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Benz Mining Corp. — Major Shareholding Notification 2021
Oct 4, 2021
47017_rns_2021-10-04_41829855-92ab-4ba5-bfb6-0b2307bac7ac.pdf
Major Shareholding Notification
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Statement of CDIs on Issue
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Part 1 - Entity and announcement details
1.1 Name of +Entity
BENZ MINING CORP.
1.2 Registered Number Type
ARBN
Registration Number 642228804
1.3 ASX issuer code
BNZ
1.4 The announcement is
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New announcement
1.5 Date of this announcement
5/10/2021
Statement of CDIs on Issue
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Statement of CDIs on Issue
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Statement of CDIs on Issue
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Statement of CDIs on Issue
Part 2 - Details of CDIs and other securities on issue
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2.1 Statement for month and year September-2021 2.2a Number and class of all ASX-quoted CDIs on issue ASX +Security Code and Description CDI Ratio BNZ : CHESS DEPOSITARY INTERESTS 1:1 1:1 Total number of CDIs quoted on ASX Total number of CDIs quoted on ASX Net Difference (A-B) at end of statement month (A) at end of previous month (B) 2,376,300 51,002,898 48,626,598 Reason for change: Ordinary share Net transfers of securities between CDIs and TSX-V as quoted / held on
If the total number of CDIs quoted on ASX at the end of the statement month (A), is greater than the total number of CDIs for which the entity has previously paid an initial listing fee or an additional listing fee under Table 1A and 1C of Guidance Note 15A (C), the entity hereby applies for +quotation of the difference (A - C) and agrees to the matters set out in Appendix 2A of the ASX Listing Rules.
2.2b Number and class of all issued securities not represented by CDIs quoted on ASX
| ASX +Security Code and DescriptionBNZAA : ORDINARY FULLY PAIDTotal number of securities at end ofstatement month (A)58,396,767Total number of securities at end ofprevious month (B)59,703,067Net Difference (A-B)-1,306,300Reason for change: | ASX +Security Code and DescriptionBNZAA : ORDINARY FULLY PAIDTotal number of securities at end ofstatement month (A)58,396,767Total number of securities at end ofprevious month (B)59,703,067Net Difference (A-B)-1,306,300Reason for change: | ASX +Security Code and DescriptionBNZAA : ORDINARY FULLY PAIDTotal number of securities at end ofstatement month (A)58,396,767Total number of securities at end ofprevious month (B)59,703,067Net Difference (A-B)-1,306,300Reason for change: | ASX +Security Code and DescriptionBNZAA : ORDINARY FULLY PAIDTotal number of securities at end ofstatement month (A)58,396,767Total number of securities at end ofprevious month (B)59,703,067Net Difference (A-B)-1,306,300Reason for change: | ASX +Security Code and DescriptionBNZAA : ORDINARY FULLY PAIDTotal number of securities at end ofstatement month (A)58,396,767Total number of securities at end ofprevious month (B)59,703,067Net Difference (A-B)-1,306,300Reason for change: | ASX +Security Code and DescriptionBNZAA : ORDINARY FULLY PAIDTotal number of securities at end ofstatement month (A)58,396,767Total number of securities at end ofprevious month (B)59,703,067Net Difference (A-B)-1,306,300Reason for change: |
|---|---|---|---|---|---|
| n for ch | ange: | ||||
| IssueTrans | of share | s on conversion of w | arrants and options | ||
| fer to CD | Is from ordinary sha | es quoted on TSX- | V | ||
| ASX +BNZATotalstate3,900,ASX + | SecurityB : OPTIOnumberent mo | Code and DescriptN EXPIRING 02-OCof securities at endth (A) | ionT-2023 EX CAD 0ofTotal numbeprevious mo | .64r of securities at end ofnth (B)Net Difference (A-B) | |
| 000Security | Code and Descript | 3,900,000ion | 0 | ||
| C : OPTInumber | ON EXPIRING 18-JAof securities at end | N-2025 EX CAD 3.ofTotal numbe | 00r of securities at end of |
BNZAC : OPTION EXPIRING 18-JAN-2025 EX CAD 3.00
Total number of securities at end of Total number of securities at end of
Statement of CDIs on Issue
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Statement of CDIs on Issue
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| Statement of CDIs on Issue | ||
|---|---|---|
| statement month (A) | previous month (B) | Net Difference (A-B) |
| 9,713 | 9,713 | 0 |
| ASX +Security Code and Description | ||
| BNZAD : OPTION EXPIRING 03-MAR-2025 EX CAD 0.076 | ||
| Total number of securities at end of | Total number of securities at end of | Net Difference (A-B) |
| statement month (A) | previous month (B) | 0 |
| 70,000 | 70,000 | |
| ASX +Security Code and Description | ||
| BNZAE : OPTION EXPIRING 27-APR-2025 EX CAD 0.12 | ||
| Total number of securities at end of | Total number of securities at end of | Net Difference (A-B) |
| statement month (A) | previous month (B) | -100,000 |
| 2,100,000 | 2,200,000 | |
| Reason for change: | ||
| Exercise of options |
ASX +Security Code and Description
BNZAF : OPTION EXPIRING 01-JUN-2025 EX CAD 0.21
| Total number of securities at end of | Total number of securities at end of | Net Difference (A-B) |
|---|---|---|
| statement month (A) | previous month (B) | 0 |
| 1,140,000 | 1,140,000 | |
| ASX +Security Code and Description | ||
| BNZAG : OPTION EXPIRING 31-AUG-2027 EX CAD 0.265 | ||
| Total number of securities at end of | Total number of securities at end of | Net Difference (A-B) |
| statement month (A) | previous month (B) | 0 |
| 137,500 | 137,500 | |
| ASX +Security Code and Description | ||
| BNZAH : WARRANT EXPIRING 27-APR-2023 EX CAD 0.12 | ||
| Total number of securities at end of | Total number of securities at end of | Net Difference (A-B) |
| statement month (A) | previous month (B) | -725,000 |
| 26,910,750 | 27,635,750 | |
| Reason for change: | ||
| Exercise of warrants |
ASX +Security Code and Description
BNZAI : WARRANT EXPIRING 27-APR-2023 EX CAD 0.076
| Total number of securities at end of | Total number of securities at end of | Net Difference (A-B) |
|---|---|---|
| statement month (A) | previous month (B) | 0 |
| 2,115,652 | 2,115,652 |
Statement of CDIs on Issue
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Statement of CDIs on Issue
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ASX +Security Code and Description
BNZAJ : WARRANT EXPIRING 01-JUN-2023 EX CAD 0.17
Total number of securities at end of Total number of securities at end of Net Difference (A-B) statement month (A) previous month (B) -200,000 12,285,455 12,485,455
Reason for change:
Exercise of warrants
ASX +Security Code and Description
BNZAK : WARRANT EXPIRING 29-OCT-2023 EX CAD 1.00
Total number of securities at end of Total number of securities at end of Net Difference (A-B) statement month (A) previous month (B) 0 7,628,571 7,628,571
Statement of CDIs on Issue
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