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PRO-PAC PACKAGING LIMITED Share Issue/Capital Change 2021

Nov 21, 2021

65602_rns_2021-11-21_b2a1cf53-8a42-4e57-a41f-e21bec3580ef.pdf

Share Issue/Capital Change

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Notification of Consolidation/Split

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Announcement Summary

Entity name

PRO-PAC PACKAGING LIMITED

Applicable security for the reorganisation

PPG ORDINARY FULLY PAID PPGAA PERFORMANCE RIGHTS

Announcement Type

New Announcement

Date of this announcement

22/11/2021

Reorganisation type

Security consolidation

Trading in the post consolidation or split +securities commences on a deferred settlement basis 25/11/2021

Record Date

26/11/2021

Issue Date

3/12/2021

Refer to below for full details of the announcement

Notification of Consolidation/Split

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Notification of Consolidation/Split

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Announcement Details

Part 1 - Entity and announcement details

1.1 Name of +Entity

PRO-PAC PACKAGING LIMITED 1.2 Registered Number Type Registration Number ABN 36112971874 1.3 ASX issuer code PPG 1.4 The announcement is New announcement

1.5 Date of this announcement

22/11/2021

1.6 Securities affected by the consolidation or split

ASX +Security Code ASX +Security Description PPG ORDINARY FULLY PAID PPGAA PERFORMANCE RIGHTS

Part 2 - Approvals

  • 2.1 Are any of the below approvals required for the consolidation or split before business day 0 of the timetable? Security holder approval Court approval Lodgement of court order with +ASIC ACCC approval FIRB approval Another approval/condition external to the entity required to be given/met before business day 0 of the timetable for the consolidation or split.

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Yes

2.2 Approvals

Notification of Consolidation/Split

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Notification of Consolidation/Split

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Approval/Condition Date for determination Is the date estimated or Approval actual? received/condition met? +Security holder approval 23/11/2021 Actual Yes

Comments

Proxy votes received to date are such that the resolution will be passed

Part 3 - Consolidation or split timetable and details

3.1 +Record date

26/11/2021

3.2 Date of +security holder meeting

23/11/2021

3.2a Effective date of consolidation or split

23/11/2021

3.3 Last day for trading in the pre consolidation or split +securities

24/11/2021

3.4 Trading in the post consolidation or split +securities commences on a deferred settlement basis.

25/11/2021

3.5 Record date

26/11/2021

3.6 First day for entity to update its register and to send holding statements to +security holders reflecting the change in the number of +securities they hold.

29/11/2021

3.7 Last day for entity to update its register and send holding statements to +security holders reflecting the change in the number of +securities they hold and to notify ASX that this has occurred. (+Issue Date)

3/12/2021

3.8 Trading starts on a normal T+2 basis

6/12/2021

3.9 First settlement of trades conducted on a +deferred settlement basis and on a normal T+2 basis

8/12/2021

Part 4 - Event type and details

4.1 The event is +Security consolidation

Notification of Consolidation/Split

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Notification of Consolidation/Split

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4.1a Consolidation ratio: the +securities will be consolidated on the basis that every

10

(pre-consolidation) +securities will be consolidated into

1

(post-consolidation) +security (/ies).

4.2 Scrip fraction rounding

Fractions rounded down to the nearest whole number or fractions disregarded

Part 5 - +Securities on issue before and after consolidation or split

5.1 +Securities on issue before and after the consolidation or split

ASX +Security Code ASX +Security Description
PPG ORDINARY FULLY PAID
Quoted/unquoted Number on issue pre Number on issue post Estimate/Actual
Quoted consolidation or split consolidation or split Actual
811,107,285 81,110,729
ASX +Security Code ASX +Security Description
PPGAA PERFORMANCE RIGHTS
Quoted/unquoted Number on issue pre Number on issue post Estimate/Actual
Unquoted consolidation or split consolidation or split Actual
14,996,265 1,499,627
5.2 Exercise price of options
ASX +Security Code ASX +Security Description
PPGAA PERFORMANCE RIGHTS
Quoted/unquoted Exercise price pre consolidation or Exercise price post consolidation or
Unquoted split split
AUD 0.00000000 AUD 0.00000000
Part 6 - Further information

6.1 Further information relating to the consolidation or split

Notification of Consolidation/Split

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Notification of Consolidation/Split

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6.2 Additional information for inclusion in the Announcement Summary

Notification of Consolidation/Split

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