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Central Development Holdings Limited Share Issue/Capital Change 2018

Mar 1, 2018

49236_rns_2018-03-01_9df4bb62-d35e-4123-b794-10b664c08c44.pdf

Share Issue/Capital Change

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For Main Board and GEM listed issuers

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Monthly Return of Equity Issuer on Movements in Securities

For the month ended (dd/mm/yyyy) : 28 February 2018

To : Hong Kong Exchanges and Clearing Limited

Name of Issuer China Resources and Transportation Group Limited Date Submitted 1 March 2018

I. Movements in Authorised Share Capital

1. Ordinary Shares

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(1) Stock code : 269 Description : Ordinary Shares
Authorised share
No. of ordinary Par value capital
shares (HK$) (HK$)
Balance at close of preceding month 20,000,000,000 0.20 4,000,000,000
- -
Increase/(decrease)
Balance at close of the month 20,000,000,000 0.20 4,000,000,000
(2) Stock code : Description :
Par value Authorised share
No. of ordinary (State capital
shares currency) (State currency)
Balance at close of preceding month
Increase/(decrease)
Balance at close of the month
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For Main Board and GEM listed issuers

  1. Preference Shares
2.PreferenceShares 2.PreferenceShares 2.PreferenceShares 2.PreferenceShares 2.PreferenceShares
Stock code :
Description :
No. of preference
shares
Balance at close of preceding month
Increase/(decrease)
Balance at close of the month
Authorised share
capital
(State currency)
Par value
(State
currency)
3. OtherClasses ofShares
Stock code :
Description :
No. of other
classes of shares
Balance at close of preceding month
Increase/(decrease)
Balance at close of the month
Authorised share
capital
(State currency)
Par value
(State
currency)

Total authorised share capital at the end of the month (HK$) : 4,000,000,000

For Main Board and GEM listed issuers

II. Movements in Issued Share Capital

Balance at close of
preceding month
Increase/ (decrease)
during the month
Balance at close of the
month
No. of ordinary shares
(1)
(2)
No of preference
shares
No. of other classes
of shares
7,442,395,970
-
-

-
-
-
-
-
-
-
-
7,442,395,970

III. Details of Movements in Issued Share Capital

Share Options (under Share Option Schemes of the Issuer)

Particulars of
share option
scheme
including EGM
approval date
(dd/mm/yyyy)
and class of
shares issuable
Movement duringthe month Movement duringthe month Movement duringthe month No. of new shares
of issuer issued
during the month
pursuant thereto
No. of new shares of
issuer which may be
issued pursuant thereto as
at close of the month
Granted Exercised Cancelled Lapsed
1. Share Nil
Nil Nil






Nil













Nil

N/A

N/A
34,833,324
Nil Nil Nil

For Main Board and GEM listed issuers

Warrants to Issue Shares of the Issuer which are to be Listed

Description of warrants
(Date of expiry- dd/mm/yyyy)
Description of warrants
(Date of expiry- dd/mm/yyyy)
Description of warrants
(Date of expiry- dd/mm/yyyy)
Currency of
nominal
value
Nominal value at
close of
precedingmonth
Exercised
during the
month
Currency of
nominal
value
Nominal value at
close of
precedingmonth
Exercised
during the
month
Nominal value
at close of the
month
Nominal value
at close of the
month

No. of new
shares of
issuer issued
during the
month
pursuant
thereto
No. of new
shares of
issuer which
may be issued
pursuant
thereto as at
close of the
month

No. of new
shares of
issuer issued
during the
month
pursuant
thereto
No. of new
shares of
issuer which
may be issued
pursuant
thereto as at
close of the
month



1.











N/A
N/A
N/A


( / / )
Stock code (if listed)
Class of shares
issuable_(Note 1)_
Subscription price
EGM approval date
(if applicable)
(dd/mm/yyyy)
2.


(/ / )
( / / )
Stock code (if listed)
Class of shares
issuable_(Note 1)_
Subscription price
EGM approval date
(if applicable)
(dd/mm/yyyy)
3.


(/ / )
( / / )
Stock code (if listed)
Class of shares
issuable_(Note 1)_
Subscription price
EGM approval date
(if applicable)
(dd/mm/yyyy)
4.


