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Scholar Education Group Capital/Financing Update 2019

Jun 12, 2019

50155_rns_2019-06-11_170c02a2-70b7-4ffd-ad70-3d6cddb2505f.pdf

Capital/Financing Update

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Please use this form if you want the Hong Kong Offer Shares to be issued in the name of HKSCC Nominees Limited (“HKSCC Nominees”) and deposited directly into the Central Clearing and Settlement System (“CCASS”) for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS Participant 如 閣下欲以香港中央結算(代理人)有限公司(「香港結算代理人」)的名義 登記將獲發行的香港發售股份,並直接存入中央結算及交收系統(「中央結算系統」),以記存於 閣下的 , 中央結算系統投資者戶口持有人股份戶口或 閣下指定的中央結算系統參與者股份戶口 請使用本表格

This Application Form uses the same terms as defined in the prospectus of Scholar Education Group (the “ Company ”) dated 12 June 2019 (the “ Prospectus ”).

Staple Prospectus ”). 本申請表格使用思考樂教育集團(「 本公司 」)於二零一九年六月十二日刊發的招股章程(「 招股章程 」)所界定的詞語。 your Neither this Application Form nor the Prospectus constitutes an offer to sell or the solicitation of an offer to buy any Hong Kong Offer Shares in any payment jurisdiction other than Hong Kong. The Hong Kong Offer Shares may not be offered or sold in the United States without registration or an exemption here from registration under the U.S. Securities Act. 本申請表格及招股章程概不構成在香港以外司法權區要約出售或游說要約購買香港發售股份。若無根據美國證券法登記或豁免登記,香港 請將股款 發售股份不得在美國提呈發售或出售。 緊釘在此 This Application Form and the Prospectus may not be forwarded or distributed or reproduced (in whole or in part) in any manner whatsoever in any

This Application Form and the Prospectus may not be forwarded or distributed or reproduced (in whole or in part) in any manner whatsoever in any jurisdiction where such forwarding, distribution or reproduction is not permitted under the law of that jurisdiction. 在任何根據當地法例不得發送、派發或複製本申請表格及招股章程的司法權區內,本申請表格及招股章程概不得以任何方式發送或派發或 複製(全部或部份)。

Copies of the Prospectus, all related Application Forms and the other documents specified in the “Documents Delivered to the Registrar of Companies and Available for Inspection” section in Appendix VI to the Prospectus, have been registered by the Registrar of Companies in Hong Kong as required by Section 342C of the Companies (Winding Up and Miscellaneous Provisions) Ordinance (Cap. 32). Hong Kong Exchanges and Clearing Limited, The Stock Exchange of Hong Kong Limited (the “ Stock Exchange ”), Hong Kong Securities Clearing Company Limited (“ HKSCC ”), the Securities and Futures Commission of Hong Kong (the “ SFC ”) and the Registrar of Companies of Hong Kong take no responsibility for the contents of these documents.

招股章程、所有相關申請表格及招股章程附錄六「送呈公司註冊處處長及備查文件」一節所述其他文件已遵照第 32 章公司(清盤及雜項條 文)條例第 342C 條的規定,送呈香港公司註冊處處長登記。香港交易及結算所有限公司、香港聯合交易所有限公司(「 聯交所 」)、香港中央 結算有限公司(「 香港結算 」)、香港證券及期貨事務監察委員會(「 證監會 」)及香港公司註冊處處長對此等文件的內容概不負責。

