Security Issues

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