(/ / )
( / / )
Stock code (if listed)
Class of shares
issuable_(Note 1)_
Subscription price
EGM approval date
(if applicable)
(dd/mm/yyyy)
(/ / )

For Main Board and GEM listed issuers

Convertibles (i.e. Convertible into Shares of the Issuer which are to be Listed)

Class and description
Currency of
amount
outstanding
Class and description
Currency of
amount
outstanding
Class and description
Currency of
amount
outstanding
Class and description
Currency of
amount
outstanding
Amount at
close of
preceding
month
Converted
during the
month
Amount at
close of the
month
No. of new
shares of issuer
issued during
the month
pursuant thereto
No. of new shares
of issuer which
may be issued
pursuant thereto as
at close of the
month
1. HKD$800 million
Convertible Bonds issued
to China Life Insurance
(Overseas)CompanyLimited
HK$ Stock code (if listed)
N/A
Class of shares
issuable_(Note 1)
Ordinary
Subscription price
HK$1.07
EGM approval date
(dd/mm/yyyy)
(28/01/2015)
2. HKD$32 million
Convertible Bonds issued
to Cross-Strait Capital
Limited
HK$ Stock code (if listed)
N/A
Class of shares
issuable
(Note 1)
Ordinary
Subscription price
HK$1.07
EGM approval date
(dd/mm/yyyy)
(28/01/2015)
3. HKD$700 million
Convertible Bonds issued
to Strait CRTG Fund,
L.P.
HK$ Stock code (if listed)
N/A
Class of shares
issuable
(Note 1)
Ordinary
Subscription price
HK$0.20
EGM approval date
(dd/mm/yyyy)
(19/07/2016)
4. HKD$800 million
Convertible Bonds issued to
Strait Capital Service
Limited
HK$ Stock code (if listed)
N/A
Class of shares
issuable
(Note 1)
Ordinary
Subscription price
HK$0.20
EGM approval date
(dd/mm/yyyy)
(08/09/2016)
5. HKD$700 million
Convertible Bonds issued to
China Life Insurance
(Overseas)CompanyLimited
HK$ Stock code (if listed)
N/A
Class of shares
issuable
(Note 1)_
Ordinary
Subscription price
HK$0.20
EGM approval date
(dd/mm/yyyy)
(23/12/2016)
HK$ N/A 800 million
32 million
700 million

Nil
800 million



Nil

Nil

Nil

Nil

Nil



Nil

Nil

Nil
32 million
Ordinary
HK$1.07
(28/01/2015)
HK$ N/A

Nil
700 million

Nil
HK$ N/A
800 million
Nil
800 million

Nil
Ordinary
HK$0.20
(19/07/2016)
HK$ N/A
700 million
Nil
700 million Nil
Ordinary
HK$0.20
(08/09/2016)

HK$ N/A
Ordinary
HK$0.20
(23/12/2016)

For Main Board and GEM listed issuers

HK$ Stock code (if listed) Class of shares issuable (Note 1) Subscription price EGM approval date (dd/mm/yyyy) Total C. (Ordinary shares) Nil Nil (Preference shares) N/A (Other class) N/A

For Main Board and GEM listed issuers Any other Agreements or Arrangements to Issue Shares of the Issuer which are to be Listed, including Options (other than under Share Option Schemes)

Full particulars including EGM approval date (dd/mm/yyyy),
if applicable, and class of shares issuable:
No. of new shares of
issuer issued during
the month pursuant
thereto
No. of new shares of
issuer which may be
issued pursuant thereto
as at close of the month
1.
A) The Sale and Purchase Agreement
On 11 July 2017, the Company entered into a sale and purchase
agreement with中信資產管理有限公司(CITIC Asset Management
Corporation Ltd.) and 10 other vendors (together, the “Vendors”),
pursuant to which the Company has conditionally agreed to acquire
from the Vendors the right and power to control over, and the right
to enjoy the economic benefits in, the pawn loan business operated
by中安信邦資產管理有限公司(ZhongAn XinBang Asset
Management Corporation Ltd
) (the “Target Company”), its
subsidiaries and branch companies through structured contracts
(the “Acquisition”).
The consideration for the Acquisition is HK$3,281,768,760 and
will be satisfied by the allotment and issue of 14,268,559,826 new
Shares (the “Consideration Shares”) at the issue price of HK$0.23
per Share (the “Issue Price”) to the Vendors and/or their
nominee(s).
The Consideration Shares will be allotted and issued at the
completion of the Acquisition under the specific mandate proposed
at the extraordinary general meeting (the “EGM”).
B) The Subscription Agreement
On 11 July 2017, the Company and 5 subscribers (the
“Subscribers”) entered into a subscription agreement (the
“Subscription Agreement”), pursuant to which the Subscribers have
conditionally agreed to subscribe for (on a several but not joint
basis) 3,521,738,478 new Shares (the “Subscription Shares”) at
the Issue Price of HK$0.23 per Share for an aggregate
consideration of HK$809,999,850 (the “Subscription”).
The Subscription Shares will be allotted and issued under the
specific mandate proposed at the EGM.
C) The Proposed Placing
The Company intends to place 3,478,260,869 new Shares (the
“Placing Shares”) under a specific mandate proposed at the EGM
to investors who are independent third parties and not acting in
concert with the Vendors at the Issue Price of HK$0.23 per Share
(the “Placing”). The aggregate gross proceeds from the Placing
would amount to approximately HK$800,000,000.
Further details about the Placing will be contained in the
announcement to be issued by the Company upon the signing of
the placing agreement.
The Consideration Shares, the Subscription Shares and the Placing
Shares will rank equally among themselves and pari passu in all
respects with all other shares of the Company in issue on the date
of their allotment and issue.
Completion of the Acquisition, the completion of the Subscription
and the completion of the Placing would be inter-conditional. The
completion of the Placing would be conditional upon all the
conditions precedent in relation to the Acquisition and the
Subscription having been fulfilled or otherwise waived.
Further details on the Acquisition, the Subscription and the Placing
are disclosed in the announcements of the Company dated 1 August
2017, 22 August 2017, 22 September 2017, 20 October 2017, 20
November 2017, 20 December 2017, 22 January 2018, 23 February
2018 and 27 February2018.

