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CENTAURUS METALS LIMITED — Share Issue/Capital Change 2020
Apr 6, 2020
64715_rns_2020-04-06_75a90f09-63fa-4941-ab89-e9330e4c8446.pdf
Share Issue/Capital Change
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Notification of Consolidation/Split
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Announcement Summary
Entity name
CENTAURUS METALS LIMITED
Applicable security for the reorganisation
CTM ORDINARY FULLY PAID CTMAS OPTION EXPIRING VARIOUS DATES VARIOUS PRICES CTMAT PERFORMANCE RIGHTS CTMOC OPTION EXPIRING 31-MAY-2021
Announcement Type
Update to previous announcement
Date of this announcement
Tuesday April 7, 2020
Reason for the Update
Update of register and confirmation of balances of post consolidation securities
Additional Information
No additional information
Refer to below for full details of the announcement
Notification of Consolidation/Split
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Notification of Consolidation/Split
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Announcement Details
Part 1 - Entity and announcement details
1.1 Name of +Entity
CENTAURUS METALS LIMITED
1.2 Registered Number Type Registration Number ACN 009468099 1.3 ASX issuer code CTM
1.4 The announcement is
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Update/amendment to previous announcement
1.4a Reason for update to a previous announcement
Update of register and confirmation of balances of post consolidation securities
1.4b Date of previous announcement(s) to this update
Thursday February 27, 2020
1.5 Date of this announcement
Tuesday April 7, 2020
1.6 Securities affected by the consolidation or split
| ASX +Security Code | ASX +Security Description |
|---|---|
| CTM | ORDINARY FULLY PAID |
| CTMAS | OPTION EXPIRING VARIOUS DATES VARIOUS PRICES |
| CTMAT | PERFORMANCE RIGHTS |
| CTMOC | OPTION EXPIRING 31-MAY-2021 |
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Notification of Consolidation/Split
Part 2 - Approvals
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2.1 Are any of the below approvals required for the consolidation or split before business day 0 of the timetable? Security holder approval
-
Court approval Lodgement of court order with +ASIC ACCC approval
-
FIRB approval
Another approval/condition external to the entity required to be given/met before business day 0 of the timetable for the consolidation or split.
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Yes
2.2 Approvals
Approval/Condition +Security holder approval
Date for determination Is the date estimated or Approval actual? received/condition met? Tuesday March 31, 2020 Actual Yes
Comments
Part 3 - Consolidation or split timetable and details
3.1 +Record date
Friday April 3, 2020
3.2 Date of +security holder meeting
Tuesday March 31, 2020
3.2a Effective date of consolidation or split
Tuesday March 31, 2020
3.3 Last day for trading in the pre consolidation or split +securities
Wednesday April 1, 2020
3.4 Trading in the post consolidation or split +securities commences on a deferred settlement basis.
Thursday April 2, 2020
3.5 Record date
Friday April 3, 2020
3.6 First day for entity to update its register and to send holding statements to +security holders reflecting the change in the number of +securities they hold.
Monday April 6, 2020
3.7 Last day for entity to update its register and send holding statements to +security holders reflecting the change in the number of +securities they hold and to notify ASX that this has occurred. (+Issue Date)
Wednesday April 8, 2020
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3.8 Trading starts on a normal T+2 basis
Thursday April 9, 2020
3.9 First settlement of trades conducted on a +deferred settlement basis and on a normal T+2 basis Wednesday April 15, 2020
Part 4 - Event type and details
4.1 The event is +Security consolidation
4.1a Consolidation ratio: the +securities will be consolidated on the basis that every 15
(pre-consolidation) +securities will be consolidated into 1
(post-consolidation) +security (/ies).
4.2 Scrip fraction rounding
Fractions rounded up to the next whole number
Part 5 - +Securities on issue before and after consolidation or split
5.1 +Securities on issue before and after the consolidation or split
| ASX +Security Code | ASX +Security Description | ||
|---|---|---|---|
| CTM | ORDINARY FULLY PAID | ||
| Quoted/unquoted | Number on issue pre | Number on issue post | Estimate/Actual |
| Quoted | consolidation or split | consolidation or split | Actual |
| 3,790,971,362 | 252,732,392 | ||
| ASX +Security Code | ASX +Security Description | ||
| CTMAS | OPTION EXPIRING VARIOUS | DATES VARIOUS PRICES | |
| Quoted/unquoted | Number on issue pre | Number on issue post | Estimate/Actual |
| Unquoted | consolidation or split | consolidation or split | Actual |
| 109,841,904 | 7,322,801 | ||
| ASX +Security Code | ASX +Security Description | ||
| CTMAT | PERFORMANCE RIGHTS |
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| Quoted/unquoted | Number on issue pre | Number on issue post | Number on issue post | Estimate/Actual |
|---|---|---|---|---|
| Unquoted | consolidation or split | consolidation or split | Actual | |
| 90,000,000 | 6,000,000 | |||
| ASX +Security Code | ASX +Security Description | |||
| CTMOC | OPTION EXPIRING 31-MAY-2021 | |||
| Quoted/unquoted | Number on issue pre | Number on issue post | Estimate/Actual | |
| Quoted | consolidation or split | consolidation or split | Actual | |
| 434,100,000 | 28,940,040 | |||
| 5.2 Exercise price of options | ||||
| ASX +Security Code | ASX +Security Description | |||
| CTMAS | OPTION EXPIRING VARIOUS | DATES VARIOUS PRICES | ||
| Quoted/unquoted | Exercise price pre consolidation or | Exercise price post | consolidation or | |
| Unquoted | split | split | ||
| $ 0.00000000 | $ 0.00000000 | |||
| ASX +Security Code | ASX +Security Description | |||
| CTMAT | PERFORMANCE RIGHTS | |||
| Quoted/unquoted | Exercise price pre consolidation or | Exercise price post | consolidation or | |
| Unquoted | split | split | ||
| $ 0.00000000 | $ 0.00000000 | |||
| ASX +Security Code | ASX +Security Description | |||
| CTMOC | OPTION EXPIRING 31-MAY-2021 | |||
| Quoted/unquoted | Exercise price pre consolidation or | Exercise price post | consolidation or | |
| Quoted | split | split | ||
| $ 0.01200000 | $ 0.18000000 |
Part 6 - Further information
6.1 Further information relating to the consolidation or split
Deferred settlement trading ends 8 April 2020 Normal trading commences 9 April 2020
6.2 Additional information for inclusion in the Announcement Summary
No additional information
Notification of Consolidation/Split
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