Notification of Issue, Conversion or Payment up of Unquoted Equity Securities
Announcement Summary
For personal use only
Entity name
NATIONAL STORAGE REIT
Date of this announcement
Monday November 29, 2021
The +securities the subject of this notification are:
+Other securities issued under an +employee incentive scheme that are not intended to be quoted on ASX
Total number of +securities to be issued/transferred
Total number of | |||
ASX +security | +securities to be | ||
code | Security description | issued/transferred | Issue date |
New class - code | Performance Rights | 1,123,400 | 22/11/2021 |
to be confirmed |
Refer to next page for full details of the announcement
Notification of Issue, Conversion or Payment up of Unquoted | 1 / 7 |
Notification of Issue, Conversion or Payment up of Unquoted Equity Securities
Part 1 - Entity and announcement details
For personal use only
1.1 Name of entity
NATIONAL STORAGE REIT
We (the entity named above) give notice of the issue, conversion or payment up of the following unquoted +securities.
1.2 Registered number type | Registration number |
other | National Storage Holdings Limited ACN 166 572 845 |
National Storage Financial Services Limited ACN 600 787 | |
246 as responsible entity for National Storage Property | |
Trust ARSN 101 227 712 | |
1.3 ASX issuer code | |
NSR | |
1.4 The announcement is | |
New announcement | |
1.5 Date of this announcement | |
29/11/2021 |
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Notification of Issue, Conversion or Payment up of Unquoted Equity Securities
Part 2 - Issue details
2.1 The +securities the subject of this notification are:
+Other securities issued under an +employee incentive scheme that are not intended to be quoted on ASX
For personal use only
2.2a This notification is given in relation to an issue of +securities in a class which is not quoted on ASX and which:
does not have an existing ASX security code ("new class")
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Notification of Issue, Conversion or Payment up of Unquoted Equity Securities
Part 3C - number and type of +securities the subject of this notification (new class) where issue has not previously been notified to ASX in an Appendix 3B
use only
ASX +security code | +Security description | |
New class - code to be confirmed | Performance Rights | |
+Security type | ISIN code | |
Other |
Date the +securities the subject of this notification were issued
22/11/2021
Will all the +securities issued in this class rank equally in all respects from their issue date? Yes
Were any of the +securities issued to +key management personnel (KMP) or an +associate? Yes
personal
Provide details of the KMP or +associates being issued +securities.
Name of KMP | Name of registered holder | |
Andrew Catsoulis | Andrew Catsoulis | |
Claire Fidler | Claire Fidler | |
Stuart Owen | Stuart Owen | |
Number of +securities
719,200
130,200
274,000
For
Please provide a URL link for a document lodged with ASX setting out the material terms of the +securities being issued.
https://www.nationalstorageinvest.com.au/wp-content/uploads/2021/09/WVSNbfk1Du.pdf
Please provide a URL link for a document lodged with ASX detailing the terms of the +employee incentive scheme or a summary of the terms
https://www.nationalstorageinvest.com.au/wp-content/uploads/2021/09/WVSNbfk1Du.pdf
Any other information the entity wishes to provide about the +securities the subject of this notification
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Notification of Issue, Conversion or Payment up of Unquoted Equity Securities
Issue details
For personal use only
Number of +securities
561,700
Number of +securities
561,700
Notification of Issue, Conversion or Payment up of Unquoted | 5 / 7 |
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Disclaimer
National Storage REIT published this content on 28 November 2021 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 29 November 2021 00:09:06 UTC.