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ALVIVA HOLDINGS LIMITED - Dealings In Securities By The Alviva Holdings Limited Forfeitable Share Plan

Release Date: 25/06/2018 14:20
Code(s): AVV     PDF:  
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Dealings In Securities By The Alviva Holdings Limited Forfeitable Share Plan

Alviva Holdings Limited
(Incorporated in the Republic of South Africa)
Registration number 1986/000334/06
Share Code: AVV
ISIN: ZAE000227484
(“Alviva” or “The Company”)

DEALINGS IN SECURITIES BY THE ALVIVA HOLDINGS LIMITED FORFEITABLE SHARE PLAN
(“FSP”)

In compliance with Schedule 14.9 and paragraphs 3.63 to 3.74 of the Listings Requirements of the JSE
Limited, shareholders are hereby advised of the following dealings in Alviva securities by the FSP:

 NAME OF SCHEME                                  Alviva Holdings Limited Forfeitable Share Plan
 TYPE OF SECURITIES                              Shares
 CLASS OF SECURITIES                             Ordinary
 DATE OF THE TRANSACTION                         19 June 2018                       (1)
 CENTS PER SHARE                                 1 820.00                           (1)
 NUMBER OF SECURITIES TRANSACTED                 16 500                             (1)
 TOTAL RAND VALUE OF SECURITIES                  R 300 300.00                       (1)

 DATE OF THE TRANSACTION                         20 June 2018                        (2)
 CENTS PER SHARE                                 1 845.54                            (2)
 NUMBER OF SECURITIES TRANSACTED                 35 537                              (2)
 TOTAL RAND VALUE OF SECURITIES                  R 655 849.55                        (2)

 DATE OF THE TRANSACTION                         21 June 2018                        (3)
 CENTS PER SHARE                                 1 850.00                            (3)
 NUMBER OF SECURITIES TRANSACTED                 16 457                              (3)
 TOTAL RAND VALUE OF SECURITIES                  R 304 454.50                        (3)

 DATE OF THE TRANSACTION                         22 June 2018                        (4)
 CENTS PER SHARE                                 1 870.00                            (4)
 NUMBER OF SECURITIES TRANSACTED                 71 542                              (4)
 TOTAL RAND VALUE OF SECURITIES                  R1 337 835.40                       (4)

                                                 Purchase of securities to settle obligations of the
 NATURE OF TRANSACTIONS
                                                 FSP to participants (On-market transaction)
 NATURE OF INTEREST                              Direct Beneficial
 CLEARANCE OBTAINED                              Yes

Midrand
25 June 2018

Sponsor
Deloitte & Touche Sponsor Services (Pty) Ltd

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