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MARIMACA COPPER CORP. — Share Issue/Capital Change 2025
Dec 7, 2025
65301_rns_2025-12-07_eaa0ae62-264c-4090-94eb-5cc9fbc189a9.pdf
Share Issue/Capital Change
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Appendix 4A - Statement of CDIs on issue
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Part 1 - Entity and announcement details
1.1 Name of +Entity
MARIMACA COPPER CORP.
1.2 Registered Number Type
ARBN
Registration Number 683017094
1.3 ASX issuer code
MC2
1.4 The announcement is
New announcement
1.5 Date of this announcement
8/12/2025
Appendix 4A - Statement of CDIs on issue
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Appendix 4A - Statement of CDIs on issue
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Part 2 - Details of +CDIs and other +securities on issue
2.1 Statement for month and year
November-2025
2.2a Number and class of all +CDIs issued over quoted +securities
ASX Security Code and Description +CDI Ratio MC2 : CHESS DEPOSITARY INTERESTS 1:1 1:1 Total number of +CDIs issued over Total number of +CDIs issued over Net Difference (A-B) quoted +securities at end of quoted +securities at end of previous -733,312 statement month (A): month (B): 27,537,676 28,270,988
Reason for change:
Common share
Net transfers of securities between CDIs and
TSX
as quoted / held on
If the total number of +CDIs issued over quoted +securities at the end of the statement month, is greater than the total number of +CDIs issued over quoted +securities 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, the entity hereby applies for +quotation of the relevant securities
and agrees to the matters set out in Appendix 2A of the ASX Listing Rules.
2.2b Number and class of all +securities on issue over which +CDIs have not been issued
ASX Security Code and Description
MC2AA : COMMON SHARES
Total number of +securities at end of Total number of +securities at end of Net Difference (A-B) statement month (A) previous month (B) 751,362 90,979,898 90,228,536 Reason for change:
Transfer of securities between CDIs and Common Shares and conversion of 18,050 Restricted Share Units
ASX Security Code and Description
MC2AD : OPTION EXPIRING 25-MAR-2026 EX CAD 4.60
Total number of +securities at end of Total number of +securities at end of Net Difference (A-B) statement month (A) previous month (B) 0 200,000 200,000 ASX Security Code and Description MC2AE : OPTION EXPIRING 06-MAY-2026 EX CAD 5.00 Total number of +securities at end of Total number of +securities at end of Net Difference (A-B) statement month (A) previous month (B) 0 2,415,000 2,415,000
ASX Security Code and Description
MC2AF : OPTION EXPIRING 18-OCT-2026 EX CAD 4.39
Appendix 4A - Statement of CDIs on issue
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Appendix 4A - Statement of CDIs on issue
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Total number of +securities at end of Total number of +securities at end of Net Difference (A-B) statement month (A) previous month (B) 0 100,000 100,000 ASX Security Code and Description MC2AG : OPTION EXPIRING 23-DEC-2026 EX CAD 3.69 Total number of +securities at end of Total number of +securities at end of Net Difference (A-B) statement month (A) previous month (B) 0 870,000 870,000 ASX Security Code and Description MC2AH : OPTION EXPIRING 19-MAY-2028 EX CAD 4.00 Total number of +securities at end of Total number of +securities at end of Net Difference (A-B) statement month (A) previous month (B) 0 425,000 425,000 ASX Security Code and Description MC2AI : OPTION EXPIRING 14-NOV-2028 EX CAD 3.40 Total number of +securities at end of Total number of +securities at end of Net Difference (A-B) statement month (A) previous month (B) 0 200,000 200,000 ASX Security Code and Description MC2AK : WARRANTS EXPIRING 07-FEB-2026 EX CAD 5.85 Total number of +securities at end of Total number of +securities at end of Net Difference (A-B) statement month (A) previous month (B) 0 500,000 500,000 ASX Security Code and Description MC2AL : RESTRICTED SHARE UNITS Total number of +securities at end of Total number of +securities at end of Net Difference (A-B) statement month (A) previous month (B) -25,000 3,317,612 3,342,612 Reason for change:
Exercise / conversion of 18,050 Restricted Share Units and cancellation of 6,950 Restricted Share Units
Appendix 4A - Statement of CDIs on issue
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