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SPH Notice - Regal Partners Funds Management Pty Ltd

Substantial Holder Notice7 January 2026GTKInformation Technology

100080615/3821102.1
1

Disclosure of movement of 1% or more in substantial holding

or change in nature of relevant interest, or both

Sections 277 and 278, Financial Markets Conduct Act 2013

Note: This form must be completed in accordance with the instructions at the end of the

form.

To NZX


And


To

Gentrack Group Ltd

Relevant event being disclosed:

Change of Substantial Shareholding by 1% or more

Date of relevant event: 05 January 2026

Date this disclosure made:

07 January 2026

Date last disclosure made: 02 December 2025

Substantial product holder(s) giving disclosure

Full name(s):

Regal Partners Funds Management Pty Ltd

Summary of substantial holding

Class of quoted voting products: Ordinary Shares, ISIN: NZGTKE0002S9

Summary for Regal Partners Funds Management Pty Ltd

For this disclosure,—

(a) total number held in class: 11,008,819

(b) total in class:

112,451,475

(c) total percentage held in class: 9.790%

For last disclosure,—

(a) total number held in class:

9,130,207

(b) total in class: 108,197,139

(c) total percentage held in class: 8.438%

Details of transactions and events giving rise to relevant event

In the period from the last disclosure, as part of normal on-market trading activity Regal

Partners Funds Management Pty Limited total buy = 2,273,612 shares ($17,292,448.31 AUD),

and total sell = 395,000 shares ($2,950,650.00 AUD).




100080615/3821102.1

2

Details of relevant interests

Details for Regal Partners Funds Management Pty Ltd

Nature of relevant interest(s): Relevant interest by virtue of Regal Partners Funds

Management Pty Limited having the power to acquire or dispose of financial products in its

capacity as trustee and manager of the Regal Atlantic Absolute Return Fund, Regal Tasman

Market Neutral Fund, Regal Australian Long Short Equity Fund, Regal Australian Active

Extension Trust, Regal No. 3 Fund, Regal Australia Small Companies Fund, Regal Australia

Small Companies Trust, Regal Global Small Companies Fund, Regal Investment Fund,

Regal Partners Private Fund, Regal Emerging Companies Opportunities Fund, Regal Tactical

Opportunities Fund


For that relevant interest,—

(a) number held in class: 8,768,174

(b) percentage held in class: 7.797%

(c) current registered holder(s):

Regal Atlantic Absolute Return Fund (0.469%), (Citicorp Nominees Pty Ltd)

Regal Australia Small Companies Fund (0.002%), (J.P. Morgan Prime Nominees Ltd)

Regal Australia Small Companies Fund (0.648%), (Citicorp Nominees Pty Ltd)

Regal Australia Small Companies Fund (1.436%), (UBS Nominees Pty Ltd)

Regal Australia Small Companies Trust (0.001%), (J.P. Morgan Prime Nominees Ltd)

Regal Australia Small Companies Trust (0.148%), (HSBC Custody Nominees (Australia)

Limited A/C 2)

Regal Australia Small Companies Trust (0.342%), (Citicorp Nominees Pty Ltd)

Regal Australia Small Companies Trust (0.639%), (UBS Nominees Pty Ltd)

Regal Australian Active Extension Trust (0.173%), (HSBC Custody Nominees (Australia)

Limited A/C 2)

Regal Australian Active Extension Trust (0.177%), (UBS Nominees Pty Ltd)

Regal Australian Active Extension Trust (0.381%), (Citicorp Nominees Pty Ltd)

Regal Australian Long Short Equity Fund (0.154%), (Citicorp Nominees Pty Ltd)

Regal Emerging Companies Opportunities Fund (0.104%), (J.P. Morgan Prime Nominees

Ltd)

Regal Emerging Companies Opportunities Fund (0.153%), (Citicorp Nominees Pty Ltd)

Regal Emerging Companies Opportunities Fund (0.205%), (Merrill Lynch (Aus) Nominees

Pty Ltd)

Regal Emerging Companies Opportunities Fund (0.685%), (UBS Nominees Pty Ltd)

