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Graphex Group Limited Share Issue/Capital Change 2022

Jan 6, 2022

50979_rns_2022-01-06_6c081e44-0528-455b-8836-07064f86f109.pdf

Share Issue/Capital Change

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FF301

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Monthly Return for Equity Issuer and Hong Kong Depositary Receipts listed under Chapter 19B of the Exchange Listing Rules on Movements in Securities

For the month ended:

31 December 2021

Status: New Submission

To : Hong Kong Exchanges and Clearing Limited

Name of Issuer: Graphex Group Limited (Incorporated in the Cayman Islands with limited liability) Date Submitted: 06 January 2022

I. Movements in Authorised / Registered Share Capital

1. Type of shares Ordinary shares Ordinary shares Class of shares Not applicable Not applicable Not applicable Listed on SEHK (Note 1) Listed on SEHK (Note 1) Listed on SEHK (Note 1) Yes
Stock code 06128 Description
Number of authorised/registered shares Par value Authorised/registered share capital
Balance at close of preceding month 2,000,000,000 HKD 0.01 HKD 20,000,000
Increase / decrease (-) 0 HKD 0
Balance at close of the month 2,000,000,000 HKD 0.01 HKD 20,000,000

Total authorised/registered share capital at the end of the month: HKD

20,000,000

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II. Movements in Issued Shares

1. Type of shares Ordinary shares Ordinary shares Class of shares Not applicable Listed on SEHK (Note 1) Yes
Stock code 06128 Description
Balance at close of preceding month 509,116,921
Increase / decrease (-) 0
Balance at close of the month 509,116,921

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III. Details of Movements in Issued Shares

(A). Share Options (under Share Option Schemes of the Issuer)

1. Type of shares issuable 1. Type of shares issuable Ordinary shares Ordinary shares Class of shares Class of shares Not applicable Not applicable Shares issuable to be listed on SEHK (Note 1) Shares issuable to be listed on SEHK (Note 1) Shares issuable to be listed on SEHK (Note 1) Yes Yes
Stock code of shares issuable (if listed on SEHK) (Note 1) 06128
Particulars of share option
scheme
Number of share
options outstanding at
close of preceding
month
Movement during the month Number of share options
outstanding at close of
the month

No. of new shares of
issuer issued during the
month pursuant thereto
(A)

No. of new shares of
issuer which may be
issued pursuant thereto
as at close of the month
The total number of
securities which may be
issued upon exercise of
all share options to be
granted under the
scheme at close of the
month
1). Share Option Scheme 25,500,000 25,500,000 0 25,500,000 0
General Meeting approval
date (if applicable)
03 June 2014
Total A (Ordinary shares):
Total funds raised during the month from exercise of options:
HKD
0
0

(B). Warrants to Issue Shares of the Issuer which are to be Listed

1. Type of shares issuable 1. Type of shares issuable Ordinary shares Ordinary shares Ordinary shares Class of shares Class of shares Not applicable Not applicable Shares issuable to be listed on SEHK (Note 1) Shares issuable to be listed on SEHK (Note 1) Shares issuable to be listed on SEHK (Note 1) Yes Yes
Stock code of shares issuable (if listed on SEHK) (Note 1) 06128
Description of Warrants Currency Nominal value at close of
preceding month
Movement during the month Nominal value at close of
the month
No. of new shares of
issuer issued during the
month pursuant thereto
(B)
No. of new shares of
issuer which may be
issued pursuant thereto
as at close of the month
1). Initial Warrant USD 4,045,000 4,045,000 0 48,228,846
Stock code of the Warrant (if
listed on SEHK) (Note 1)
Subscription price
Date of expiry
HKD
0.65
10 September 2026

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General Meeting approval date 21 July 2021 (if applicable)

