Key dates & events

Expected settlement date 18 April 2019
Expected date of the allotment of Units under the Priority Offer, Broker Firm Offer and General Offer 23 April
Expected date for dispatch of holding statement 24 April 2019
Trading of units on the asx commences (on a normal settlement basis) 30 April 2019
Period in which Alignment Shares are intended to be distributed in-specie to Unitholders and convert to ordinary shares, subject to a determination by the Responsible Entity to distribute. April - June 2021