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KORE POTASH PLC — Share Issue/Capital Change 2026
Mar 5, 2026
7751_rns_2026-03-05_c9c3e2a7-ba2b-4aee-8bc1-6e81c37c1666.pdf
Share Issue/Capital Change
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Kore Potash plc
(Incorporated in England and Wales)
Registration number 10933682
ASX share code: KP2
AIM share code: KP2
JSE share code: KP2
ISIN: GB00BYP2QJ94
CDI ISIN: AU000000KP25
("Kore Potash" or the "Company")
5 March 2026
CDI Monthly Movement
Kore Potash (ASX: KP2, AIM: KP2, JSE: KP2) advises the following movements in CDIs over its ordinary shares during February 2026:
Balance – 31 January 2026
582,964,712
Net Movement*
(1,653,286)
Balance – 28 February 2026
581,311,426
- Increase/(Decrease) in the number of CDIs quoted on ASX as a result of transfers between CDIs quoted on ASX and ordinary shares quoted on AIM and JSE, as required by the ASX to be reported on a minimum monthly basis.
A copy of the Appendix 4A lodged with the ASX is attached below.
ENDS
For further information, please visit www.korepotash.com or contact:
Kore Potash
Tel: +44 (0) 20 3733 2169
André Baya, CEO
Andrey Maruta, CFO
Tavistock Communications
Tel: +44 (0) 20 7920 3150
Nick Elwes
Emily Moss
SP Angel Corporate Finance – Nomad and Joint Broker
Tel: +44 (0) 20 7470 0470
Ewan Leggat
Richard Morrison
Charlie Bouverat
Shore Capital – Joint Broker
Tel: +44 (0) 20 7408 4050
Toby Gibbs
James Thomas
Questco Corporate Advisory – JSE Sponsor
Tel: +27 (63) 482 3802
Doné Hattingh
This appendix is available as an online form
Only use this form if the online version is not available
+Rule 4.11
Appendix 4A
Statement of CDIs on issue
Information and documents given to ASX become ASX's property and may be made public.
*Denotes minimum information required for first lodgement of this form.
Part 1 – Entity and announcement details
| Question no | Question | Answer |
|---|---|---|
| 1.1 | *Name of entity | |
| We (the entity named above) provide the following information about our issued capital.¹ | KORE POTASH PLC | |
| 1.2 | *Registration type and number | |
| Please supply your ABN, ARSN, ARBN, ACN or another registration type and number (if you supply another registration type, please specify both the type of registration and the registration number). | ARBN 621843614 | |
| 1.3 | *ASX issuer code | KP2 |
| 1.4 | *The announcement is | |
| Tick whichever is applicable. | ☑ New announcement | |
| ☐ Update/amendment to previous announcement | ||
| ☐ Cancellation of previous announcement | ||
| 1.4a | *Reason for update | |
| Mandatory only if “Update” ticked in Q1.4 above. A reason must be provided for an update. | N/A | |
| 1.4b | *Date of previous announcement to this update | |
| Mandatory only if “Update” ticked in Q1.4 above. | N/A | |
| 1.4c | *Reason for cancellation | |
| Mandatory only if “Cancellation” ticked in Q1.4 above. | N/A | |
| 1.4d | *Date of previous announcement to this cancellation | |
| Mandatory only if “Cancellation” ticked in Q1.4 above. | N/A | |
| 1.5 | *Date of this announcement | Thursday, 5 March 2026 |
¹ Listing rule 4.11 requires an entity that has a dual listing on ASX and an overseas exchange and has CDIs issued over quoted securities, to complete an Appendix 4A and give it to ASX within 5 business days of the end of each month. An entity that has a dual listing on ASX and an overseas exchange and that is proposing to issue new equity securities and to have quoted CDIs over some or all of them, should notify ASX of the proposed issue of the underlying securities using an Appendix 3B and apply for the CDIs to be quoted using an Appendix 2A.
- See chapter 19 for defined terms
1 December 2019
Page 1
This appendix is available as an online form
Appendix 4A
Statement of CDIs on issue
Part 2 – Details of CDIs and other securities on issue
| Question No. | Question | Answer | ||
|---|---|---|---|---|
| 2.1 | *Statement for month and year | |||
| Appendix 4A should be provided within 5 business days of the calendar month end, regardless of whether there is a change or not. | Month: February | |||
| Year: 2026 | ||||
| 2.2 | *Number and class of all ASX-quoted CDIs on issue: | |||
| Repeat the following information for each class of CDIs quoted on ASX | ||||
| ASX security code: | ||||
| KP2 | Security description: | |||
| CHESS DEPOSITARY INTERESTS 1:1 | CDI ratio²: | |||
| 1:1 | ||||
| Total number of CDIs quoted on ASX at end of statement month (A): | ||||
| 581,311,426 | Total number of CDIs quoted on ASX at end of previous month (B): | |||
| 582,964,712 | Net difference³ (A-B): | |||
| (1,653,286) | ||||
| Reason for change: | ||||
| Net transfers of 1,653,286 securities between CDIs and ordinary shares as quoted / held on AIM and JSE. | ||||
| 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. | ||||
| 2.3 | *Number and class of all issued securities not represented by CDIs quoted on ASX: | |||
| Repeat the following table for each class of issued securities not represented (in whole or in part) by CDIs quoted on ASX | ||||
| ASX security code: | ||||
| KP2AA | Security description: | |||
| ORDINARY FULLY PAID | ||||
| Total number of securities at end of statement month (A): | ||||
| 4,594,626,889 | Total number of securities at end of previous month (B): | |||
| 4,592,973,603 | Net difference (A-B): | |||
| 1,653,286 | ||||
| Reason for change: | ||||
| Net transfers of 1,653,286 securities between CDIs and ordinary shares as quoted / held on AIM and JSE. |
- See chapter 19 for defined terms
1 December 2019
This appendix is available as an online form
Appendix 4A
Statement of CDIs on issue
| ASX security code: KP2AH | Security description: OPTION EXPIRING 15-APR-2027 EX GBP 0.001 | ||
|---|---|---|---|
| Total number of securities at end of statement month (A): 35,000,000 | Total number of securities at end of previous month (B): 35,000,000 | Net difference (A-B): 0 | |
| Reason for change: Not applicable. | |||
| ASX security code: KP2AI | Security description: OPTION EXPIRING 09-JUN-2027 EX GBP 0.022 | ||
| Total number of securities at end of statement month (A): 9,000,000 | Total number of securities at end of previous month (B): 9,000,000 | Net difference (A-B): 0 | |
| Reason for change: Not applicable. | |||
| ASX security code: KP2AJ | Security description: OPTION EXPIRING 11-JUN-2028 EX GBP 0.0193 | ||
| Total number of securities at end of statement month (A): 6,000,000 | Total number of securities at end of previous month (B): 6,000,000 | Net difference (A-B): 0 | |
| Reason for change: Not applicable. |
Introduced 01/12/19
- See chapter 19 for defined terms
1 December 2019