The Manager and Trustees of the Satrix Collective Investment Scheme (being Satrix Managers (RF) (Pty) Limited and Standard Chartered Bank), respectively, have declared a distribution to holders of Satrix Fini securities recorded in the register on 21 January 2022 in respect of the quarter ended 31 December 2021. An aggregate amount of 12.57000 cents per Satrix Fini security is declared with payment date on 26 January 2022. Last day to trade cum distribution is 18 January 2022 and securities trade ex-distribution date is 19 January 2022.