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General SENS Submitter Company - Index Change Advice SENS Announcement: 20260323 March 2026 Quarterly Review ICA

Release Date: 04/03/2026 17:33
Code(s): GSSC     PDF:  
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Index Change Advice – SENS Announcement: 20260323 March 2026 Quarterly Review ICA

                         FTSE/JSE Africa Index Series - Quarterly Review
                                                   04 March 2026
All constituent, sector, free float and shares in issue changes will be applied after the close of business on Friday, 20
March 2026 and will be effective Monday, 23 March 2026.

                                             Classification Changes
NO CLASSIFICATION CHANGES

                                               Free Float Changes


 Ticker     Constituent                                    ISIN                   Old FF                   New FF
 AFE        AECI                                           ZAE000000220                      99.8809                   99.8821
 ISO        ASP Isotopes Inc                               US00218A1051              18.390149947996                   25.8546
 AGL        Anglo American*                                GB00BTK05J60                      25.0152                   25.0312
 ANG        AngloGold Ashanti Plc*                         GB00BRXH2664                      68.9778                    66.833
 ANH        Anheuser-Busch InBev*                          BE0974293251                        5.2044                   5.1817
 BHG        BHP Group Ltd*                                 AU000000BHP4                        2.8271                   2.6133
 BTI        British American Tobacco PLC*                  GB0002875804                        6.8977                   6.4013
 BYI        Bytes Technology Group                         GB00BMH18Q19                      46.1489                   57.3816
 CAA        CA Sales Holdings Limited                      ZAE400000036                      61.7434                   62.1403
 CHP        Choppies Enterprises Ltd                       BW0000001072                      33.9313                   34.0192
 CLS        Clicks Group Ltd*                              ZAE000134854                      99.6147                   99.9132
 CFR        Compagnie Financiere Richemont AG*             CH0210483332                        8.7537                   8.6764
 CPR        Copper 360 Ltd                                 ZAE000318531                      26.2748                   16.0471
 CML        Coronation Fund Managers                       ZAE000047353                      72.6221                   64.6935
 DIB        Dipula Properties Ltd (B)                      ZAE000203394                        69.239                  74.4074
 EPS        Eastern Platinum                               CA2768555096                        1.4405                   1.3015
 EUZ        Europa Metals                                  AU0000090060                        9.5211                   9.3771
 GML        Gemfields Group Limited                        GG00BG0KTL52                        56.067                  47.5119
 GLN        Glencore*                                      JE00B4T3BW64                        7.4266                    7.891
 GCT        Greencoat Renewables (Johannesburg)            IE00BF2NR112                        1.1609                   1.6982
 HMN        Hammerson Plc                                  GB00BRJQ8J25                      26.4969                   27.3619
 INP        Investec PLC*                                  GB00B17BBQ50                        49.556                  48.6819
 JBL        Jubilee Metals Group                           GB0031852162                      15.4898                   15.4832
 KRO        Karooooo                                       SGXZ19450089                      17.6901                   17.8679
 KP2        Kore Potash Plc                                GB00BYP2QJ94                      18.0279                   20.9831
 LSK        Lesaka Technologies                            US64107N2062                      31.8544                   32.2658
 MSP        MAS PLC                                        VGG5884M1041                          50.6                   42.987
 MCZ        MC Mining                                      AU000000MCM9                      23.5796                   23.4646
 MKR        Montauk Renewables Inc                         US61218C1036                      31.2191                   17.2054
 MMP        Marshall Monteagle                             JE00B5N88T08                      29.1583                   28.0434
 MNP        Mondi Plc                                      GB00BMWC6P49                      41.7203                   40.6237
 NPK        Nampak                                         ZAE000322095                         94.86                  88.9962
 NTC        Netcare                                        ZAE000011953                      98.3426                   99.5821
 N91        Ninety One Plc                                 GB00BJHPLV88                      26.1101                   25.3367
 NTU        Nutun Limited                                  ZAE000167391                            84                    74.26
 OAO        Oando                                          NGOANDO00002                        0.1556                   0.1629
 OCE        Oceana Group                                   ZAE000025284                      66.3124                   75.2546
 ORN        Orion Minerals                                 AU000000ORN1                      52.6359                   50.1565
 PAN        Pan African Resources*                         GB0004300496                      70.4528                   67.5197
 PHP        Primary Health Properties                      GB00BYRJ5J14                        2.8015                   2.0376
 PRX        Prosus*                                        NL0013654783                        9.7948                   9.2182