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Scholar Education Group 思考樂教育集團 (Incorporated in the Cayman Islands with limited liability) (在開曼群島註冊成立的有限公司) Number of Offer Shares under the Global Offering : 124,900,000 Shares (subject to the Over-allotment Option) 全球發售項下發售股份數目 : 124,900,000股股份(可能因超額配股權行使而更改) Number of Hong Kong Offer Shares : 12,490,000 Shares (including 1,249,000 Employee Reserved Shares, subject to adjustment) 香港發售股份數目 : 12,490,000股股份(包括1,249,000股僱員預留股份,可予調整) Number of International Placing Shares : 112,410,000 Shares (subject to the Over-allotment Option and adjustment) 國際配售股份數目 : 112,410,000股股份(可能因超額配股權行使而更改及可予調整) Stock Code : 1769 股份代號 : 1769 Offer Price : HK$3.64 to HK$4.68 per Share plus brokerage of 1.0%, SFC (subject to a Downward Offer Price Adjustment) transaction levy of 0.0027% and the Stock Exchange trading fee of 0.005% (payable in full at the maximum offer price application in Hong Kong dollars, subject to refund on final pricing) (If the Offer Price is set at 10% below the bottom end of the indicative Offer Price range after making a Downward Offer Price Adjustment, the Offer Price will be HK$3.28 per Offer Share) 發售價 : 每股發售股份 3.64 港元至 4.68 港元,另加 1.0% 經紀佣金、0.0027% (可下調發售價) 證監會交易徵費及 0.005% 聯交所交易費(須於申請時按最高發售價 以港元繳足,多繳股款可按最終定價退還) (倘下調發售價後,發售價定為較指示性發售價範圍下限低 10%, 發售價將為每股發售股份3.28港元) You should read this Application Form in conjunction with the Prospectus, which contains further information on the application procedures.

, 一 。 招股章程尚有關於申請程序的其他資料 本申請表格應與招股章程 併閱讀

Application Form 申請表格

To: Scholar Education Group The Sole Sponsor The Joint Global Coordinators The Joint Bookrunners The Joint Lead Managers The Hong Kong Underwriters

Applicants’ declaration

I/We agree to the terms and conditions and application procedures in this Application Form and the Prospectus. Please refer to the “Effect of completing and submitting this Application Form” section of this Application Form.

致: 思考樂教育集團 獨家保薦人 聯席全球協調人 聯席賬簿管理人 聯席牽頭經辦人 香港包銷商

申請人聲明

本人╱吾等同意本申請表格及招股章程的條款及條件以及申請 程序。請參閱本申請表格「填交本申請表格的效用」一節。

Warning: Only one application may be made for the benefit of any person. Please refer to the last four bullets of “Effect of completing and submitting this Application Form” section.

警告:任何人士只限作出一次為其利益而進行的認購申請。請 參閱「填交本申請表格的效用」一節最後四點。

Please use this form if you want the Hong Kong Offer Shares to be issued in the name of HKSCC Nominees Limited (“HKSCC Nominees”) and deposited directly into the Central Clearing and Settlement System (“CCASS”) for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS Participant 如 閣下欲以香港中央結算(代理人)有限公司(「香港結算代理人」)的名義 登記將獲發行的香港發售股份,並直接存入中央結算及交收系統(「中央結算系統」),以記存於 閣下的 , 中央結算系統投資者戶口持有人股份戶口或 閣下指定的中央結算系統參與者股份戶口 請使用本表格

Signed by (all) applicant(s) (all joint applicants must sign): 由(所有)申請人簽署(所有聯名申請人必須簽署):

For Broker use 此欄供經紀填寫 Lodged by遞交申請的經紀 Broker No. 經紀號碼 Broker’s Chop 經紀印章

.................................................................................................. Date: 日期: ................./ ............./ .............. D 日 M 月 Y年

Number of Hong Kong Offer Shares applied for (not more than 5,620,000 shares) 申請香港發售股份數目(不超過5,620,000股股份)

Total amount 總額

HK$ 港元 Name in English (in BLOCK letters) 英文姓名╱名稱( 正楷 ) Family name or company name 姓氏或公司名稱

Cheque/banker’s cashier order number 支票╱銀行本票號碼 Name of bank on which cheque/Banker’s cashier order is drawn (see “How to make your application” section) 兌現支票╱銀行本票的銀行名稱(見「申請手續」一節)

Forename(s) 名字

Name in Chinese 中文姓名╱名稱

Family name or company name 姓氏或公司名稱

Forename(s) 名字

Occupation in English 職業(以英文填寫)

Occupation in English 職業(以英文填寫) Hong Kong Identity Card No./Passport No./Hong Kong Business Registration No. (Please delete as appropriate) 香港身份證號碼╱護照號碼╱香港商業登記號碼 (請刪 除不適用者) Names of all other joint applicants in English (if any, in BLOCK letters) Hong Kong Identity Card No./Passport No./Hong Kong 所有其他聯名申請人的英文姓名╱名稱(如有, 正楷 ) Business Registration No. of all other joint applicants(Please delete as appropriate)所有其他聯名申請人的香港身份證號 1) 碼╱護照號碼╱香港商業登記號碼 (請刪除不適用者) 2) 1) 2) 3) 3) Hong Kong address in English and telephone no.(joint applicants should give the address and the telephone number of first-named applicant only, in BLOCK letters)香港地址(以英文 正楷 填寫)及電話號碼(聯名申請人只須填寫排名首位申請人的地址及電話號碼)