Regal Global Small Companies Fund (0.067%), (J.P. Morgan Prime Nominees Ltd)

Regal Global Small Companies Fund (0.126%), (Citicorp Nominees Pty Ltd)

Regal Global Small Companies Fund (0.133%), (UBS Nominees Pty Ltd)

Regal Investment Fund (0.002%), (HSBC Custody Nominees (Australia))

Regal Investment Fund (0.027%), (J.P. Morgan Prime Nominees Ltd)

Regal Investment Fund (0.103%), (Palm Beach Nominees Pty Ltd)

Regal Investment Fund (0.244%), (Citicorp Nominees Pty Ltd)

Regal Investment Fund (0.303%), (UBS Nominees Pty Ltd)

Regal No. 3 Fund (0.039%), (UBS Nominees Pty Ltd)

Regal No. 3 Fund (0.077%), (Citicorp Nominees Pty Ltd)

Regal Partners Private Fund (0.008%), (HSBC Custody Nominees (Australia) Limited A/C

2)

Regal Partners Private Fund (0.028%), (J.P. Morgan Prime Nominees Ltd)

Regal Partners Private Fund (0.094%), (Citicorp Nominees Pty Ltd)

Regal Partners Private Fund (0.240%), (UBS Nominees Pty Ltd)

Regal Tactical Opportunities Fund (0.034%), (J.P. Morgan Prime Nominees Ltd)



100080615/3821102.1

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Regal Tactical Opportunities Fund (0.044%), (Merrill Lynch (Aus) Nominees Pty Ltd)

Regal Tactical Opportunities Fund (0.044%), (Palm Beach Nominees Pty Ltd)

Regal Tactical Opportunities Fund (0.076%), (Citicorp Nominees Pty Ltd)

Regal Tactical Opportunities Fund (0.089%), (HSBC Custody Nominees (Australia))

Regal Tactical Opportunities Fund (0.181%), (UBS Nominees Pty Ltd)

Regal Tasman Market Neutral Fund (0.038%), (Citicorp Nominees Pty Ltd)

Regal Tasman Market Neutral Fund (0.084%), (UBS Nominees Pty Ltd)


Details of relevant interests

Details for

Regal Partners Funds Management Pty Limited

Nature of relevant interest(s): derivative relevant interest over quoted underlying.

For that relevant interest,—

(a) number held in class: 2,240,645

(b) percentage held in class: 1.993%

(c) current registered holder(s):

Amazon Market Neutral Fund (0.031%), (Merrill Lynch (Aus) Nominees Pty Ltd)

Amazon Market Neutral Fund (0.050%), (UBS Nominees Pty Ltd)

Amazon Market Neutral Fund (0.051%), (J.P. Morgan Prime Nominees Ltd)

Amazon Market Neutral Fund (0.178%), (Citicorp Nominees Pty Ltd)

Regal Tactical Opportunities (Offshore) Master Fund (0.071%), (Citicorp Nominees Pty Ltd)

Regal Tactical Opportunities (Offshore) Master Fund (0.145%), (J.P. Morgan Prime

Nominees Ltd)

Regal Tactical Opportunities (Offshore) Master Fund (0.198%), (UBS Nominees Pty Ltd)

Zambezi Absolute Return Fund (0.161%), (HSBC Custody Nominees (Australia))

Zambezi Absolute Return Fund (0.168%), (Merrill Lynch (Aus) Nominees Pty Ltd)

Zambezi Absolute Return Fund (0.179%), (UBS Nominees Pty Ltd)

Zambezi Absolute Return Fund (0.293%), (Citicorp Nominees Pty Ltd)

Zambezi Absolute Return Fund (0.468%), (J.P. Morgan Prime Nominees Ltd)


(d) registered holder(s) once transfers are registered: Unknown

Details of transactions and events giving rise to substantial holding

Details of the transactions or other events requiring disclosure:

(refer attached)


Additional information

Address(es) of substantial product holder(s): Regal Partners Funds Management Pty Ltd

Level 46, 1 Macquarie Place, NSW, 2000, Sydney, Australia

Contact details: Regal Partners Funds Management Pty Ltd

Ph: +61 2 8197 4333

Email:

reception@regalfm.com


Name of any other person believed to have given, or believed to be required to give, a

disclosure under the Financial Markets Conduct Act 2013 in relation to the financial

products to which this disclosure relates: N/A



100080615/3821102.1

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Certification

I, Ian Cameron certify that, to the best of my knowledge and belief, the information

contained in this disclosure is correct and that I am duly authorised to make this disclosure

by all persons for whom it is made.