For Main Board and GEM listed issuers

( / / )
shares (Note 1)
2.
3.
Nil
N/A
N/A
( / / )
shares_(Note 1)_
( / / )
shares_(Note 1)_
Total D. (Ordinary shares)
(Preference shares)
(Other class)

For Main Board and GEM listed issuers

Other Movements in Issued Share Capital
Type of Issue No. of new
shares of issuer
issued during the
month pursuant
thereto
No. of new
shares of
issuer
which may
be issued
pursuant
thereto as
at close of
the month
1. Rights issue
At price :State
currency
Class
of
shares
issuable_(Note 1)
Issue and allotment
date : (dd/mm/yyyy)
EGM approval date:
(dd/mm/yyyy)
_

( / / )
( / / )
N/A
2. Open offer
At price :State
currency
Class
of
shares
issuable_(Note 1)
Issue and allotment
date : (dd/mm/yyyy)
EGM approval date:
(dd/mm/yyyy)
_

( / / )
( / / )
N/A
3. Placing
At price :State
currency
Class
of
shares
issuable_(Note 1)
Issue and allotment
date : (dd/mm/yyyy)
EGM approval date:
(dd/mm/yyyy)
_

( / / )
( / /)
N/A
4. Bonus issue Class
of
shares
issuable_(Note 1)
Issue and allotment
date : (dd/mm/yyyy)
EGM approval date:
(dd/mm/yyyy)
_

( / / )
( / / )
N/A

For Main Board and GEM listed issuers

5. Scrip dividend
At price :State
currency
Class
of
shares
issuable_(Note 1)
Issue and allotment
date : (dd/mm/yyyy)
EGM approval date:
(dd/mm/yyyy)
_

( / / )
( / / )
N/A
6. Repurchase of
shares
Class
of
shares
repurchased_(Note 1)
Cancellation date :
(dd/mm/yyyy)
_

( / / )
EGM approval date:
(dd/mm/yyyy)
( / / )
N/A
7. Redemption of
shares
Class
of
shares
redeemed_(Note 1)
Redemption date :
(dd/mm/yyyy)
EGM approval date:
(dd/mm/yyyy)
_

( / / )
( / / )
N/A
8. Consideration issue At price :State
currency
Class
of
shares
issuable_(Note 1)_
Issue and allotment
date : (dd/mm/yyyy)
AGM approval date:
(dd/mm/yyyy)
_
( / / )
( / / )
N/A
9. Capital
reorganisation
Class
of
shares
issuable_(Note 1)
Issue and allotment
date : (dd/mm/yyyy)
EGM approval date:
(dd/mm/yyyy)
_

( / / )
( / / )
N/A

For Main Board and GEM listed issuers

Class of shares _ issuable (Note 1)_ 10. Other At price :[State ] Issue and allotment (Subscription) currency date : (dd/mm/yyyy) EGM approval date: (dd/mm/yyyy) ( / / ) N/A Total E. (Ordinary shares) Nil (Preference shares) N/A (Other class) N/A

Total increase / (decrease) in ordinary shares during the month (i.e. Total of A to E): (1) Nil
(2) N/A
Total increase / (decrease) in preference shares during the month (i.e. Total of A to E): N/A
Total increase / (decrease) in other classes of shares during the month (i.e. Total of A to E): N/A
(Thesefigures should be the same as the relevantfigures under II above(“Movements in Issued Share Capital”).)

Remarks (if any):

Submitted by: Tsang Kam Ching, David

Title: Director (Director, Secretary or other duly authorised officer)

*for identification purposes only

Notes :

1. State the class of shares (e.g. ordinary, preference or other).

2. If there is insufficient space, please append the prescribed continuation sheet.