For Nominees: You will be treated as applying for your own benefit if you do not complete this section. Please provide an account number or identification code for each (joint) beneficial owner. 由代名人遞交:代名人若不填寫本節,是項認購申 請將視作為 閣下利益提出。請填寫每名(聯名)實益擁有 人的賬戶號碼或識別編碼。

Telephone No. 電話號碼 THIS BOX MUST BE DULY COMPLETED 必須填妥此欄 Participant I.D. of the CCASS Investor Participant or designated CCASS Participant 中央結算系統投資者戶 口持有人或指定的中央結算系統參與者的參與者編號

ADDRESS LABEL 地址標貼 (Your name(s) and address in Hong Kong in BLOCK letters 請用 正楷 填寫 姓名╱名稱 及 香港 地址 )

For designated CCASS Participant or Corporate CCASS Investor Participant, please also affix the company chop bearing its company name 指定的中央結算系統參與者或 中央結算系統公司投資者戶口持有人,請加蓋顯示公司 名稱的公司印鑑

(See paragraph 2 in the section “How to make your application”(請參閱「申請手續」) 一節第2段)

For Internal use 此欄供內部使用

Please use this form if you want the Hong Kong Offer Shares to be issued in the name of HKSCC Nominees Limited (“HKSCC Nominees”) and deposited directly into the Central Clearing and Settlement System (“CCASS”) for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS Participant 如 閣下欲以香港中央結算(代理人)有限公司(「香港結算代理人」)的名義 登記將獲發行的香港發售股份,並直接存入中央結算及交收系統(「中央結算系統」),以記存於 閣下的 , 中央結算系統投資者戶口持有人股份戶口或 閣下指定的中央結算系統參與者股份戶口 請使用本表格

  • (1) If you are a CCASS Investor Participant, only a Hong Kong Identity Card number (if you are an individual) or a Hong Kong Business Registration number (if you are a body corporate) will be accepted for this application, please see paragraph 2 under the section “How to make your application”.

  • 如 閣下為中央結算系統投資者戶口持有人,是項申請僅接納香港身份證號碼(如屬個別人士)或香 港商業登記號碼(如屬法人團體);請參閱「申請手續」一節第 2 段。

  • (2) If you are applying through a designated CCASS Participant (other than a CCASS Investor Participant): For an individual, you must provide your Hong Kong Identity Card number or passport number. If you hold a Hong Kong Identity Card, please provide that number. If you do not hold a Hong Kong Identity Card, please provide your passport number. For a body corporate, please provide your Hong Kong Business Registration number.

  • 如 閣下透過中央結算系統投資者戶口持有人以外的指定中央結算系統參與者提出申請:如屬個別人 士,必須填寫 閣下的香港身份證號碼或護照號碼(持有香港身份證者請填寫香港身份證號碼,否則 請填寫護照號碼);如屬法人團體,請填寫香港商業登記號碼。

  • (3) Part of the Hong Kong Identity Card number/passport number of you or, for joint applicants, the first-named applicant may be printed on your refund cheque (if any). Such data will be used for checking the validity of Application Form and such data would also be transferred to a third party for such purpose and refund purpose. Your banker may require verification of your Hong Kong Identity Card number/passport number before you can cash your refund cheque.

  • 退款支票(如有)上或會印有 閣下或(如屬聯名申請人)排名首位申請人的香港身份證號碼╱護照號 碼的一部份。有關資料將用於核實申請表格的有效性,亦會轉交第三方作資料核實和退款。銀行兌現 退款支票前或會要求查證 閣下的香港身份證號碼╱護照號碼。

  • (4) If an application is made by an unlisted company and:

  • the principal business of that company is dealing in securities; and

  • you exercise statutory control over that company,

  • then the application will be treated as being made for your benefit. 倘若申請由一家非上市公司提出,而:

