Key Dates
This timetable is relevant to Eligible Retail Shareholders.
| Key Event | Date |
|---|---|
| Announcement of the Offer | Tuesday, 26 August 2025 |
| Record Date for the Retail Entitlement Offer | (7.00pm AEST) / (9.00pm NZST) Thursday, 28 August 2025 |
| Details of Offer Booklet dispatched to Eligible Retail Shareholders | Friday, 29 August 2025 |
| Retail Entitlement Offer opens | (8.00am AEST) / (10.00am NZST) Tuesday, 2 September 2025 |
| Retail Entitlement Offer closes | (5.00pm AEST) / (7.00pm NZST) Thursday, 11 September 2025 |
| Announcement of results of Retail Entitlement Offer | Tuesday, 16 September 2025 |
| Retail Shortfall Bookbuild (for retail Entitlements not taken up by Shareholders and Entitlements of Ineligible Retail Shareholders) | Tuesday, 16 September 2025 |
| Announcement of the results of Retail Shortfall Bookbuild | Wednesday, 17 September 2025 |
| ASX settlement of New Shares issued under the Retail Entitlement Offer | Friday, 19 September 2025 |
| ASX allotment and trading of New Shares issued under the Retail Entitlement Offer on the ASX | Monday, 22 September 2025 |
| NZX settlement, allotment and trading of New Shares issued under the Retail Entitlement Offer on the NZX | Monday, 22 September 2025 |
| Holding statements in respect of New Shares issued under the Retail Entitlement Offer dispatched | Monday, 22 September 2025 |
| Retail premium expected to be paid to Eligible Retail Shareholders who elected not to take-up their Entitlements and Ineligible Retail Shareholders (if any) | On or about Monday, 29 September 2025 |
These dates (except where historical) are indicative only and are subject to change without notice. All times and dates refer to the time and date in Australian Eastern Standard Time (AEST). Subject to applicable laws and the ASX Listing Rules, Vulcan has the right to amend the timetable with the consent of the underwriters.