                                                       Page 1 of 10
 QFH        Quantum Foods Holdings                      ZAE000193686                  28.1242              11.7464
 QLT        Quilter                                     GB00BNHSJN34                  49.8799              48.5691
 RFG        RFG Holdings                                ZAE000191979                     58.3              53.4661
 RMH        RMB Holdings                                ZAE000024501                       83                   97
 SAC        SA Corporate Real Estate Fund               ZAE000203238                  83.0144              76.8914
 SHC        Shaftesbury Capital                         GB00B62G9D36                   7.3974               7.9534
 SKA        Shuka Minerals (Johannesberg)               GB00BN47NP32                   3.2848               3.2428
 SRE        Sirius Real Estate Ltd                      GG00B1W3VF54                   28.516              28.7677
 S32        South32                                     AU000000S320                   5.2237               4.8798
 SDL        Southern Palladium                          AU0000220808                  38.3728               29.826
 SRI        Supermarket Income REIT                     GB00BF345X11                  11.3848               3.7757
 THA        Tharisa PLC                                 CY0103562118                    34.16              37.0741
 TGA        Thungela Resources                          ZAE000296554                  76.7612              77.0041
 VAL        Valterra Platinum Ltd*                      ZAE000013181                  88.0155              89.5855
 WBC        We Buy Cars Holdings                        ZAE000332789                  54.0457                86.07
* Top 40 Constituent

                                           Shares in Issue Changes


 Ticker          Constituent                                        ISIN           Old SII          New SII
 BTI             British American Tobacco PLC*                      GB0002875804    2,342,825,304    2,312,454,501
 BYI             Bytes Technology Group                             GB00BMH18Q19      241,068,265      236,344,134
 CMH             Combined Motor Hldgs Ltd                           ZAE000088050       74,801,998       69,424,804
 CPR             Copper 360 Ltd                                     ZAE000318531    4,194,477,699    2,950,141,706
 DTC             Datatec                                            ZAE000017745      235,352,451      238,655,530
 EMN             E Media Holdings N                                 ZAE000209524      617,531,741      596,555,644
 EQU             Equites Property Fund                              ZAE000188843      832,008,815      867,290,341
 FTH             Frontier Transport Hldgs Ltd                       ZAE000300505      292,843,393      295,905,571
 HCI             Hosken Cons Invest                                 ZAE000003257       86,420,648       84,248,701
 HYP             Hyprop Investments Ltd                             ZAE000190724      399,419,089      406,758,538
 INL             Investec Ltd*                                      ZAE000081949      295,125,806      291,478,776
 IVT             Invicta Holdings                                   ZAE000029773       88,790,154       86,628,024
 KP2             Kore Potash Plc                                    GB00BYP2QJ94    4,833,604,071    5,175,938,315
 MTU             Mantengu Limited                                   ZAE000320347      317,732,250      325,000,000
 MMP             Marshall Monteagle                                 JE00B5N88T08       35,857,512       44,821,889
 MTM             Momentum Group Limited                             ZAE000269890    1,354,230,804    1,327,237,363
 NED             Nedbank Group*                                     ZAE000004875      487,813,795      477,272,628
 OAS             Oasis Crescent Property Fund                       ZAE000074332       64,964,095       66,754,548
 OMU             Old Mutual Ltd*                                    ZAE000255360    4,712,897,403    4,654,028,435
 PBT             PBT Holdings Limited                               ZAE000256319      102,400,000      100,137,389
 PMV             Primeserv Group                                    ZAE000039277      114,522,101      113,062,100
 SAC             SA Corporate Real Estate Fund                      ZAE000203238    2,625,247,699    2,768,559,801
 SBP             Sabvest Capital                                    ZAE000283511       38,370,000       37,600,000
 SDL             Southern Palladium                                 AU0000220808      106,950,000      125,190,911
 SEA             Spear REIT                                         ZAE000228995      414,886,976      430,572,543
 SSS             Stor-Age Property REIT                             ZAE000208963      481,663,273      511,174,418
 TBS             Tiger Brands                                       ZAE000071080      175,764,426      170,118,624
 TSG             Tsogo Sun Limited                                  ZAE000273116    1,042,596,816    1,020,209,525
 VIS             Visual International Holdings Ltd                  ZAE000187407    1,109,116,671    1,203,105,684
* Top 40 Constituent