• 該公司主要從事證券買賣業務;及 • 閣下對該公司可行使法定控制權, 是項申請將視作為 閣下的利益提出。

  • (5) All joint applicants must give (if they are individuals) their Hong Kong Identity Card numbers or, where applicable, passport numbers, or (if they are bodies corporate) their Hong Kong Business Registration numbers. 所有聯名申請人必須提供(如屬個別人士)其香港身份證號碼或(如適用)護照號碼,或(如屬法人團 體)其香港商業登記號碼。

This page is intentionally left blank 此乃白頁 特意留空

Please use this form if you want the Hong Kong Offer Shares to be issued in the name of HKSCC Nominees Limited (“HKSCC Nominees”) and deposited directly into the Central Clearing and Settlement System (“CCASS”) for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS Participant

How to make your application

  1. Use the table below to calculate how much you must pay. Your application must be for a minimum of 1,000 Hong Kong Offer Shares and in one of the numbers set out in the table, or your application will be rejected.

NUMBER OF HONG KONG OFFER SHARES THAT MAY BE APPLIED FOR AND PAYMENTS

Hong Kong Offer Shares and in one of the numbers set out in the table, or your application will be rejected.
Hong Kong Offer Shares and in one of the numbers set out in the table, or your application will be rejected.
Hong Kong Offer Shares and in one of the numbers set out in the table, or your application will be rejected.
NUMBER OF HONG KONG OFFER SHARES THAT MAY BE APPLIED FOR AND PAYMENTS
No. of
Hong Kong Offer
Shares applied for
Amount payable
on application
(HK$)
No. of
Hong Kong Offer
Shares applied for
Amount payable
on application
(HK$)
No. of
Hong Kong Offer
Shares applied for
Amount payable
on application
(HK$)
1,000
4,727.16
2,000
9,454.32
3,000
14,181.48
4,000
18,908.65
5,000
23,635.80
6,000
28,362.96
7,000
33,090.12
8,000
37,817.28
9,000
42,544.45
10,000
47,271.60
15,000
70,907.41
20,000
94,543.21
25,000
118,179.01
30,000
141,814.81
35,000
165,450.61
40,000
189,086.41
45,000
212,722.22
50,000
236,358.02
60,000
283,629.62
70,000
330,901.23
80,000
378,172.83
90,000
425,444.43
100,000
472,716.04
200,000
945,432.07
300,000
1,418,148.11
400,000
1,890,864.14
500,000
2,363,580.18
600,000
2,836,296.22
700,000
3,309,012.25
800,000
3,781,728.29
900,000
4,254,444.32
1,000,000
4,727,160.36
1,500,000
7,090,740.54
2,000,000
9,454,320.72
2,500,000
11,817,900.90
3,000,000
14,181,481.08
3,500,000
16,545,061.26
4,000,000
18,908,641.44
4,500,000
21,272,221.62
5,000,000
23,635,801.80
5,620,000(1)
26,566,641.22
(1)Maximum number of Hong Kong
Offer Shares you may apply for.
樣版
  1. You, as the applicant(s), must complete the form in English (in BLOCK letters) as indicated below and sign on the second page of the Application Form. Only written signatures will be accepted (and not by way of personal chop).

  2. If you are applying through a designated CCASS Participant (other than a CCASS Investor Participant):

  3. the designated CCASS Participant must endorse the form with its company chop (bearing its company name) and insert its participant I.D. in the appropriate box.

  4. If you are applying as an individual CCASS Investor Participant:

  5. the form must contain your NAME and Hong Kong Identity Card number.

  6. your participant I.D. must be inserted in the appropriate box.

  7. If you are applying as a joint individual CCASS Investor Participant:

  8. the form must contain all joint investor participants’ NAMES and the Hong Kong Identity Card number of all joint investor participants;

  9. your participant I.D. must be inserted in the appropriate box.

  10. If you are applying as a corporate CCASS Investor Participant:

  11. the form must contain your company NAME and Hong Kong Business Registration number;

  12. your participant I.D. and your company chop (bearing your company name) must be inserted in the appropriate box.

  13. Incorrect or omission of details of the CCASS Participant including participant I.D. and/or company chop bearing its company name or other similar matters may render your application invalid.