Total B (Ordinary shares): 0

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

1. Type of shares issuable 1. Type of shares issuable Ordinary shares Ordinary shares Ordinary shares Class of shares Class of shares Not applicable Not applicable Shares issuable to be listed on SEHK (Note 1) Shares issuable to be listed on SEHK (Note 1) Shares issuable to be listed on SEHK (Note 1) Yes Yes
Stock code of shares issuable (if listed on SEHK) (Note 1) 06128
Description of the Convertibles Currency Amount at close of
preceding month
Movement during the month Amount at close of the
month
No. of new shares of
issuer issued during the
month pursuant thereto
(C)
No. of new shares of
issuer which may be
issued pursuant thereto
as at close of the month
1). Convertible Notes due in
2023 – First Note
(Maturity Date: 01/02/2023)

USD
0 0 0 0
Type of convertibles
Stock code of the Convertibles
(if listed on SEHK) (Note 1)
Subscription/Conversion price
General Meeting approval date
(if applicable)
Bond/Notes
HKD
0.65
15 June 2020
2). Convertible Notes due in
2023 – Other Initial Notes
(Maturity Date: 01/03/2023)
USD 500,000 500,000 0 5,961,538
Type of convertibles
Stock code of the Convertibles
(if listed on SEHK) (Note 1)
Subscription/Conversion price
General Meeting approval date
(if applicable)
Bond/Notes
HKD
0.65
15 June 2020
3). Convertible Notes due in
2023 – Other Initial Notes
(Maturity Date: 15/03/2023)
USD 0 0 0 0
Type of convertibles Bond/Notes

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Stock code of the Convertibles
(if listed on SEHK) (Note 1)
Subscription/Conversion price
General Meeting approval date
(if applicable)
HKD
0.65
15 June 2020
4). Convertible Notes due in
2023 – Other Initial Notes
(Maturity Date: 12/04/2023)
USD 500,000 500,000 0 5,961,538
Type of convertibles
Stock code of the Convertibles
(if listed on SEHK) (Note 1)
Subscription/Conversion price
General Meeting approval date
(if applicable)
Bond/Notes
HKD
0.65
15 June 2020
5). Convertible Notes due in
2023 – Other Initial Notes
(Maturity Date: 26/04/2023)

USD
500,000 500,000 0 5,961,538
Type of convertibles
Stock code of the Convertibles
(if listed on SEHK) (Note 1)
Subscription/Conversion price
General Meeting approval date
(if applicable)
Bond/Notes
HKD
0.65
15 June 2020
6). Convertible Notes due in
2023 – Other Initial Notes
(Maturity Date: 10/05/2023)
USD 500,000 500,000 0 5,961,538
Type of convertibles
Stock code of the Convertibles
(if listed on SEHK) (Note 1)
Subscription/Conversion price
General Meeting approval date
(if applicable)
Bond/Notes
HKD
0.65
15 June 2020
7). Convertible Notes due in
2023 – Other Initial Notes
(Maturity Date: 27/05/2023)
USD 1,250,000 1,250,000 0 14,903,846

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Type of convertibles
Stock code of the Convertibles
(if listed on SEHK) (Note 1)
Subscription/Conversion price
General Meeting approval date
(if applicable)
Bond/Notes
HKD
0.65
15 June 2020
8). Convertible Notes due in
2023 – Other Initial Notes
(Maturity Date: 07/06/2023)
USD 0 0 0 0
Type of convertibles
Stock code of the Convertibles
(if listed on SEHK) (Note 1)
Subscription/Conversion price
General Meeting approval date
(if applicable)
Bond/Notes
HKD
0.65
15 June 2020
9). Convertible Notes due in
2023 – Other Initial Notes
(Maturity Date: 30/06/2023)
USD 500,000 500,000 0 5,961,538
Type of convertibles
Stock code of the Convertibles
(if listed on SEHK) (Note 1)
Subscription/Conversion price
General Meeting approval date
(if applicable)
Bond/Notes
HKD
0.65
15 June 2020
10). Convertible Notes due in
2023 – Other Initial Notes
(Maturity Date: 14/07/2023)
USD 750,000 750,000 0 8,942,307
Type of convertibles
Stock code of the Convertibles
(if listed on SEHK) (Note 1)
Subscription/Conversion price
General Meeting approval date
(if applicable)
Bond/Notes
HKD
0.65
15 June 2020