                                                     Page 2 of 10
                                       FTSE/JSE All Share (J203; J303)
Equities for inclusion to index
 Ticker   Constituent             ISIN                   SII                  Free Float      Rank
 OPA      Channel VAS Inv Ltd     VGG2072E1016           1,235,061,843           82.4000%       67



Equities for exclusion to index
 Ticker   Constituent                    ISIN                  Free Float    Rank
 SRI      Supermarket Income REIT        GB00BF345X11           11.3848%       72
 MKR      Montauk Renewables Inc         US61218C1036           31.2191%      143



                                 FTSE/JSE Top 40 (J200; J2EQ; J300)
Equities for inclusion to index
 Ticker   Constituent                   ISIN            SII                  Free Float       Rank
 PAN      Pan African Resource plc      GB0004300496    2,335,675,263              67.5197%    38

Equities for exclusion to index
 Ticker    Constituent   ISIN                    Free Float        Rank
 MNP       Mondi plc     GB00BMWC6P49               41.7203%         48



Index Reserve List
 Ticker   Constituent                          ISIN                 Free Float      Rank
 TBS      Tiger Brands Ltd                     ZAE000071080           86.0300%       39
 APN      Aspen Pharmacare Hldgs Ltd           ZAE000066692           86.6499%       40
 MTM      Momentum Group Limited               ZAE000269890           91.7000%       41
 RDF      Redefine Properties Ltd              ZAE000190252           95.4047%       43
 EXX      Exxaro Resources Ltd                 ZAE000084992           68.9785%       44



                                          FTSE/JSE Mid Cap (J201)
Equities for inclusion to index
 Ticker   Constituent      ISIN                  SII               Free Float       Rank
 MNP      Mondi plc        GB00BMWC6P49          441,412,530          40.6237%       37
 DRD      DRD Gold Ltd     ZAE000058723          864,588,711          49.3878%       51



Equities for exclusion to index
 Ticker   Constituent                   ISIN                  Free Float    Rank
 IMP      Impala Platinum Hlgs Ltd      ZAE000083648           86.4021%      17
 SSW      Sibanye Stillwater Ltd        ZAE000259701           99.0900%      22
 LHC      Life Healthc Grp Hldgs Ltd    ZAE000145892           93.3439%      80
 BYI      Bytes Technology Grp plc      GB00BMH18Q19           46.1489%      83
 SPP      The Spar Group Ltd            ZAE000058517           99.8574%      87

                                                    Page 3 of 10
                                        FTSE/JSE Small Cap (J202)
Equities for inclusion to index
 Ticker   Constituent                   ISIN              SII              Free Float    Rank
 OPA      Channel VAS Inv Ltd           VGG2072E1016      1,235,061,843     82.4000%      67
 LHC      Life Healthc Grp Hldgs Ltd    ZAE000145892      1,467,349,162     93.3439%      80
 BYI      Bytes Technology Grp plc      GB00BMH18Q19      241,068,265       57.3816%      83
 SPP      The Spar Group Ltd            ZAE000058517      192,602,355       99.8574%      87