  14. Staple your cheque or banker’s cashier order to the form. Each application for the Hong Kong Offer Shares must be accompanied by either one separate cheque or one separate banker’s cashier order. Your application will be rejected if your cheque or banker’s cashier order does not meet all the following requirements:

The cheque must: Banker’s cashier order must: • be in Hong Kong dollars; • not be post-dated; • be made payable to “ BANK OF CHINA (HONG KONG) NOMINEES LIMITED — SCHOLAR EDUCATION PUBLIC OFFER ”;

• be crossed “Account Payee Only”;

  • be drawn on your Hong Kong dollar bank account • be issued by a licensed bank in Hong Kong, and in Hong Kong; and have your name certified on the back by a person

  • • show your account name, which must either be authorised by the bank. The name on the banker’s pre-printed on the cheque, or be endorsed on the cashier order must correspond with your name. If back by a person authorised by the bank. This it is a joint application, the name on the back of account name must correspond with your name. If the banker’s cashier order must be the same as the it is a joint application, the account name must be first-named applicant’s name. the same as the first-named applicant’s name.

Please use this form if you want the Hong Kong Offer Shares to be issued in the name of HKSCC Nominees Limited (“HKSCC Nominees”) and deposited directly into the Central Clearing and Settlement System (“CCASS”) for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS Participant

  1. Tear off the Application Form, fold it once and lodge your completed Application Form (with cheque or

banker’s cashier order attached) to one of the collection boxes at any of the following branches of:

(a) Bank of China (Hong Kong) Limited

Branch Name

Address

Hong Kong Island Connaught Road Central Branch 13–14 Connaught Road Central, Hong Kong Wan Chai (Wu Chung House) 213 Queen’s Road East, Wan Chai, Branch Hong Kong Kowloon Telford Plaza Branch Shop Unit P2–P7, Telford Plaza, No.33 Wai Yip Street, Kowloon Bay, Kowloon Mong Kok Branch 589 Nathan Road, Mong Kok, Kowloon New Territories Shatin Branch Shop 20, Level 1, Lucky Plaza, 1–15 Wang Pok Street, Sha Tin, New Territories

Kowloon

New Territories

  1. Your Application Form can be lodged at these times:

— Wednesday, 12 June 2019 9:00 a.m. to 5:00 p.m. Thursday, 13 June 2019 — 9:00 a.m. to 5:00 p.m. — Friday, 14 June 2019 9:00 a.m. to 5:00 p.m. — Saturday, 15 June 2019 9:00 a.m. to 1:00 p.m. Monday, 17 June 2019 — 9:00 a.m. to 12:00 noon

  1. The latest time for lodging your application is 12:00 noon on Monday, 17 June 2019. The application lists will be open between 11:45 a.m. to 12:00 noon on that day, subject only to the weather conditions, as described in “10. Effect of Bad Weather on the Opening of the Application Lists” in the “How to Apply for the Hong Kong Offer Shares and Employee Reserved Shares” section in the Prospectus.

The applications for the Hong Kong Offer Shares will commence on 12 June 2019 through 17 June 2019. The application monies (including the brokerage fees, SFC transaction levies and Stock Exchange trading fees) will be held by the receiving bank and on behalf of the Company after the closing of the application lists and the refund monies, if any, will be returned to the applicants without interest on or before 20 June 2019. Investors should be aware that the dealings in the Shares on the Stock Exchange are expected to commence on 21 June 2019.

如 閣下欲以香港中央結算(代理人)有限公司(「香港結算代理人」)的名義登記將獲發行的香港發售股 份,並直接存入中央結算及交收系統(「中央結算系統」),以記存於 閣下的中央結算系統投資者戶口持 , 有人股份戶口或 閣下指定的中央結算系統參與者股份戶口 請使用本表格

