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MANUKA RESOURCES LTD. — Capital/Financing Update 2025
Oct 28, 2025
65340_rns_2025-10-28_838673b6-4aea-4e2a-8b29-e068b430322c.pdf
Capital/Financing Update
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Appendix 3G - Notification of issue, conversion or payment up of unquoted equity securities
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Announcement Summary
Entity name
MANUKA RESOURCES LTD.
Date of this announcement
Wednesday October 29, 2025
The +securities the subject of this notification are: Other
Total number of +securities to be issued/transferred
Total number of ASX +security +securities to be code Security description issued/transferred Issue date New class - code Convertible Loans 9 30/10/2024 to be confirmed
Refer to next page for full details of the announcement
Appendix 3G - Notification of issue, conversion or payment up of unquoted equity securities
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Appendix 3G - Notification of issue, conversion or payment up of unquoted equity securities
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Part 1 - Entity and announcement details
1.1 Name of entity
MANUKA RESOURCES LTD.
We (the entity named above) give notice of the issue, conversion or payment up of the following unquoted +securities.
1.2 Registered number type Registration number ACN 611963225
1.3 ASX issuer code
MKR
1.4 The announcement is
New announcement
1.5 Date of this announcement
29/10/2025
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Appendix 3G - Notification of issue, conversion or payment up of unquoted equity securities
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Part 2 - Issue details
2.1 The +securities the subject of this notification are:
Other
Please specify
9 Convertible Loans issued under Convertible Loan Agreements
2.2a This notification is given in relation to an issue of +securities in a class which is not quoted on ASX and which:
does not have an existing ASX security code ("new class")
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Appendix 3G - Notification of issue, conversion or payment up of unquoted equity securities
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Part 3C - number and type of +securities the subject of this notification (new class)
New +securities
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----- Start of picture text ----- ASX +security code +Security descriptionNew class - code to be confirmed Convertible Loans+Security type ISIN code+Convertible debt securitiesDate the +securities the subject of this notification were issued30/10/2024Will all the +securities issued in this class rank equally in all respects from their issue date?YesHave you received confirmation from ASX that the terms of the +securities are appropriate and equitable underlisting rule 6.1?YesPlease provide a URL link for a document lodged with ASX setting out the material terms of the +securities beingissued.Notice of 2025 Annual General Meetinghttps://manukaresources.com.au/announcements----- End of picture text -----
+Convertible debt securities Details
Type of +security Convertible note or bond +Security currency Face value Interest rate type AUD - Australian Dollar AUD 56,600.00000000 Fixed rate Frequency of coupon/interest payments per year First interest payment date Annual 15/12/2025 Interest rate per annum Is the interest rate per annum estimated at this time? No 15.00 %
s128F of the Income Tax Assessment Act status applicable to the +security Not applicable
Is the +security perpetual (i.e. no maturity)? Maturity date No 15/12/2025 Select other feature(s) applicable to the +security None of the above Is there a first trigger date on which a right of conversion, redemption, call or put can be exercised (whichever is first)? No Details of the existing class of +security that will be issued if the securities are converted, transformed or
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Appendix 3G - Notification of issue, conversion or payment up of unquoted equity securities
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exchanged
Other
Description
(a) 13,913,199 Shares at a deemed issue price of $0.043
(b) 27,826,398 Options each of which is exercisable at $0.06 at any time on or before 5.00pm (Sydney time) on 15 May 2026.
Any other information the entity wishes to provide about the +securities the subject of this notification
Each Convertible Loan is convertible into ordinary shares in the Company at a conversion price of $0.043 per share. Upon conversion, the holder will also receive two options for every share issued, exercisable at $0.06 and expiring 15 May 2026.
Please provide any further information needed to understand the circumstances in which you are notifying the issue of these +securities to ASX, including why the issue of the +securities has not been previously announced to the market in an Appendix 3B
Ordinarily Exception 16 of Listing Rule 7.1 would apply; however, as the Convertible Loan Agreements were not announced at the time and the material terms not disclosed, the Company cannot rely on that exception and is seeking shareholder approval.
Issue details
Number of +securities
9
Were the +securities issued for a cash consideration?
Yes In what currency was the cash consideration being What was the issue price per +security? paid? AUD - Australian Dollar AUD 56,600.00000000
Purpose of the issue
To raise additional working capital
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Appendix 3G - Notification of issue, conversion or payment up of unquoted equity securities
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Part 4 - +Securities on issue
Following the issue, conversion or payment up of the +securities the subject of this notification, the +securities of the entity will comprise:
The figures in parts 4.1 and 4.2 below are automatically generated and may not reflect the entity's current issued capital if other Appendix 2A, Appendix 3G or Appendix 3H forms are currently with ASX for processing.
4.1 Quoted +securities (Total number of each +class of +securities issued and quoted on ASX)
| Total number of | |
|---|---|
| ASX +security code and description | +securities on issue |
| MKR : ORDINARY FULLY PAID | 1,106,825,880 |
| 4.2 Unquoted +securities (Total number of each +class of +securities issued but not quoted on ASX) | |
| Total number of | |
| ASX +security code and description | +securities on issue |
| MKRAP : OPTION EXPIRING 16-DEC-2025 EX $0.17 | 19,571,419 |
| MKRAX : OPTION EXPIRING 24-JAN-2026 EX $0.0834 | 5,000,000 |
| MKRAAD : OPTION EXPIRING 31-MAY-2026 EX $0.06 | 25,000,000 |
| MKRAW : OPTION EXPIRING 31-DEC-2025 EX $0.10 | 25,757,575 |
| MKRAV : OPTION EXPIRING 17-NOV-2025 EX $0.0504 | 3,000,000 |
| MKRAAC : CONVERTIBLE NOTES | 3,650,000 |
| MKRAAG : OPTION EXPIRING 07-AUG-2028 EX $0.10 | 40,000,000 |
| MKRAY : OPTION EXPIRING 31-MAR-2026 EX $0.0821 | 5,000,000 |
| MKRAAE : OPTION EXPIRING 29-MAY-2026 EX $0.06 | 1,000,000 |
| MKRAAA : OPTION EXPIRING 03-APR-2027 EX $0.107 | 5,000,000 |
| MKRAZ : OPTION EXPIRING 15-MAY-2026 EX $0.06 | 106,441,054 |
| MKRAAB : OPTION EXPIRING 30-JUN-2026 EX $0.0411 | 5,000,000 |
| New class - code to be confirmed : Convertible Loans | 9 |
4.2 Unquoted +securities (Total number of each +class of +securities issued but not quoted on ASX)
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Appendix 3G - Notification of issue, conversion or payment up of unquoted equity securities
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Part 5 - Other Listing Rule requirements
5.1 Were the +securities issued under an exception in Listing Rule 7.2 and therefore the issue did not need any security holder approval under Listing Rule 7.1? Yes
5.1a Select the number of the applicable exception in Listing Rule 7.2
16
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