Equities for exclusion from index
 Ticker   Constituent                  ISIN               Free Float   Rank
 DRD      DRD Gold Ltd                 ZAE000058723        49.3878%      51
 SRI      Supermarket Income REIT      GB00BF345X11        11.3848%      72
 MKR      Montauk Renewables Inc       US61218C1036        31.2191%        143



                                         FTSE/JSE Fledgling (J204)
Equities for inclusion to index
 Ticker    Constituent                  ISIN             SII              Free Float     Rank
 CCD       Cell C Holdings Ltd          ZAE000354007     340,000,000         12.6600%     107
 PWR       PowerFleet Inc               US73931J1097     133,926,955          5.4807%     113
 MKR       Montauk Renewables Inc       US61218C1036     141,015,213         17.2054%     143



Equities for exclusion from index
NO CONSTITUENT DELETIONS



                                        FTSE/JSE Large Cap (J205)
Equities for inclusion from index
 Ticker   Constituent                  ISIN            SII             Free Float    Rank
 IMP      Impala Platinum Hlgs Ltd     ZAE000083648    904,368,485      86.4021%      17
 SSW      Sibanye Stillwater Ltd       ZAE000259701    2,830,567,264      99.0900%      22



Equities for exclusion from index
 Ticker   Constituent     ISIN               Free Float      Rank
 MNP      Mondi plc       GB00BMWC6P49          41.7203%       37




                                                  Page 4 of 10
                                     FTSE/JSE Large & Mid Cap (J206)
Equities for inclusion from index
 Ticker   Constituent                  ISIN              SII                   Free Float   Rank
 DRD      DRD Gold Ltd                 ZAE000058723      864,588,711            49.3878%     51



Equities for exclusion from index
 Ticker   Constituent                    ISIN                 Free Float   Rank
 LHC      Life Healthc Grp Hldgs Ltd     ZAE000145892          93.3439%      80
 BYI      Bytes Technology Grp plc       GB00BMH18Q19          46.1489%      83
 SPP      The Spar Group Ltd             ZAE000058517          99.8574%      87



                                FTSE/JSE Shariah Top 40 (J140; J141)
Equities for inclusion to index
 Ticker   Constituent                  ISIN             SII                Free Float        Rank
 PAN      Pan African Resource plc     GB0004300496     2,335,675,263            67.5197%     38

Equities for exclusion to index
 Ticker    Constituent   ISIN                  Free Float        Rank
 MNP       Mondi plc     GB00BMWC6P49             41.7203%         48



                                     FTSE/JSE Shariah All Share (J143)
Equities for inclusion to index
NO CONSTITUENT ADDITIONS



Equities for exclusion to index
 Ticker   Constituent                    ISIN                 Free Float   Rank
 MKR      Montauk Renewables Inc         US61218C1036          31.2191%     143




                              FTSE/JSE Resource 10 (J210; J310; J3EQ)

NO CONSTITUENT ADDITIONS OR DELETIONS

Index Reserve List
 Ticker   Constituent                  ISIN             Free Float      Rank
 BHG      BHP Group Limited            AU000000BHP4       2.6133%        11


                                                  Page 5 of 10
 PAN      Pan African Resource plc     GB0004300496        67.5197%        12
 EXX      Exxaro Resources Ltd         ZAE000084992        68.9785%        13



                                FTSE/JSE Industrial 25 (J211; J311; J5EQ)
Equities for inclusion from index
 Ticker   Constituent            ISIN                 SII              Free Float      Rank
 MTH      Motus Holdings Ltd     ZAE000261913         179,131,978          86.1914%     22



