Share Issue/Capital Change • Jul 6, 2021
Share Issue/Capital Change
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Announcement Summary
CLEAN SEAS SEAFOOD LIMITED
New announcement
Tuesday July 06, 2021
+Securities issued, transferred or re-classified as a result of options being exercised or other +convertible securities being converted
| ASX +security code |
Security description | Number of +securities to be quoted |
Issue date |
|---|---|---|---|
| CSS | ORDINARY FULLY PAID | 1,673,633 | 06/07/2021 |
Refer to next page for full details of the announcement

Part 1 - Entity and announcement details
CLEAN SEAS SEAFOOD LIMITED
We (the entity named above) apply for +quotation of the following +securities and agree to the matters set out in Appendix 2A of the ASX Listing Rules.
1.2 Registered number type ABN
Registration number 61094380435
1.3 ASX issuer code CSS
1.4 The announcement is
New announcement
6/7/2021

+Securities issued, transferred or re-classified as a result of options being exercised or other +convertible securities being converted
Additional +securities in a class that is already quoted on ASX ("existing class")

Part 3B - number and type of +securities to be quoted (existing class) where issue has not previously been notified to ASX in an
Appendix 3B
| Existing +securities converting into additional +securities in an existing class | |||||
|---|---|---|---|---|---|
| FROM (Existing Class) ASX +security code and description |
|||||
| CSSG : CONVERT BOND 8.00% 22-11-22 SEMI CUM RED | |||||
| TO (Existing Class) ASX +security code and description |
|||||
| CSS : ORDINARY FULLY PAID | |||||
| Please state the number of options that were exercised or other +convertible securities that were |
The first date the options were exercised or other +convertible securities were converted |
The last date the options were exercised or other +convertible securities were converted |
|||
| converted | 6/7/2021 | 6/7/2021 | |||
| 862,086 |
Is this all of the options or other +convertible securities on issue of that type (ie have all of those options now been exercised or have all of those convertible securities now been converted)? No
The right of the holder of the options or other +convertible securities to receive the +underlying securities is being satisfied by:
An issue of new +securities
The underlying securities being received by the holder are: Intended to be, but are not yet, quoted by ASX
Were the options being exercised or other +convertible securities being converted issued under an +employee incentive scheme? No
Issue date
6/7/2021
Will the +securities to be quoted rank equally in all respects from their issue date with the existing issued +securities in that class? Yes

Issue details
1,673,633
Are the +securities being issued for a cash consideration?
No
The shares are issued upon conversion of Convertible Notes
0.515100

Part 4 - Issued capital following quotation
Following the quotation of the +securities the subject of this application, the issued capital of the entity will
comprise:
(A discrepancy in these figures compared to your own may be due to a matter of timing if there is more than one application for quotation/issuance currently with ASX for processing.)
4.1 Quoted +securities (total number of each +class of +securities quoted on ASX following the +quotation of the +securities subject of this application)
| ASX +security code and description | Total number of +securities on issue |
|---|---|
| CSS : ORDINARY FULLY PAID | 160,321,692 |
| CSSG : CONVERT BOND 8.00% 22-11-22 SEMI CUM RED | 9,144,376 |
4.2 Unquoted +securities (total number of each +class of +securities issued but not quoted on ASX)
| Total number of |
|---|
| +securities on issue |
CSSAA : SHARE RIGHTS 334,250
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