UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 144
NOTICE OF PROPOSED SALE OF SECURITIES
PURSUANT TO RULE 144 UNDER THE SECURITIES ACT OF 1933
ATTENTION: Transmit for filing 3 copies of this form concurrently with either placing an order with a broker to execute sale or executing a sale directly with a market maker.
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SEC USE ONLY
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DOCUMENT SEQUENCE NO.
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CUSIP NUMBER
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1 (a) NAME OF ISSUER (Please type or print)
CRESUD SACIF Y A
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(b) IRS IDENT. NO.
00-0000000
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(c) S.E.C. FILE NO.
001-29190
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WORK LOCATION
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1 (d) ADDRESS OF ISSUER STREET CITY STATE ZIP CODE
MORENO 877, BUENOS AIRES, ARGENTINA, C1091AAQ
(b)
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(e) TELEPHONE NO.
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AREA COD
54
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NUMBER
11 4323-7400
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2 (a) NAME OF PERSON FOR WHOSE ACCOUNT THE SECURITIES ARE TO BE SOLD
INVERSIONES FINANCIERAS DEL SUR S.A.
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RELATIONSHIP TO ISSUER
STOCKHOLDER
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(c) ADDRESS STREET CITY STATE ZIP CODE
RUTA 8 KM 17.500 EDIFICIO @1 OFFICE 106 ZONAMÉRICA CP91600 MONTEVIDEO URUGUAY
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3 (a)
Title of the Class of Securities To Be Sold
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(b)
Name and Address of Each Broker Through Whom the Securities are to be Offered or Each Market Maker who is Acquiring the Securities
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SEC USE ONLY
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(c)
Number of Shares or Other Units To Be Sold
(See instr. 3(c))
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(d)
Aggregate Market Value
(See instr. 3(d))
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(e)
Number of Shares or Other Units Outstanding
(See instr. 3(e))
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(f)
Approximate
Date of Sale
(See instr. 3(f))
(MO. DAY YR.)
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(g)
Name of Each Securities Exchange
(See instr. 3(g))
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Broker-Dealer
File Number
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Global Depositary Shares, each representing 10 common shares
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JP MORGAN SECURITIES LLC
277 Park Avenue
New York, NY 10172
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460,500
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6,221,355 (closing price November 11th)
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50,164,280
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11 16 2015
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NASDAQ
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Title of the Class
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Date you
Acquired
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Nature of Acquisition Transaction
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Name of Person from Whom Acquired
(If gift, also give date donor acquired)
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Amount of
Securities Acquired
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Date of
Payment
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Nature of Payment
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Global Depositary Shares, each representing 10 common shares
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04/22/2010
04/23/2010
04/26/2010
04/27/2010
04/28/2010
06/13/2011
06/14/2011
06/16/2011
07/20/2011
08/03/2011
08/05/2011
08/08/2011
08/09/2011
08/10/2011
01/28/2013
02/20/2013
02/21/2013
03/07/2013
03/08/2013
04/09/2013
04/12/2013
04/15/2013
04/16/2013
09/17/2013
09/18/2013
11/20/2013
11/17/2014
11/18/2014
11/19/2014
11/20/2014
11/21/2014
12/16/2014
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Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Open Market purchases
Allocation – pro rata distribution of shares
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NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
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7,705
4,625
10,638
5,821
4,100
4,100
1,060
1,250
1,000
1,900
5,200
29,200
14,088
2,000
5,664
4,308
22,400
22,000
5,000
500
2,500
4,800
8,300
3,686
1,950
10,000
7,054
14,198
12,000
22,000
8,500
212,953
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04/27/2010
04/28/2010
04/29/2010
04/30/2010
05/03/2010
06/16/2011
06/17/2011
06/21/2011
07/25/2011
08/08/2011
08/10/2011
08/11/2011
08/12/2011
08/15/2011
01/31/2013
02/25/2013
02/26/2013
03/12/2013
03/13/2013
04/12/2013
04/17/2013
04/18/2013
04/19/2013
09/20/2013
09/23/2013
11/25/2013
11/20/2014
11/21/2014
11/24/2014
11/25/2014
11/26/2014
NA
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Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
Cash
NA
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INSTRUCTIONS: If the securities were purchased and full payment therefor was not made in cash at the time of purchase, explain in the table or in a note thereto the nature of the consideration given. If the consideration consisted of any note or other obligation, or if payment was made in installments describe the arrangement and state when the note or other obligation was discharged in full or the last installment paid.
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Name and Address of Seller
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Title of Securities Sold
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Date of Sale
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Amount of
Securities Sold
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Gross Proceeds
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INVERSIONES FINANCIERAS DEL SUR SA
Ruta 8 km17.500 Edificio @1 Of. 106, Zonamerica (91600), Uruguay
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Cresud SACIF Y A (ADR)
Cresud SACIF Y A (ADR)
Cresud SACIF Y A (ADR)
Cresud SACIF Y A (ADR)
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08/17/2015
08/18/2015
08/20/2015
10/26/2015
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8,000
22,700
1,400
9,000
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92,080
263,209
15,400
107,521
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