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    SYD   AU000000SYD9

SYDNEY AIRPORT LIMITED

(SYD)
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Sydney Airport : Appendix 3G

04/21/2021 | 05:44am EDT

This appendix is not available as an online form

Please fill in and submit as a PDF announcement

+Rule 3.10.3A, 3.10.3B, 3.10.3C

Appendix 3G

Notification of issue, conversion or payment up of equity

+securities

Information or documents not available now must be given to ASX as soon as available. Information and documents given to ASX become ASX's property and may be made public.

If you are an entity incorporated outside Australia and you are issuing a new class of +securities other than CDIs, you will need to obtain and provide an International Securities Identification Number (ISIN) for that class. Further information on the requirement for the notification of an ISIN is available from the Create Online Forms page. ASX is unable to create the new ISIN for non-Australian issuers.

*Denotes minimum information required for first lodgement of this form, with exceptions provided in specific notes for certain questions. The balance of the information, where applicable, must be provided as soon as reasonably practicable by the entity.

Part 1 - Entity and announcement details

Question

Question

Answer

no

1.1

*Name of entity

Sydney Airport

We (the entity here named) give notice of the issue,

conversion or payment up of the following unquoted

+securities.

1.2

*Registration type and number

Sydney Airport Limited (ABN 18 165 056

Please supply your ABN, ARSN, ARBN, ACN or

360) and The Trust Company (Sydney

another registration type and number (if you supply

Airport) Limited (ABN 83 115 967 087) as

another registration type, please specify both the type

responsible entity for Sydney Airport Trust 1

of registration and the registration number).

(ARSN 099 597 921)

1.3

*ASX issuer code

SYD

1.4

*This announcement is

A new announcement

Tick whichever is applicable.

An update/amendment to a previous

announcement

A cancellation of a previous

announcement

1.4a

*Reason for update

Not applicable

Mandatory only if "Update" ticked in Q1.4 above. A

reason must be provided for an update.

1.4b

*Date of previous announcement to this

Not applicable

update

Mandatory only if "Update" ticked in Q1.4 above.

1.4c

*Reason for cancellation

Not applicable

Mandatory only if "Cancellation" ticked in Q1.4 above.

1.4d

*Date of previous announcement to this

Not applicable

cancellation

Mandatory only if "Cancellation" ticked in Q1.4 above.

1.5

*Date of this announcement

21st April 2021

+ See chapter 19 for defined terms

Page 1

31 January 2020

SYD Classification: Confidential

This appendix is not available as an online form

Appendix 3G

Please fill in and submit as a PDF announcement

Notification of issue, conversion or

payment up of equity +securities

Part 2 - Type of issue

Question

Question

Answer

No.

2.1

*The +securities the subject of this

+Securities issued as a result of options

notification are:

being exercised or other +convertible

Select whichever item is applicable.

+securities being converted and that are

If you wish to notify ASX of different types of issues of

not to be quoted on ASX

securities, please complete a separate Appendix 3G

Partly paid +securities that have been

for each type of issue.

fully paid up and that are not to be

quoted on ASX

+Securities issued under an +employee

incentive scheme that are not being

immediately quoted on ASX

Other [please specify]

If you have selected 'other' please provide the

circumstances of the issue here:

2.2a.1

Please state the number and type of

Not applicable

options that were exercised or other

+convertible securities that were converted

(including their ASX security code if

available)?

Answer this question if your response to Q2.1 is

"securities issued as a result of options being

exercised or other convertible securities being

converted and that are not to be quoted on ASX".

2.2a.2

And the date the options were exercised or

Not applicable

other +convertible securities were

converted:

Answer this question if your response to Q2.1 is

"securities issued as a result of options being

exercised or other convertible securities being

converted and that are not to be quoted on ASX".

Note: If this occurred over a range of dates, enter the

date the last of the options was exercised or

convertible securities was converted.

2.2b.1

Please state the number and type of partly

Not applicable

paid +securities that were fully paid up

(including their ASX security code if

available)?

Answer this question if your response to Q2.1 is

"partly paid securities that have been paid up and that

are not to be quoted on ASX".

