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CONICO LTD — Capital/Financing Update 2025
Oct 29, 2025
64678_rns_2025-10-29_8e18007b-f97e-4bf1-bfee-3627478b06f9.pdf
Capital/Financing Update
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Appendix 3B - Proposed issue of securities
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Cancellation Summary Entity name CONICO LTD Announcement Type Cancellation of previous announcement Date of this announcement 30/10/2025 Reason for cancellation of previous announcement Replaced with Appendix 3B lodged on 30 October 2025 Refer to next page for full details of the announcement
Appendix 3B - Proposed issue of securities
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Appendix 3B - Proposed issue of securities
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Part 1 - Entity and announcement details
1.1 Name of +Entity
CONICO LTD
We (the entity named above) give ASX the following information about a proposed issue of +securities and, if ASX agrees to +quote any of the +securities (including any rights) on a +deferred settlement basis, we agree to the matters set out in Appendix 3B of the ASX Listing Rules.
If the +securities are being offered under a +disclosure document or +PDS and are intended to be quoted on ASX, we also apply for quotation of all of the +securities that may be issued under the +disclosure document or +PDS on the terms set out in Appendix 2A of the ASX Listing Rules (on the understanding that once the final number of +securities issued under the +disclosure document or +PDS is known, in accordance with Listing Rule 3.10.3C, we will complete and lodge with ASX an Appendix 2A online form notifying ASX of their issue and applying for their quotation).
1.2 Registered Number Type
Registration Number
ABN 49119057457
1.3 ASX issuer code
CNJ
1.4 The announcement is
Cancellation of previous announcement
1.4c Reason for cancellation of previous announcement
Replaced with Appendix 3B lodged on 30 October 2025
1.4d Date of previous announcement to this cancellation
4/9/2025
1.5 Date of this announcement
30/10/2025
1.6 The Proposed issue is:
A placement or other type of issue
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Appendix 3B - Proposed issue of securities
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Part 7 - Details of proposed placement or other issue
Part 7A - Conditions
7A.1 Do any external approvals need to be obtained or other conditions satisfied before the placement or other type of issue can proceed on an unconditional basis? Yes 7A.1a Conditions Approval/Condition Date for determination Is the date estimated or ** Approval actual? received/condition met? +Security holder approval 13/10/2025 Estimated
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Comments
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Part 7B - Issue details
Is the proposed security a 'New Will the proposed issue of this class' (+securities in a class that is +security include an offer of not yet quoted or recorded by ASX) attaching +securities? or an 'Existing class' (additional No securities in a class that is already quoted or recorded by ASX)? Existing class
Details of +securities proposed to be issued
ASX +security code and description CNJ : ORDINARY FULLY PAID
Number of +securities proposed to be issued 1,414,151,301 Offer price details Are the +securities proposed to be issued being issued for a cash consideration? No
Please describe the consideration being provided for the +securities Settlement of converting loans at face value of $1,395,000 plus accrued interest
Please provide an estimate of the AUD equivalent of the consideration being provided for the +securities 1,414,151.000000 Will these +securities rank equally in all respects from their issue date with
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Appendix 3B - Proposed issue of securities
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the existing issued +securities in that class? Yes
Is the proposed security a 'New Will the proposed issue of this class' (+securities in a class that is +security include an offer of not yet quoted or recorded by ASX) attaching +securities? or an 'Existing class' (additional No securities in a class that is already quoted or recorded by ASX)? Existing class
Details of +securities proposed to be issued
ASX +security code and description
CNJ : ORDINARY FULLY PAID
Number of +securities proposed to be issued
83,700,000
Offer price details Are the +securities proposed to be issued being issued for a cash consideration? No
Please describe the consideration being provided for the +securities
Shares in lieu of cash for lead manager and broker services in relation to the Converting Loan raise at 6% of funds raised
Please provide an estimate of the AUD equivalent of the consideration being provided for the +securities 83,700.000000
Will these +securities rank equally in all respects from their issue date with the existing issued +securities in that class? Yes
Is the proposed security a 'New Will the proposed issue of this class' (+securities in a class that is +security include an offer of not yet quoted or recorded by ASX) attaching +securities? or an 'Existing class' (additional No securities in a class that is already quoted or recorded by ASX)? Existing class
Details of +securities proposed to be issued
ASX +security code and description
CNJ : ORDINARY FULLY PAID
Number of +securities proposed to be issued
122,493,000
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Appendix 3B - Proposed issue of securities
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Offer price details
Are the +securities proposed to be issued being issued for a cash consideration? No
Please describe the consideration being provided for the +securities
Settlement of outstanding director fees and advisory fees to RM Corporate Finance from 1 Nov 24 to 31 Aug 25, to be detailed in Notice of Meeting for dispatch in coming days
Please provide an estimate of the AUD equivalent of the consideration being provided for the +securities
122,493.000000
Will these +securities rank equally in all respects from their issue date with the existing issued +securities in that class? Yes
Is the proposed security a 'New class' (+securities in a class that is not yet quoted or recorded by ASX) or an 'Existing class' (additional securities in a class that is already quoted or recorded by ASX)? Existing class
Will the proposed issue of this +security include an offer of attaching +securities? No
Details of +securities proposed to be issued
ASX +security code and description
CNJ : ORDINARY FULLY PAID
Number of +securities proposed to be issued
150,000,000
Offer price details
Are the +securities proposed to be issued being issued for a cash consideration? No
Please describe the consideration being provided for the +securities
Fee for services of an independent advisor in negotiating the legal settlement with Cartwright as detailed in ASX announcement dated 6 June 2025
Please provide an estimate of the AUD equivalent of the consideration being provided for the +securities
150,000.000000
Will these +securities rank equally in all respects from their issue date with the existing issued +securities in that class? Yes
Is the proposed security a 'New class' (+securities in a class that is not yet quoted or recorded by ASX)
Will the proposed issue of this +security include an offer of attaching +securities?
