The manager and trustees have resolved to make a quarterly distribution to the holders of the FNB World Government Bond ETF securities for the quarter ended 31 July 2023. The aggregate distribution will amount to 3.29854 cents per FNB World Government Bond ETF security. Last day to trade "cum" distribution: 22 August 2023; Securities trade "ex" distribution: 23 August 2023; Record date: 25 August 2023; Payment date: 28 August 2023.