Goodman (NZ) Limited, the Manager of GMT hereby advises the NZX of the allotment of the undermentioned securities and requests these securities be listed and quoted on NZX.
(a) Class of security and ISIN; Goodman Property Trust Units, ISIN NZCPTE0001S9 (b) Number of Units issued; 6,495,240
(c) Issue price; 97.71 cents
(d) Was payment received in cash; Yes, pursuant to Distribution Reinvestment Plan
(e) Amount paid up; Not applicable
(f) Percentage of the total class issued; 0.65% of the units on issue immediately prior to the issue of these new units.
(g) Reason for issue; Distribution reinvestment in respect of the distribution payable of 1.5625 cents per unit payable on 21 June 2012
(h) Specific authority for the issue; Distribution Reinvestment Plan booklet.
(i) Terms of the issue; The units will rank equally in all respects with the existing units in Goodman Property Trust at the date on which they are issued.
(j) Total number of units in existence after the issue; 1,005,543,021 (k) Are units held as treasury stock; No
(l) Date of the issue; 21 June 2012
The number of units participating in the distribution reinvestment scheme in respect of the distribution payable on 21 June 2012 was 405,281,560 which equates to 40.4% of the units on issue at the record date of 14 June 2012.
For further information please contact:
Chief Financial Officer
Goodman (NZ) Limited
(09) 375 6077
(021) 305 316