____________________ Date: 07/01/2026

Ian Cameron

Director

Regal Partners Funds Management



































100080615/3821102.1

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Attachment

GTK – Disclosure of movement of 1% or more in substantial Shareholding by Regal

Partners Funds Management Pty Limited dated 05/01/2026

Details of Derivative

Parties to the Derivative

UBS Nominees Pty Ltd,

Zambezi Absolute

Return Fund

UBS Nominees Pty

Ltd, Amazon Market

Neutral Fund

UBS Nominees Pty

Ltd, Regal Tactical

Opportunities

(Offshore) Master

Fund

Notional number of

underlying financial products

201,153 56,509 222,659

Cash or physical settled Cash settled swap Cash settled swap Cash settled swap

Maturity Date 13 September 2027 17 September 2027 5 July 2028

Expiry Date n/a n/a n/a

Entry price AUD 6.64 – AUD 11.52

AUD 9.75 – AUD

10.32

AUD 8.41 – AUD

11.46

How value of derivative

determined by value of the

underlying


Mark to market


Mark to market


Mark to market











100080615/3821102.1

6

Parties to the Derivative

Merrill Lynch (Aus)

Nominees Pty Ltd,

Zambezi Absolute

Return Fund

Merrill Lynch (Aus)

Nominees Pty Ltd,

Amazon Market

Neutral Fund

Goldman Sachs

International,

London, Zambezi

Absolute Return

Fund

Notional number of

underlying financial products

188,478 35,000 180,808

Cash or physical settled Cash settled swap Cash settled swap Cash settled swap

Maturity Date 24 March 2027

25 October 2027

15 April 2027 2 March 2029

Expiry Date n/a n/a n/a

Entry price AUD 7.80 – AUD 9.60 AUD 9.75 AUD 5.71

How value of derivative

determined by value of the

underlying


Mark to market


Mark to market


Mark to market






100080615/3821102.1

7





Parties to the Derivative

J.P. Morgan Prime

Nominees Ltd,

Zambezi Absolute

Return Fund

J.P. Morgan Prime

Nominees Ltd,

Amazon Market

Neutral Fund

J.P. Morgan Prime

Nominees Ltd, Regal

Tactical Opportunities

(Offshore) Master Fund


Notional number of

underlying financial

products

526,776 57,194

163,163

Cash or physical settled Cash settled swap

Cash settled

swap

Cash settled swap

Maturity Date 1 December 2027

1 December

2026

1 September 2027

Expiry Date n/a n/a

n/a

Entry price AUD 8.11 AUD 10.58

AUD 8.79

How value of derivative

determined by value of

the underlying


Mark to market


Mark to market


Mark to market

Parties to the Derivative

Citicorp Nominees

Pty Ltd, Zambezi

Absolute Return

Fund

Citicorp Nominees

Pty Ltd, Amazon

Market Neutral Fund

Citicorp Nominees

Pty Ltd, Regal

Tactical Opportunities

(Offshore) Master

Fund

Notional number of

underlying financial

products

329,270 200,139 79,496

Cash or physical settled Cash settled swap Cash settled swap Cash settled swap

Maturity Date 4 October 2027 4 October 2027 2 October 2026

Expiry Date n/a n/a n/a

Entry price AUD 8.32 AUD 9.10 AUD 9.29

How value of derivative

determined by value of

the underlying


Mark to market


Mark to market


Mark to market

Data sourced from publicly available filings. Our datasets may not be complete. Automated analysis can produce errors. If you believe any data on this page is incorrect, please contact us at hello@nzxplorer.co.nz. For informational purposes only. Not investment advice.

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