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Marlin Global Limited — Capital/Financing Update 2019
Oct 17, 2019
66231_rns_2019-10-17_6bbee8f8-c0b9-4b0b-8677-b283feef9f6f.pdf
Capital/Financing Update
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QUOTATION NOTICE: NZX MAIN BOARD MARLIN GLOBAL LIMITED (“MLNWD”) WARRANTS
Company: Marlin Global Limited (“MLN”) Warrants Security Code: MLNWD ISIN: NZMLNE0003S6 Details of Security to be Quoted: Approximately 37,000,000 new warrants to subscribe for ordinary shares Ratio (Warrants : Shares): 1 : 4 Exercise Price: $0.94 per Warrant, to be adjusted down for the aggregate amount per Share of any cash dividends declared on the Shares with a record date during the period commencing on the date of allotment of the Warrants and ending on the last Business Day before the final Exercise Price is announced by Marlin Global. Conversion Ratio of Warrants: One ordinary share for each warrant held Record Date: Wednesday, 6 November 2019 Allotment Date: Thursday, 7 November 2019 Last Trading Date: Wednesday, 4 November 2020 Exercise Date: Friday, 6 November 2020 Share Allotment Date: Wednesday, 11 November 2020 Registrar: Computershare Investor Services Limited (“RMLT”) Settlement Status: NZCDC Settlement System Mailing of Warrants Holding Monday, 11 November 2019 Statements: Expected Commencement of Friday, 8 November 2019 Trading on the NZX Main Board:
Mark Peterson Chief Executive Officer NZX Limited
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17 October 2019
NZX Limited, Level 1, NZX Centre, 11 Cable Street, PO Box 2959, Wellington 6140, New Zealand Tel +64 4 472 7599, www.nzx.com