申請手續 1. 使用下表計算 閣下應付的款項。 列的其中一個數目,否則恕不受理。

閣下申請認購的股數須至少為1,000股香港發售股份,並為下表所

1.
使用下表計算 閣下應付的款項。
閣下申請認購的股數須至少為1,000股香港發售股份,並為下表所
列的其中一個數目,否則恕不受理。
1.
使用下表計算 閣下應付的款項。
閣下申請認購的股數須至少為1,000股香港發售股份,並為下表所
列的其中一個數目,否則恕不受理。
1.
使用下表計算 閣下應付的款項。
閣下申請認購的股數須至少為1,000股香港發售股份,並為下表所
列的其中一個數目,否則恕不受理。
可供申請認購的香港發售股份數目及應繳款項
申請認購的
香港發售
股份數目
申請時
應繳款項
(港元)
申請認購的
香港發售
股份數目
申請時
應繳款項
(港元)
申請認購的
香港發售
股份數目
申請時
應繳款項
(港元)
1,000
4,727.16
2,000
9,454.32
3,000
14,181.48
4,000
18,908.65
5,000
23,635.80
6,000
28,362.96
7,000
33,090.12
8,000
37,817.28
9,000
42,544.45
10,000
47,271.60
15,000
70,907.41
20,000
94,543.21
25,000
118,179.01
30,000
141,814.81
35,000
165,450.61
40,000
189,086.41
45,000
212,722.22
50,000
236,358.02
60,000
283,629.62
70,000
330,901.23
80,000
378,172.83
90,000
425,444.43
100,000
472,716.04
200,000
945,432.07
300,000
1,418,148.11
400,000
1,890,864.14
500,000
2,363,580.18
600,000
2,836,296.22
700,000
3,309,012.25
800,000
3,781,728.29
900,000
4,254,444.32
1,000,000
4,727,160.36
1,500,000
7,090,740.54
2,000,000
9,454,320.72
2,500,000
11,817,900.90
3,000,000
14,181,481.08
3,500,000
16,545,061.26
4,000,000
18,908,641.44
4,500,000
21,272,221.62
5,000,000
23,635,801.80
5,620,000(1)
26,566,641.22
(1) 閣下可申請認購的香港發售股份
最高數目。
樣版
  1. 閣下作為申請人,必須按照下列指示以英文 正楷 填妥表格,並於申請表格次頁簽署,只接納親筆簽名 (不得以個人印章代替)。

  2. 如 閣下透過中央結算系統投資者戶口持有人以外的指定中央結算系統參與者提出申請:

  3. ‧ 該指定中央結算系統參與者必須於表格蓋上公司印鑑(附有公司名稱),並在適當方格內填寫參與 者編號。

  4. 如 閣下以個人中央結算系統投資者戶口持有人名義提出申請:

  5. ‧ 表格須載有 閣下的姓名和香港身份證號碼。

  6. ‧ 須在適當方格內填寫 閣下的參與者編號。

  7. 如 閣下以聯名個人中央結算系統投資者戶口持有人名義提出申請:

  8. ‧ 表格須載有所有聯名投資者戶口持有人的姓名和香港身份證號碼;

  9. ‧ 須在適當方格內填寫 閣下的參與者編號。

  10. 如 閣下以公司中央結算系統投資者戶口持有人名義提出申請:

  11. ‧ 表格須載有 閣下的公司名稱和香港商業登記號碼;

  12. ‧ 須在適當方格內填寫 閣下的參與者編號並蓋上公司印鑑(附有公司名稱)。

  13. 中央結算系統參與者的資料(包括參與者編號及╱或顯示公司名稱的公司印鑑)或其他類似事項如有不 正確或遺漏,均可能導致申請無效。

  14. 閣下須將支票或銀行本票釘於表格上。每份香港發售股份申請須附一張獨立開出支票或一張獨立開出 銀行本票。支票或銀行本票必須符合以下所有規定,否則 閣下的認購申請將不獲接納:

支票必須: 銀行本票必須:

  • ‧ 為港元;

  • ‧ 不得為期票;

  • ‧ 註明抬頭人為「 中國銀行(香港)代理人有限公司 — 思考樂教育公開發售 」; ‧ 劃線註明「只准入抬頭人賬戶」;

  • ‧ ‧ 從 閣下在香港的港元銀行賬戶中開出;及 須由香港持牌銀行開出,並由有關銀行授權的

  • ‧ 顯示 閣下的賬戶名稱,而該賬戶名稱必須已 人士在銀行本票背面簽署核證 閣下姓名╱名 預印在支票上,或由有關銀行授權的人士在支 稱。銀行本票所示姓名╱名稱須與 閣下姓 票背書。賬戶名稱必須與 閣下姓名╱名稱相 名╱名稱相同。如屬聯名申請,銀行本票背面 同。如屬聯名申請,賬戶名稱必須與排名首位 所示姓名╱名稱必須與排名首位申請人的姓 申請人的姓名╱名稱相同。 名╱名稱相同。

