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Arvida Group Limited — Share Issue/Capital Change 2017
Aug 18, 2017
66157_rns_2017-08-18_7c4868fd-3645-40ec-b07f-15e144dea6c8.pdf
Share Issue/Capital Change
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APPENDIX 7 – NZSX Listing Rules
EMAIL: [email protected]
Notice of event affecting securities
NZSX Listing Rule 7.12.2. For rights, NZSX Listing Rules 7.10.9 and 7.10.10.
Number of pages including this one (Please provide any other relevant details on additional pages)
For change to allotment, NZSX Listing Rule 7.12.1, a separate advice is required.
| Full name of Issuer |
Full name of Issuer |
Arvida Group Limited | Arvida Group Limited | Arvida Group Limited | Arvida Group Limited | Arvida Group Limited | ||||||||||||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Name of office make this noti |
r autho ce |
rised to | Authority for e.g. Director |
event, s' resolution |
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| Jeremy Nicoll | Directors' Resolutions | |||||||||||||||||||
| Contact phone number |
021 403 665 | 18 08 |
2017 | |||||||||||||||||
| Nature of event Tick as appropriate |
Bonus Issue Rights Issue |
If ticked, state whether: Capital Ca |
Taxable ll Dividend |
/ Non Taxable Con If ticked, state F |
version ull |
Rights Issue Interest Renouncable |
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| non-renouncable | change | whether: Interim Y |
ear X Special DRP Applies |
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| EXISTING securities affected by this Description of the class of securities Ordinary shares |
If more than o | ne security is affected by the eve | nt, use a separate form ISIN |
. | ||||||||||||||||
| Ordinary shares | NZARVE0001S5 | |||||||||||||||||||
| If unknown, contact NZX | ||||||||||||||||||||
| Details of securities issued pursuant t | o this event | If | more than one class of security is | to be issued, ISIN |
use a separate form for each class. If unknown, contact NZX Ratio, e.g 1 for 2 for |
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Description of the class of securities Number of Securities to be issued following event |
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| Minimum Entitlement |
If unknown, contact NZX Ratio, e.g 1 for 2 for |
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| Conversion, Maturity, Call Payable or Exercise Date Strike price per security for a Strike Price available. |
ny issue in lieu o | r d | Treatment of Fractions Tick if provide an paripassu OR explanation of the ranking |
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| ate Enter N/A if not applicable |
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| Monies Associated with Event Amount per security (does not include any excluded income) Excluded income per security (only applicable to listed PIEs) Currency In dollars a |
nd | Dividen cents |
d payable, Call payable, Exercise price, Conversion price, Redemption price, Application money. Source of Payment Supplementary Amount per security dividend in dollars and cents details - Cash at bank $0.001815 |
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| Cash at bank | ||||||||||||||||||||
| Amount per security (does not include any excluded income) |
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$0.0115 |
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| Excluded income per security (only applicable to listed PIEs) Currency |
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| N/A | ||||||||||||||||||||
| NZD | $0.001815 | |||||||||||||||||||
| Total monies | $3,844,000 | NZSX Listing Rule 7.12.7 Date Payable |
12 September, 2017 | |||||||||||||||||
| Taxation In the case of a taxable bonus issue state strike price |
Amountper Security in Dollars and cents to six | decimalplaces | ||||||||||||||||||
| Resident Withholding Tax |
Imputation Credit (Give details) $0.001150 |
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| $ | $0.001150 | s $0.004000 |
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| Foreign Withholding Tax |
FDP Credits (Give details) $ |
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| $ |
Timing (Refer Appendix 8 in the NZSX Listing Rules)
Record Date 5pm Application Date For calculation of entitlements - Also, Call Payable, Dividend / 4 September, 2017 Interest Payable, Exercise Date,Conversion Date. 12 September, 2017 Notice Date Allotment Date Entitlement letters, call notices, For the issue of new securities. conversion notices mailed Must be within 5 business days of application closing date.
OFFICE USE ONLY
Ex Date: Commence Quoting Rights: Security Code: Cease Quoting Rights 5pm: Commence Quoting New Securities: Security Code: Cease Quoting Old Security 5pm:
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