2.2b.2

And the date the +securities were fully paid

Not applicable

up:

Answer this question if your response to Q2.1 is

"partly paid securities that have been paid up and that

are not to be quoted on ASX".

Note: If this occurred over a range of dates, enter the

date the last of the securities was fully paid up.

+ See chapter 19 for defined terms

Page 2

31 January 2020

SYD Classification: Confidential

This appendix is not available as an online form

Appendix 3G

Please fill in and submit as a PDF announcement

Notification of issue, conversion or

payment up of equity +securities

2.2c.1

Please state the number and type of

651,397 performance rights (Rights)

+securities (including their ASX security

granted under the Sydney Airport Long

code) issued under an +employee

Term Incentive Plan (LTIP), each conferring

incentive scheme that are not being

the right to receive one stapled security

immediately quoted on ASX

upon satisfaction of vesting conditions.

Answer this question if your response to Q2.1 is

"securities issued under an employee incentive

scheme that are not being immediately quoted on

ASX".

2.2c.2

*Please attach a document or provide

The terms of the Sydney Airport Long Term

details of a URL link for a document lodged

Incentive Plan can be found in the

with ASX detailing the terms of the

Remuneration Report on page 62 of the

+employee incentive scheme or a

Annual Report accessible at:

summary of the terms.

2020_Annual_Report_and_Appendix_4E.pd

Answer this question if your response to Q2.1 is

f (ctfassets.net)

"securities issued under an employee incentive

scheme that are not being immediately quoted on

ASX".

2.2c.3

*Are any of these +securities being issued

Yes

to +key management personnel (KMP) or

an +associate

Answer this question if your response to Q2.1 is

"securities issued under an employee incentive

scheme that are not being immediately quoted on

ASX".

2.2c.3.a

*Provide details of the recipients and the number of +securities issued to each of them.

Answer this question if your response to Q2.1 is "securities issued under an employee incentive scheme that are

not being immediately quoted on ASX" and your response to Q2.2c.3 is "Yes". Repeat the detail in the table

below for each KMP involved in the issue. If the securities are being issued to the KMP, repeat the name of the

KMP or insert "Same" in "Name of registered holder". If the securities are being issued to an associate of a KMP,

insert the name of the associate in "Name of registered holder".

Name of KMP

Name of registered holder

Number of +securities

Greg Botham

Greg Botham

85,366

Vanessa Orth

Vanessa Orth

89,101

Dhruv Gupta

Dhruv Gupta

67,226

2.2d.1

*The purpose(s) for which the entity is

To raise additional working capital

issuing the +securities is:

To fund the retirement of debt

Answer this question if your response to Q2.1 is

To pay for the acquisition of an asset

"Other".

You may select one or more of the items in the list.

[provide details below]

To pay for services rendered

[provide details below]

Other [provide details below]

Additional details:

+ See chapter 19 for defined terms

Page 3

31 January 2020

SYD Classification: Confidential

This appendix is not available as an online form

Appendix 3G

Please fill in and submit as a PDF announcement

Notification of issue, conversion or

payment up of equity +securities

2.2d.2

Please provide any further information

Not applicable

needed to understand the circumstances in

which you are notifying the issue of these

+securities to ASX, including (if applicable)

why the issue of the +securities has not

been previously announced to the market

in an Appendix 3B

You must answer this question if your response to

Q2.1 is "Other". If there is no other information to

provide, please answer "Not applicable" or "N/A".

2.3

*The +securities being issued are:

Additional +securities in an existing

Tick whichever is applicable

unquoted class that is already recorded

by ASX ("existing class")

New +securities in an unquoted class

that is not yet recorded by ASX ("new

class")

Part 3A - number and type of +securities being issued (existing class)

Answer the questions in this part if your response to Q2.3 is "existing class".

Question

Question

Answer

No.

3A.1

*ASX security code & description

SYDAA - performance rights

3A.2

*Number of +securities being issued

651,397

3A.3a

*Will the +securities being issued rank

Yes

equally in all respects from their issue date

with the existing issued +securities in that

class?

3A.3b

*Is the actual date from which the

Not applicable

+securities will rank equally (non-ranking

end date) known?

Answer this question if your response to Q3A.3a is

"No".