如 閣下欲以香港中央結算(代理人)有限公司(「香港結算代理人」)的名義登記將獲發行的香港發售股 份,並直接存入中央結算及交收系統(「中央結算系統」),以記存於 閣下的中央結算系統投資者戶口持 , 有人股份戶口或 閣下指定的中央結算系統參與者股份戶口 請使用本表格

  1. 請撕下申請表格,對摺一次,然後將填妥的申請表格(連同隨附的支票或銀行本票)投入下列任何一間 分行的收集箱:

(a) 中國銀行(香港)有限公司

分行名稱

地址

香港島 干諾道中分行 香港干諾道中 13–14 號 灣仔胡忠大廈分行 香港灣仔皇后大道東 213 號 九龍 德福廣場分行 九龍九龍灣偉業街 33 號德福廣場 P2–P7 號舖 旺角分行 九龍旺角彌敦道 589 號 新界 沙田分行 新界沙田橫壆街 1–15 號好運中心地下 20 號舖

  1. 閣下可於下列時間遞交申請表格:

— 二零一九年六月十二日(星期三) 上午九時正至下午五時正 二零一九年六月十三日(星期四)— 上午九時正至下午五時正 二零一九年六月十四日(星期五)— 上午九時正至下午五時正 — 二零一九年六月十五日(星期六) 上午九時正至下午一時正 二零一九年六月十七日(星期一)— 上午九時正至中午十二時正

  1. 截止遞交申請的時間為二零一九年六月十七日(星期一)中午十二時正。本公司將於當日上午十一時四 十五分至中午十二時正期間登記認購申請,惟須視乎當日的天氣情況(詳見招股章程「如何申請香港發 售股份及僱員預留股份」一節「10. 惡劣天氣對開始辦理申請登記的影響」)。

香港發售股份申請將會自二零一九年六月十二日起直至二零一九年六月十七日止。申請款項(包括經 紀佣金、證監會交易徵費及聯交所交易費)將由收款銀行於截止辦理申請登記後代表本公司持有,且 退款金額(如有)將於二零一九年六月二十日或之前不計利息退還予申請人。投資者務請注意,預期股 份將於二零一九年六月二十一日於聯交所開始買賣。

Please use this form if you want the Hong Kong Offer Shares to be issued in the name of HKSCC Nominees Limited (“HKSCC Nominees”) and deposited directly into the Central Clearing and Settlement System (“CCASS”) for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS Participant

Scholar Education Group 思考樂教育集團

(Incorporated in the Cayman Islands with limited liability)

GLOBAL OFFERING

Conditions of your application

• undertake and confirm that you or the person(s) for whose benefit you have made the application have not applied for or taken up, or indicated an interest for, and will not apply for or take up, or indicate an interest for, any International Placing Shares under the International Placing nor participated in the International placing; • agree to disclose to the Company, the Hong Kong Share Registrar, the receiving bank, the Sole Sponsor, the Joint Global Coordinators, the Joint Bookrunners, the Joint Lead Managers and the Underwriters and/or their respective advisers and agents any personal data which they may require about you and the person(s) for whose benefit you have made the application;

A. Who can apply

  1. You and any person(s) for whose benefit you are applying must be 18 years of age or older and must have a Hong Kong address.

  2. If you are a firm, the application must be in the individual members’ names.

  3. The number of joint applicants may not exceed 4.

  4. If you are a body corporate, the application must be signed by a duly authorised officer, who must state his representative capacity, and stamped with your corporation’s chop.

  5. Unless permitted by the Listing Rules or any relevant waivers that have been granted by the Stock Exchange, you cannot apply for any Hong Kong Offer Shares if you:

