Satrix Collective Investment Scheme declared a distribution to holders of Satrix Resi securities recorded in the register on October 23, 2020 in respect of the quarter ended September 30, 2020. An aggregate amount of 76.58000 cents (ZAR 0.765800) per Satrix Resi security is declared. Securities trade ex-distribution is October 21, 2020, record date is October 23, 2020 and Payment date is October 26, 2020. Net distribution is 61.28192 cents per unit.