/14/2014 03/17/2014 UBUBELE HOLDINGS (Formerly UBUBELE HOLDINGS LIMITED) RT - Rights / Claw Back Offer: 29.89413 UBUN shares for every 100 UBU shares held 03/28/2014 04/04/2014 TU - Take-up Rights Offer: 1 UBU share for every 1 UBUN share held (NilPL) 04/10/2014 04/17/2014 SU - Suspension: 2014/04/11 Expiry of NPL (NilPL) TE - Termination: 2014/04/22 Expiry of NPL (NilPL) VUNANI PROPERTY INVESTMENT FUND NC - Name Change: 2014/02/17 02/14/2014 02/21/2014 02/24/2014 CV - Conversion of Instruments: 1 VPF share for every 1 VPF share held 02/14/2014 02/21/2014 02/24/2014 PV - Par Value Change: from 0.25 to 0 cents per share on 2014/02/17 WITWATERSRAND CONS GOLD RESOURCES SA - Scheme of Arrangement: See CP for details 04/04/2014 04/11/2014 04/14/2014 CP - Capital Payment: 1155 cents per share held 04/04/2014 04/11/2014 04/14/2014 SU - Suspension: 2014/04/07 Scheme of Arrangement TE - Termination: 2014/04/15 Scheme of Arrangement Note: any concerns or queries regarding the above information should be forwarded to the JSE Corporate Actions department at corporateactions@jse.co.za. 48

NEW LISTINGS FOR THE YEAR 2014 Company Code Date No. of shares Price Capital Raised (R) Sector Camac Energy Incorporated CME 24/02/2014 1,088,396,226 0 Cap Intro Intergrated Oil & Gas Safari Investments RSA Ltd SAR 07/04/2014 170,000,000 763 Cap Intro Retail REIT Tharisa plc THA 10/04/2014 254,780,646 3800 Cap Intro General Mining Advanced Health Ltd AVL 25/04/2014 210,831,414 100 Cap Intro Health Care Providers EQUITY MARKET INFORMATION DE-LISTINGS YEAR TO DATE 2014 Company Code Date Reason Sector Southern Electricity Company SLO 08/01/2014 Scheme of Arrangement Conventional Electricity Stella Vista Technologies Limited SLL 21/01/2014 Scheme of Arrangement Electrical Components & Equipment Gold One International Limited GDO 30/01/2014 Compulsory acquisition by BCX Gold Investment Holdings Gold Mining Securedata Holdings Ltd SDH 18/03/2014 / Scheme of Arrangement Computer Services Ardor SA Ltd ARD 31/03/2014 The Issuer has failed to inject assets as required by the cash shell requirements Real Estate Holdings & Development Afgri Limited AFR 01/04/2014 Scheme of Arrangement Farming Fishing & Plantation Palabora Mining Company Ltd PAM 15/04/2014 Section 124 (1) of the Companies Act. Nonferrous Metals Witwatersrand Cons Gold WGR 15/04/2014 Scheme of Arrangement Gold Mining B&W Instrument & Elec Ltd BWI 23/04/2014 Scheme of Arrangement Heavy Construction RIGHTS ISSUES YEAR TO DATE 2014 Company Code Date Shares Price Capital (cents) Raised (R) Central Rand Gold Ltd CRD 09/01/2014 19,196,065 149 28,602,137 Jasco Electron Hldgs Ltd JSC 13/01/2014 / 72,000,000, 80 57,600,000, Sacoil Holdings Ltd SCL 20/01/2014 2,111,111,111 27 570,000,000 Alert Steel Holdings Ltd AET 03/03/2014 17,500,000 200 35,000,000 African Dawn Capital Ltd ADW 31/03/2014 508,184,155 8 40,654,732 Efficient Group Ltd EFG 31/03/2014 17,500,000 160 28,000,000 Royal Bafokeng Platinum Ltd RBP 07/04/2014 14,545,455 5500 800,000,025 Ububele Holdings Ltd UBU 11/04/2014 53,336,464 33 17,601,033 Intu Properties plc ITU 11/04/2014 278,241,628 3,228 8,981,639,752 Seardel Inv Corp -N- SRN 17/04/2014 3,125,000,000 160 5,000,000,000 49

MONTHLY BULLETIN ADVERTISING BOOKING FORM 50