3A.3c

*Provide the actual non-ranking end date

Not applicable

Answer this question if your response to Q3A.3a is

"No" and your response to Q3A.3b is "Yes".

3A.3d

*Provide the estimated non-ranking end

Not applicable

period

Answer this question if your response to Q3A.3a is

"No" and your response to Q3A.3b is "No".

3A.3e

*Please state the extent to which the

Not applicable

+securities do not rank equally:

in relation to the next dividend,

distribution or interest payment; or

for any other reason

Answer this question if your response to Q3A.3a is

"No".

For example, the securities may not rank at all, or may

rank proportionately based on the percentage of the

period in question they have been on issue, for the

next dividend, distribution or interest payment; or they

may not be entitled to participate in some other event,

such as an entitlement issue.

+ See chapter 19 for defined terms

Page 4

31 January 2020

SYD Classification: Confidential

This appendix is not available as an online form

Appendix 3G

Please fill in and submit as a PDF announcement

Notification of issue, conversion or

payment up of equity +securities

Part 3B - number and type of +securities being issued (new class)

Answer the questions in this part if your response to Q2.3 is "new class".

Question

Question

Answer

No.

3B.1

*Security description

Performance rights

3B.2

*Security type

Ordinary fully or partly paid shares/units

Select one item from the list that best describes the

Options

securities the subject of this form. This will determine

more detailed questions to be asked about the security

+Convertible debt securities

later in this section. Select "ordinary fully or partly paid

Non-convertible +debt securities

shares/units" for stapled securities or CDIs. For interest

rate securities, please select the appropriate choice

Redeemable preference shares/units

from either "Convertible debt securities" or "Non-

convertible debt securities". Select "Other" for

Other - Performance rights

performance shares/units and performance

options/rights or if the selections available in the list do

not appropriately describe the security being issued.

3B.3

ISIN code

Not applicable

Answer this question if you are an entity incorporated

outside Australia and you are issuing a new class of

securities other than CDIs. See also the note at the top

of this form.

3B.4

*Number of +securities being issued

Not applicable

3B.5a

*Will all the +securities issued in this class

Not applicable

rank equally in all respects from the issue

date?

3B.5b

*Is the actual date from which the

Not applicable

+securities will rank equally (non-ranking

end date) known?

Answer this question if your response to Q3B.5a is

"No".

3B.5c

*Provide the actual non-ranking end date

Not applicable

Answer this question if your response to Q3B.5a is

"No" and your response to Q3B.5b is "Yes".

3B.5d

*Provide the estimated non-ranking end

Not applicable

period

Answer this question if your response to Q3B.5a is

"No" and your response to Q3B.5b is "No".

3B.5e

*Please state the extent to which the

Not applicable

+securities do not rank equally:

in relation to the next dividend,

distribution or interest payment; or

for any other reason

Answer this question if your response to Q3B.5a is

"No".

For example, the securities may not rank at all, or may

rank proportionately based on the percentage of the

period in question they have been on issue, for the

next dividend, distribution or interest payment; or they

may not be entitled to participate in some other event,

such as an entitlement issue.

+ See chapter 19 for defined terms

Page 5

31 January 2020

SYD Classification: Confidential

This is an excerpt of the original content. To continue reading it, access the original document here.

Disclaimer

Sydney Airport Holdings Limited published this content on 21 April 2021 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 21 April 2021 09:43:01 UTC.


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Sales 2021 821 M 633 M 633 M
Net income 2021 -135 M -104 M -104 M
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P/E ratio 2021 -123x
Yield 2021 0,46%
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EV / Sales 2021 29,5x
EV / Sales 2022 18,7x
Nbr of Employees -
Free-Float 99,2%
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Technical analysis trends SYDNEY AIRPORT LIMITED
Short TermMid-TermLong Term
TrendsBullishNeutralNeutral
Income Statement Evolution
Consensus
Sell
Buy
Mean consensus HOLD
Number of Analysts 13
Average target price 6,14 AUD
Last Close Price 6,04 AUD
Spread / Highest target 16,5%
Spread / Average Target 1,62%
Spread / Lowest Target -18,9%
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Geoff Culbert Chief Executive Officer
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Trevor Gerber Independent Non-Executive Chairman
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