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RTG Mining Inc. — Regulatory Filings 2024
May 2, 2024
47130_rns_2024-05-02_92b327dc-cfb4-4161-a140-b448473ceb23.pdf
Regulatory Filings
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Part 1 - Entity and announcement details
1.1 Name of +Entity
RTG MINING INC.
1.2 Registered Number Type ARBN
Registration Number 164362850
1.3 ASX issuer code RTG
1.4 The announcement is 1.5 Date of this announcement 3/5/2024 New announcement

Part 2 - Details of +CDIs and other +securities on issue
| 2.1 Statement for month and year | ||
|---|---|---|
April-2024
2.2a Number and class of all +CDIs issued over quoted +securities
| ASX Security Code and Description | +CDI Ratio | ||
|---|---|---|---|
| RTG : 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 statement month (A): |
quoted +securities at end of previous month (B): |
-282,000 | |
| 1,084,852,503 | 1,085,134,503 | ||
| Reason for change: | |||
| Net transfers of securities between CDIs and | Ordinary share | ||
| as quoted / held on | Transfer of Securities between CDI's and ordinary shares. | ||
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
RTGAA : ORDINARY FULLY PAID
| Total number of +securities at end of | Total number of +securities at end of | Net Difference (A-B) | |
|---|---|---|---|
| statement month (A) | previous month (B) | 282,000 | |
| 43,799,162 | 43,517,162 |
Reason for change:
Transfer of Securities between CDI's and ordinary shares.
ASX Security Code and Description
RTGAB : OPTION EXPIRING VARIOUS DATES EX VARIOUS PRICES
| 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 |
| 5,827,959 | 5,827,959 |
ASX Security Code and Description
RTGAC : OPTION EXPIRING 15-JUL-2025 EX 5.7C
| 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 |
| 6,806,612 | 6,806,612 |
Total number of +securities at end of Total number of +securities at end of Net Difference (A-B)
ASX Security Code and Description
RTGAD : OPTION EXPIRING 30-JUN-2025 EX \$0.12

| Total number of +securities at end of statement month (A) |
Total number of +securities at end of previous month (B) |
Net Difference (A-B) 0 |
||||
|---|---|---|---|---|---|---|
| 12,715,201 | 12,715,201 | |||||
| ASX Security Code and Description | ||||||
| RTGAE : OPTION EXPIRING 08-SEP-2026 EX \$0.075 | ||||||
| Total number of +securities at end of statement month (A) |
Total number of +securities at end of previous month (B) |
Net Difference (A-B) 0 |
||||
| 15,000,000 | 15,000,000 | |||||
| ASX Security Code and Description | ||||||
| RTGAF : OPTION EXPIRING 08-SEP-2024 EX \$0.075 | ||||||
| Total number of +securities at end of statement month (A) |
Total number of +securities at end of previous month (B) |
Net Difference (A-B) 0 |
||||
| 193,286,828 | 193,286,828 |