The table below shows a history of all GPT securities issued since inception.
Securities
|
Date |
Ratio |
Number
of securities
|
Price
$
|
Amount
$
|
|
|
|
29.03.71 |
1st Issue |
6,000,000
|
1.00
|
6,000,000
|
|
|
24.03.72 |
2 for 3 |
4,000,000
|
1.00
|
4,000,000
|
|
|
16.06.72 |
1 for 2 |
5,000,000
|
1.00
|
5,000,000
|
|
|
27.04.73 |
2 for 3 |
10,000,000
|
1.10
|
11,000,000
|
|
|
30.11.73 |
1 for 5 |
5,000,000
|
1.20
|
6,000,000
|
|
|
02.09.75 |
1 for 10 |
3,000,000
|
1.00
|
3,000,000
|
|
|
28.05.76 |
1 for 5 |
6,600,000
|
1.05
|
6,930,000
|
|
|
26.10.76 |
1 for 10 |
3,960,000
|
1.10
|
4,356,000
|
|
|
21.10.77 |
1 for 5 |
8,712,000
|
1.10
|
9,583,200
|
|
|
01.06.78 |
1 for 10 |
5,228,000
|
1.15
|
6,012,200
|
|
|
01.12.78 |
1 for 5 |
11,500,000
|
1.35
|
15,525,000
|
|
|
01.06.79 |
1 for 10 |
6,900,000
|
1.25
|
8,625,000
|
|
|
03.12.79 |
1 for 7 |
10,843,000
|
1.35
|
14,638,050
|
|
|
02.06.80 |
1 for 5 |
17,348,600
|
1.28
|
22,206,208
|
|
|
15.12.80 |
1 for 10 |
10,409,160
|
1.30
|
13,531,908
|
|
|
06.07.81 |
2 for 5 |
45,800,000
|
1.56
|
71,448,000
|
|
|
Various 1981 |
Distribution Reinvestment Plan |
69,510
|
Various
|
113,996
|
|
|
04.08.82 |
1 for 5 |
15,234,463
|
1.45
|
22,089,971
|
|
|
Various 1982 |
Distribution Reinvestment Plan |
307,667
|
Various
|
462,242
|
|
|
06.05.83 |
1 for 10
(plus attached Options) |
17,404,400
|
1.35
|
23,495,940
|
|
|
09.12.83 |
1 for 10
(Exercise of Options issued 06.05.83) |
17,369,400
|
1.35
|
23,448,690
|
|
|
Various 1983 |
Distribution Reinvestment Plan |
423,800
|
Various
|
691,806
|
|
|
Various 1984 |
Distribution Reinvestment Plan |
605,034
|
Various
|
1,259,831
|
|
|
30.06.85 |
3 for 10
(Early exercise 11% Conv. Notes)* |
42,647,109
|
1.76
|
75,058,912
|
|
|
Various 1985 |
Distribution Reinvestment Plan |
1,238,234
|
Various
|
2,592,734
|
|
|
28.02.86 |
Private Placement |
22,972,973
|
2.22
|
51,000,000
|
|
|
30.09.86 |
3 for 10
(Exercise 11% Conv. Notes)* |
20,801,231
|
1.75
|
36,407,168
|
|
|
07.11.86 |
1 for 10
(plus attached Options) |
30,220,923
|
2.35
|
71,019,169
|
|
|
Various 1986 |
Distribution Reinvestment Plan |
3,940,248
|
Various
|
9,763,598
|
|
|
01.04.87 |
1 for 10
(Exercise of Options issued 7.11.86) |
29,685,457
|
2.35
|
69,760,824
|
|
|
01.04.87 |
Private Placement |
14,191,729
|
2.66
|
37,750,000
|
|
|
28.08.87 |
1 for 10
(plus attached Options) |
38,004,034
|
2.80
|
106,411,295
|
|
|
Various 1987 |
Distribution Reinvestment Plan |
6,404,714
|
Various
|
17,550,148
|
|
|
01.04.88 |
1 for 10
(Exercise of Options issued 28.08.87) |
18,139,157
|
2.80
|
50,789,640
|
|
|
01.10.88 |
Private Placement |
19,035,088
|
2.85
|
54,250,000
|
|
|
31.12.88 |
1 for 10
(Exercise 10% Conv. Notes)** |
26,821,174
|
1.76
|
47,202,750
|
|
|
Various 1988 |
Distribution Reinvestment Plan |
8,384,615
|
Various
|
22,060,213
|
|
|
Various 1989 |
Distribution Reinvestment Plan |
14,444,398
|
Various
|
35,188,720
|
|
|
Various 1990 |
Distribution Reinvestment Plan |
20,120,897
|
Various
|
50,832,355
|
|
|
Various 1991 |
Distribution Reinvestment Plan |
15,108,634
|
Various
|
35,665,434
|
|
|
Various 1992 |
Distribution Reinvestment Plan |
11,470,533
|
Various
|
24,051,658
|
|
|
Various 1993 |
Distribution Reinvestment Plan |
29,272,854
|
Various
|
71,240,329
|
|
|
Various 1994 |
Distribution Reinvestment Plan |
35,732,837
|
Various
|
82,956,574