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11). Convertible Notes due in
2023 – Other Initial Notes
(Maturity Date: 23/07/2023)
USD 500,000 500,000 0 5,961,538
Type of convertibles
Stock code of the Convertibles
(if listed on SEHK) (Note 1)
Subscription/Conversion price
General Meeting approval date
(if applicable)
Bond/Notes
HKD
0.65
15 June 2020
12). Convertible Notes due in
2023 – Other Initial Notes
(Maturity Date: 24/08/2023)
USD 840,000 840,000 0 10,015,384
Type of convertibles
Stock code of the Convertibles
(if listed on SEHK) (Note 1)
Subscription/Conversion price
General Meeting approval date
(if applicable)
Bond/Notes
HKD
0.65
15 June 2020
Remarks: Total C (Ordinary shares): 0

Conversion of US$ into HK$ is based on the exchange rate of US$1.00 to HK$7.75 (for the purpose of illustration only).

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(D). Any other Agreements or Arrangements to Issue Shares of the Issuer which are to be listed, including Options (other than Share Options Schemes)

1. Type of shares issuable 1. Type of shares issuable Ordinary shares Class of shares Not applicable Not applicable Not applicable Shares issuable to be listed on SEHK (Note 1) Shares issuable to be listed on SEHK (Note 1) Yes
Stock code of shares issuable (if listed on SEHK) (Note 1) 06128
Description General Meeting
approval date
(if applicable)
No. of new shares of issuer issued during
the month pursuant thereto (D)
No. of new shares of issuer which may be
issued pursuant thereto as at close of the
month
1). On 19 January 2021, the Company entered into the Subscription Agreement with
the Subscriber in relation to the issue and subscription of (i) the Convertible Notes
up to the aggregate principal amount not exceeding the Total Commitment of US
$15,000,000 but not less than the Minimum Commitment of US$5,000,000 and (ii)
the Warrants, which are secured by the Share Charge and the purchase of the
Warrants at the price of US$1.00. The Convertible Notes shall be issued in
tranches, namely the First Note, the Other Initial Notes and the Subsequent Notes,
in the principal amount of US$500,000, in the amount up to US$7,590,000 and in
Subsequent Notes Amount respectively. The initial Conversion Price of the
Convertible Notes is HK$0.65 per Conversion Share (subject to downward
adjustment). The 96,457,692 Conversion Shares issuable under the First Note and
the Other Initial Notes of US$500,000 and up to US$7,590,000 respectively at the
initial Conversion Price of HK$0.65 per Conversion Share will be issued under the
General Mandate granted at the AGM on 15 June 2020.
On 1 February, 1 March, 15 March, 12 April, 26 April, 10 May, 27 May, 7 June, 30
June, 14 July, 23 July and 24 August 2021, US$500,000 Convertible Notes due in
2023 (i.e. First Note), US$1,000,000 Convertible Notes due in 2023 (i.e. Other
Initial Notes), US$500,000 Convertible Notes due in 2023 (i.e. Other Initial Notes),
US$500,000 Convertible Notes due in 2023 (i.e. Other Initial Notes), US$500,000
Convertible Notes due in 2023 (i.e. Other Initial Notes), US$500,000 Convertible
Notes due in 2023 (i.e. Other Initial Notes), US$1,250,000 Convertible Notes due in
2023 (i.e. Other Initial Notes), US$750,000 Convertible Notes due in 2023 (i.e.
Other Initial Notes), US$500,000 Convertible Notes due in 2023 (i.e. Other Initial
Notes), US$750,000 Convertible Notes due in 2023 (i.e. Other Initial Notes), US
$500,000 Convertible Notes due in 2023 (i.e. Other Initial Notes) and US$840,000
Convertible Notes due in 2023 (i.e. Other Initial Notes) were issued by the
Company respectively.
On 24 May 2021, the Company and the Subscriber entered into a supplemental
agreement to amend certain terms and conditions of the Subscription Agreement.
On 10 September 2021, the Initial Warrant was issued by the Company to the
Subscriber at the Warrant Purchase Price of US$1.00, which entitles the
Warrantholder to exercise the Warrant Subscription Right of up to an Initial Warrant
Amount of US$4,045,000 worth of Warrant Shares equivalent to 48,228,846
Warrant Shares at the initial Warrant Exercise Price of HK$0.65 per Warrant Share.
For details, please refer to the Company’s announcements dated 19, 28 and 29
January, 1 February, 1 and 15 March, 12 and 26 April, 10, 24 and 27 May, 7 and
0 241,442,308

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30 June, 14 and 23 July, 24 August, 10 September and 10 November 2021 and the Company’s circular dated 30 June 2021.