Equities for exclusion from index
 Ticker   Constituent             ISIN             Free Float       Rank
 SPP      The Spar Group Ltd      ZAE000058517      99.8574%         29



Index Reserve List
 Ticker   Constituent                 ISIN                Free Float       Rank
 TKG      Telkom SA SOC Ltd           ZAE000044897         53.8510%          26
 WBC      We Buy Cars Hlds Ltd        ZAE000332789         86.0700%          27
 DTC      Datatec Ltd                 ZAE000017745         83.0900%          28



                                    FTSE/JSE Financial 15 (J212; J4EQ)

NO CONSTITUENT ADDITIONS OR DELETIONS

Index Reserve List
 Ticker   Constituent                   ISIN                Free Float     Rank
 MTM      Momentum Group Limited        ZAE000269890         91.7000%       15
 VKE      Vukile Property Fund Ltd      ZAE000180865         97.5511%       17
 FFB      Fortress Real Est Inv B       ZAE000248506         99.2776%       18



                               FTSE/JSE Financial and Industrial 30 (J213)
Equities for inclusion from index
 Ticker      Constituent            ISIN              SII             Free Float     Rank
 TBS         Tiger Brands Ltd       ZAE000071080      175,764,426       86.0300%        27

Equities for exclusion from index
 Ticker   Constituent   ISIN                Free Float      Rank
 MNP      Mondi plc     GB00BMWC6P49         41.7203%        35


Index Reserve List
 Ticker   Constituent                    ISIN                 Free Float    Rank
 MTM      Momentum Group Limited         ZAE000269890          91.7000%      29
 RDF      Redefine Properties Ltd        ZAE000190252          95.4047%         31


                                                     Page 6 of 10
 AVI      AVI Ltd                          ZAE000049433        97.3433%       33



                             FTSE/JSE Alternative Exchange Index (J232)

NO CONSTITUENT ADDITIONS OR DELETIONS

                                           FTSE/JSE ALTX 15 (J233)


NO CONSTITUENT ADDITIONS OR DELETIONS

Index Reserve List
No eligible companies remaining on reserve list

                               FTSE/JSE Preference Share Index (J251)

NO CONSTITUENT ADDITIONS OR DELETIONS

                              FTSE/JSE SA Listed Property Index (J253)

NO CONSTITUENT ADDITIONS OR DELETIONS

Index Reserve List
No eligible companies remaining on reserve list



                                FTSE/JSE Capped Property Index (J254)
Equities for inclusion from index
 Ticker   Constituent                       ISIN              SII             Free Float    Rank
 EMI      Emira Property Fund Ltd           ZAE000203063      500,862,855      38.5808%      21



Equities for exclusion from index
 Ticker   Constituent                      ISIN              Free Float     Rank
 SRI      Supermarket Income REIT          GB00BF345X11       11.3848%       12



                                           FTSE/JSE Dividend+ (J259)
Equities for inclusion to index
 Ticker    Constituent                 ISIN                 SII                Free Float    Rank
 SSW       Sibanye Stillwater Ltd      ZAE000259701         2,830,567,264       99.0900%       8
 SNT       Santam Limited              ZAE000093779         115,131,417         34.9700%      25



Equities for exclusion to index
 Ticker   Constituent               ISIN                   Free Float       Rank


                                                    Page 7 of 10
 NY1      Ninety One Limited      ZAE000282356             81.2548%       10
 GLN      Glencore plc            JE00B4T3BW64              7.4266%       42



Index Reserve List
 Ticker   Constituent                    ISIN             Free Float      Rank
 IMP      Impala Platinum Hlgs Ltd       ZAE000083648       86.4021%        28
 NPH      Northam Platinum Hldgs Ltd     ZAE000298253       89.0620%        30
 GFI      Gold Fields Ltd                ZAE000018123       98.4859%        32
 OUT      OUTsurance Group Limited       ZAE000314084       55.2000%        33
 SHP      Shoprite Holdings Ltd          ZAE000012084       79.7472%        35