|
|
|
31.08.94 |
Manager’s Fee Units |
1,146,459
|
2.37
|
2,717,108
|
|
|
Various 1995 |
Distribution Reinvestment Plan |
27,427,055
|
Various
|
59,647,433
|
|
|
Various 1995 |
Manager’s Fee Units |
4,639,130
|
Various
|
10,554,675
|
|
|
05.07.95 |
Exercise of Options (1996) |
2,422,018
|
2.03
|
4,922,200
|
|
|
03.10.95 |
Exercise of Options (1996) |
58,104,904
|
1.84
|
107,061,800
|
|
|
19.01.96 |
Exercise of Options (1996) |
2,614,035
|
1.89
|
4,930,800
|
|
|
19.04.96 |
Exercise of Options (1996) |
627,294
|
1.93
|
1,209,400
|
|
|
27.06.96 |
Exercise of Options (1996-1998) |
83,693,011
|
1.84
|
166,022,274
|
|
|
12.07.96 |
Exercise of Options (1996) |
678,834
|
1.77
|
1,203,900
|
|
|
15.08.96 |
GEM Acquisition |
312,978,299
|
2.25
|
704,201,173
|
|
|
03.09.96 |
GEM Acquisition |
30,636,989
|
2.24
|
68,626,855
|
|
|
Various 1996 |
Manager’s Fee Units |
3,993,662
|
Various
|
9,271,399
|
|
|
01.07.97 |
Exercise of Options (1996-1998) |
76,521,770
|
2.01
|
166,053,931
|
|
|
27.11.97 |
Private Placement |
60,000,000
|
2.50
|
148,875,000
|
|
|
03.12.97 |
Ayers Rock Purchase |
2,850,196
|
2.55
|
7,268,000
|
|
|
Various 1997 |
Manager’s Fee Units |
3,151,747
|
Various
|
7,847,684
|
|
|
Various 1998 |
Distribution Reinvestment Plan |
38,874,312
|
Various
|
107,426,512
|
|
|
Various 1998 |
Manager’s Fee Units |
1,763,679
|
Various
|
4,913,184
|
|
|
06.07.98 |
Exercise of Options (1996-1998) |
63,808,671
|
2.41
|
166,231,132
|
|
|
Various 1999 |
Distribution Reinvestment Plan |
52,208,394
|
Various
|
138,119,897
|
|
|
28.04.99 |
Manager’s Fee Units |
373,816
|
2.78
|
1,039,208
|
|
|
31.05.99 |
Private Placement |
88,709,678
|
2.48
|
218,762,401
|
|
|
Various 2000 |
Distribution Reinvestment Plan |
61,230,010
|
Various
|
154,088,103
|
|
|
15.06.00 |
Darling Park Purchase |
80,071,710
|
2.51
|
200,979,992
|
|
|
30.08.00 |
Private Placement |
76,045,627
|
2.63
|
197,500,000
|
|
|
Various 2001 |
Distribution Reinvestment Plan |
66,871,458
|
Various
|
175,265,269
|
|
|
02.01.01 |
Darling Park Purchase |
27,600,000
|
2.38
|
69,276,000
|
|
|
27.03.01 |
Darling Park Purchase |
17,660,000
|
2.7179
|
47,998,114
|
|
|
Various 2002 |
Distribution Reinvestment Plan |
76,561,979
|
Various
|
206,757,361
|
|
|
01.01.02 |
Darling Park Purchase |
6,100,000
|
2.38
|
14,518,000
|
|
|
02.04.04 |
Private Placement |
67,000,000
|
3.03
|
203,010,000
|
|
|
08.06.06 |
Security Purchase Plan |
24,813,896
|
4.03
|
100,000,000
|
|
|
Various 2007 |
Distribution Reinvestment Plan |
35,864,327
|
Various
|
165,527,515
|
|
|
23.11.2007 |
Issue of Securities |
22,219,109
|
4.60
|
102,167,909
|
|
|
Various 2008 |
Distribution Reinvestment Plan |
118,119,256
|
Various
|
333,305,018
|
|
|
11.11.08 |
Issue of Securities |
1,697,973,421
|
0.60
|
1,018,784,052
|
|
|
28.11.08 |
Issue of Securities |
551,657,181
|
0.60
|
330,994,308
|
|
|
27.05.09 |
Issue of Securities |
4,091926,477
|
0.35
|
1,432,174,267
|
|
|
16.06.09 |
Issue of Securities |
718,294,466
|
0.35
|
195,011,972.78
|
|
|
|
Exchangeable Securities
|
Date |
Ratio |
Number
of securities
|
Price
$
|
Amount
$
|
|
|
|
11.01.08 |
Opening securities on issue |
-
|
-
|
-
|
|
|
27.11.08 |
Issue of exchangeable securities |
2,500
|
240,600,000
|
240,600,000
|
|
|
|
|
|
|
|
|
*11% Convertible Notes issued on 20.03.84 at $1.76
**10% Convertible Notes issued on 09.10.85 at $1.85