2. Type of shares issuable 2. Type of shares issuable Preference shares Class of shares Not applicable Not applicable Shares issuable to be listed on SEHK (Note 1) Shares issuable to be listed on SEHK (Note 1) No
Stock code of shares issuable (if listed on SEHK) (Note 1)
Description General Meeting
approval date
(if applicable)
No. of new shares of issuer issued during
the month pursuant thereto (D)
No. of new shares of issuer which may be
issued pursuant thereto as at close of the
month
1). On 9 December 2021, the Company entered into the Agreement between the
Company and Tycoon Partner Holdings Limited (the "Subscriber") in respect of the
term extension and the subscription of the Preference Shares with the Subscriber.
Pursuant to the Agreement, the Company and the Subscriber conditionally agreed
for the Company to allot and issue to the Subscriber, 323,657,534 Preference
Shares at the Subscription Price of HK$0.73 per Preference Share, with an
aggregated Subscription Price of HK$236,270,000.
For details, please refer to the Company’s announcements dated 9 and 31
December 2021.
0 0
Total D (Ordinary shares):
Total D (Preference shares):
0
0

Remarks:

  1. 96,457,692 shares were approved in the AGM held on 15 June 2020; 171,811,537 shares were approved in the EGM held on 21 July 2021

  2. 241,442,308 shares include (i)48,228,846 new shares which may be issued pursuant to the Warrant as stated under "Warrants" above; and (ii) a total of 69,630,765 new shares which may be issued pursuant to the Convertible Notes as stated under "Convertibles" above.

(E). Other Movements in Issued Share Not applicable

Total increase / decrease (-) in Ordinary shares during the month (i.e. Total of A to E)
Total increase / decrease (-) in Preference shares during the month (i.e. Total of A to E)
0
0

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IV. Information about Hong Kong Depositary Receipt (HDR)

Not applicable

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V. Confirmations

Not applicable

Submitted by: Kwok Ka Hei Title: Company Secretary

(Director, Secretary or other Duly Authorised Officer)

Notes

  1. SEHK refers to Stock Exchange of Hong Kong.

  2. Items (i) to (viii) are suggested forms of confirmation which may be amended to meet individual cases. Where the issuer has already made the relevant confirmations in a return published under Main Board Rule 13.25A / GEM Rule 17.27A in relation to the securities issued, no further confirmation is required to be made in this return.

  3. “Identical” means in this context:

  4. . the securities are of the same nominal value with the same amount called up or paid up;

  5. they are entitled to dividend/interest at the same rate and for the same period, so that at the next ensuing distribution, the dividend/interest payable per unit will amount to

  6. . exactly the same sum (gross and net); and

  7. . they carry the same rights as to unrestricted transfer, attendance and voting at meetings and rank pari passu in all other respects.

  8. If there is insufficient space, please submit additional document.

  9. In the context of repurchase of shares:

  10. . “shares issuable to be listed on SEHK” should be construed as “shares repurchased listed on SEHK”; and

  11. . “stock code of shares issuable (if listed on SEHK)” should be construed as “stock code of shares repurchased (if listed on SEHK)”; and

  12. . “type of shares issuable” should be construed as “type of shares repurchased”; and

  13. . “issue and allotment date” should be construed as “cancellation date”

  14. In the context of redemption of shares:

  15. . “shares issuable to be listed on SEHK” should be construed as “shares redeemed listed on SEHK”; and

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  • . “stock code of shares issuable (if listed on SEHK)” should be construed as “stock code of shares redeemed (if listed on SEHK)”; and

  • . “type of shares issuable” should be construed as “type of shares redeemed”; and

  • . “issue and allotment date” should be construed as “redemption date”

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