                                       FTSE/JSE Value Index (J330)
Equities for inclusion to index
 Ticker   Constituent             ISIN                  SII                Free Float    Rank
 OPA      Channel VAS Inv Ltd     VGG2072E1016          1,235,061,843         82.4000%     67



Equities for exclusion to index
 Ticker   Constituent                   ISIN                 Free Float    Rank
 SRI      Supermarket Income REIT       GB00BF345X11          11.3848%       72
 MKR      Montauk Renewables Inc        US61218C1036          31.2191%      143




                                       FTSE/JSE Growth Index (J331)


Equities for inclusion to index
 Ticker   Constituent             ISIN                  SII                Free Float    Rank
 OPA      Channel VAS Inv Ltd     VGG2072E1016          1,235,061,843         82.4000%     67



Equities for exclusion to index
 Ticker   Constituent                   ISIN                 Free Float    Rank
 SRI      Supermarket Income REIT       GB00BF345X11          11.3848%       72
 MKR      Montauk Renewables Inc        US61218C1036          31.2191%      143



                                  FTSE/JSE Tradable Property (J800)
Equities for inclusion to index
 Ticker   Constituent             ISIN             SII                  Free Float    Rank
 HYP      Hyprop Inv Ltd          ZAE000190724        399,419,089          99.7199%     7
 EQU      Equites Prop Fund Ltd   ZAE000188843        832,008,815          97.3467%     8


                                                  Page 8 of 10
 FTB      Fairvest Limited B      ZAE000304796     1,974,347,227         93.8770%         9
 ATT      Attacq Limited          ZAE000177218       746,198,337         93.2767%         10



Equities for exclusion to index
 Ticker   Constituent                 ISIN                Free Float     Rank
 HMN      Hammerson plc               GB00BRJQ8J25         26.4969%       11
 SRE      Sirius Real Estate Ltd      GG00B1W3VF54         28.5160%       12
 SHC      Shaftesbury Capital plc     GB00B62G9D36           7.3974%      19
 PHP      Primary Health Prop PLC     GB00BYRJ5J14           2.8015%      23



                                     FTSE/JSE All Property (J803)


Equities for inclusion to index
 Ticker   Constituent             ISIN            SII               Free Float      Rank
 DIB      Dipula Properties Ltd   ZAE000203394    1,013,398,710      74.4074%        18
 SEA      Spear REIT Limited      ZAE000228995       414,886,976       77.9629%      20
 OCT      Octodec Invest Ltd      ZAE000192258       266,197,535       60.7444%      22



Equities for exclusion to index
 Ticker   Constituent                  ISIN                 Free Float    Rank
 SRI      Supermarket Income REIT      GB00BF345X11          11.3848%       26



                                       FTSE/JSE SA REIT (J805)
Equities for inclusion to index
 Ticker   Constituent             ISIN           SII               Free Float     Rank
 DIB      Dipula Properties Ltd   ZAE000203394   1,013,398,710      74.4074%       12
 SEA      Spear REIT Limited      ZAE000228995     414,886,976      77.9629%       14
 OCT      Octodec Invest Ltd      ZAE000192258     266,197,535      60.7444%       15



Equities for exclusion to index
NO CONSTITUENT DELETIONS




                                                 Page 9 of 10
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                                                            Page 10 of 10

Date: 04-03-2026 05:33:00
Produced by the JSE SENS Department. The SENS service is an information dissemination service administered by the JSE Limited ('JSE'). 
The JSE does not, whether expressly, tacitly or implicitly, represent, warrant or in any way guarantee the truth, accuracy or completeness of
 the information published on SENS. The JSE, their officers, employees and agents accept no liability for (or in respect of) any direct, 
indirect, incidental or consequential loss or damage of any kind or nature, howsoever arising, from the use of SENS or the use of, or reliance on,
 information disseminated through SENS.