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Appendix 3B - Proposed issue of securities
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or an 'Existing class' (additional No securities in a class that is already quoted or recorded by ASX)? New class
Details of +securities proposed to be issued
| ISIN Code (if Issuer is a foreign company and +securities do not have +CDIs | ISIN Code (if Issuer is a foreign company and +securities do not have +CDIs | |
|---|---|---|
| issued over them) | ||
| Have you received confirmation from | Will the entity be seeking quotation | |
| ASX that the terms of the proposed | of the 'new' class of +securities on | |
| +securities are appropriate and | ASX? | |
| equitable under listing rule 6.1? | No | |
| No | ||
| ASX +security code New class-code to be confirmed |
+Security description Unlisted options exercisable at $0.002 each, expiring 30 November 2029 |
|
| +Security type | ||
| Options | ||
| Number of +securities proposed to be | issued | |
| 400,000,000 | ||
| Offer price details | ||
| Are the +securities proposed to be issued being issued for a cash consideration? | ||
| No | ||
| Please describe the consideration being provided for the +securities | ||
| Lead manager services from Templar Corporate in relation to the converting loan | raising | |
| Please provide an estimate of the AUD | equivalent of the consideration being | |
| provided for the +securities | ||
| 20,000.000000 | ||
| Will all the +securities issued in this class rank equally in all respects from | ||
| their issue date? | ||
| Yes | ||
| Options details | ||
| +Security currency | Exercise price | Expiry date |
| AUD - Australian Dollar | AUD 0.0020 | 30/11/2029 |
| Details of the type of +security that will be issued if the option is exercised | ||
| CNJ : ORDINARY FULLY PAID | ||
| Number of securities that will be issued if the option is exercised | ||
| 40,000,000 fully paid ordinary shares (pre-consolidation) | ||
| Please provide a URL link for a document lodged with ASX setting out the material terms of the +securities |
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Appendix 3B - Proposed issue of securities
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proposed to be issued or provide the information by separate announcement.
To be detailed in Notice of Meeting to seek shareholder approval
Part 7C - Timetable 7C.1 Proposed +issue date 13/10/2025 Part 7D - Listing Rule requirements 7D.1 Has the entity obtained, or is it obtaining, +security holder approval for the entire issue under listing rule 7.1? Yes 7D.1a Date of meeting or proposed meeting to approve the issue under listing rule 7.1 13/10/2025 7D.2 Is a party referred to in listing rule 10.11 participating in the proposed issue? Yes 7D.3 Will any of the +securities to be issued be +restricted securities for the purposes of the listing rules? No 7D.4 Will any of the +securities to be issued be subject to +voluntary escrow? Yes 7D.4a Please enter the number and +class of the +securities subject to +voluntary escrow and the date from which they will cease to be subject to +voluntary escrow
All securities to be escrowed until the date the Company lodges a prospectus to enable secondary trading
Part 7E - Fees and expenses 7E.1 Will there be a lead manager or broker to the proposed issue? Yes 7E.1a Who is the lead manager/broker? Templar Corporate Pty Ltd is lead manager and broker to the Converting Loan raising 7E.1b What fee, commission or other consideration is payable to them for acting as lead manager/broker? 6% of the amount raised in Converting Loans, which is to be settled in shares at a price of $0.001 per share subject to shareholder approval. Further, issue of 400 million unlisted options over shares (pre-Consolidation), exercisable at $0.002 each (pre-Consolidation) and expiring 30 November 2029 subject to shareholder approval 7E.2 Is the proposed issue to be underwritten? No 7E.4 Details of any other material fees or costs to be incurred by the entity in connection with the proposed issue As detailed above
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Appendix 3B - Proposed issue of securities
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Part 7F - Further Information
7F.01 The purpose(s) for which the entity is issuing the securities
As detailed in accompanying ASX announcement and ASX announcement dated 6 June 2025
7F.1 Will the entity be changing its dividend/distribution policy if the proposed issue proceeds? No
7F.2 Any other information the entity wishes to provide about the proposed issue
7F.3 Any on-sale of the +securities proposed to be issued within 12 months of their date of issue will comply with the secondary sale provisions in sections 707(3) and 1012C(6) of the Corporations Act by virtue of: The publication of a +disclosure document or +PDS involving the same class of securities as the +securities proposed to be issued that meets the requirements of section 708A(11) or 1012DA(11)
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