• if the laws of any place outside Hong Kong apply to your application, been granted by the Stock Exchange, you cannot apply for any Hong agree and warrant that you have complied with all such laws and none Kong Offer Shares if you: ‧ are an existing beneficial owner of Shares in the Company and/or of the Company, the Sole Sponsor, the Joint Global Coordinators, the Joint Bookrunners, the Joint Lead Managers and the Underwriters nor any of its subsidiaries; any of their respective officers or advisers will breach any law outside ‧ are a Director or chief executive officer of the Company and/or any Hong Kong as a result of the acceptance of your offer to purchase, or of its subsidiaries; any action arising from your rights and obligations under the terms ‧ are a connected person of the Company or will become a connected and conditions contained in the Prospectus and this Application Form; person of the Company immediately upon completion of the • agree that once your application has been accepted, you may not Global Offering; rescind it because of an innocent misrepresentation; ‧ are an associate of any of the above; • agree that your application will be governed by the laws of Hong ‧ are a United States person (as defined in Regulation S under Kong; the U.S. Securities Act), or a legal or natural person of the PRC • represent, warrant and undertake that (i) you understand that the Hong (except those who have complied with all relevant PRC laws Kong Offer Shares have not been and will not be registered under the and regulations in relation to such application, including but not U.S. Securities Act; and (ii) you and any person for whose benefit limited to qualified domestic institutional investors); you are applying for the Hong Kong Offer Shares are outside the ‧ are a person within the United States; or United States (as defined in Regulation S) or are a person described in ‧ paragraph (h)(3) of Rule 902 of Regulation S;

‧ have been allocated or have applied for or indicated an interest in any International Placing Shares under the International Placing. • • B. If you are a nominee You, as a nominee, may make more than one application for the Hong Kong • Offer Shares by: (i) giving electronic instructions to HKSCC via Central Clearing and Settlement System (“ CCASS ”) (if you are a CCASS Participant); or (ii) using a WHITE or YELLOW Application Form, and lodge more than one application in your own name on behalf of different beneficial owners.

warrant that the information you have provided is true and accurate; agree to accept the Hong Kong Offer Shares applied for, or any lesser number allocated to you under the application;

authorise the Company to place the name of the HKSCC Nominees on the Company’s register of members as the holder(s) of any Hong Kong Offer Shares allocated to you, and the Company and/or its agents to deposit any share certificate(s) into CCASS and/or to send any e-Refund payment instructions and/or any refund cheque(s) to you or the first-named applicant for joint application by ordinary post at your own risk to the address stated on the application, unless you have fulfilled the criteria set out in “Personal Collection” in the “How to Apply for Hong Kong Offer Shares and Employee Reserved Shares” section of the Prospectus to collect refund cheque(s) in person;

C. Effect of completing and submitting this Application Form By completing and submitting this Application Form, you (and if you are joint applicants, each of you jointly and severally) for yourself or as an agent or a nominee on behalf of each person for whom you act:

  • undertake to execute all relevant documents and instruct and authorise the Company and/or the Joint Global Coordinators (or their agents or nominees), as agents of the Company, to execute any documents for you and to do on your behalf all things necessary to register any Hong Kong Offer Shares allocated to you in the name of HKSCC Nominees as required by the Articles of Association;

agree that the shares to be allotted shall be issued in the name of HKSCC Nominees and deposited directly into CCASS for credit to your investor participant stock account or the stock account of your designated CCASS Participant;

• agree that each of HKSCC and HKSCC Nominees reserves the right (1) not to accept any or part of such allotted shares issued in the name of HKSCC Nominees or not to accept such allotted shares for deposit into CCASS; (2) to cause such allotted shares to be withdrawn from CCASS and issued in your name at your own risk and costs; and (3) to cause such allotted shares to be issued in your name (or, if you are a joint applicant, to the firstnamed applicant) and in such a case, to post the certificates for such allotted shares at your own risk to the address on your application form by ordinary post or to make available the same for your collection;

  • agree to comply with the Cayman Islands Companies Law, the Companies Ordinance (Cap. 622), the Companies (Winding Up and Miscellaneous Provisions) Ordinance (Cap. 32) and the Articles of Association;

  • confirm that you have read the terms and conditions and application procedures set out in the Prospectus and in this Application Form and agree to be bound by them;

  • confirm that you have received and read the Prospectus and have only relied on the information and representations contained in the Prospectus in making your application and will not rely on any other information or representations, except those in any supplement to the Prospectus;

  • agree that each of HKSCC and HKSCC Nominees may adjust the number of allotted shares issued in the name of HKSCC Nominees;

  • • agree that neither HKSCC nor HKSCC Nominees shall have any liability for the information and representations not so contained in the Prospectus and this application form;

  • confirm that you are aware of the restrictions on the Global Offering in the Prospectus;

  • agree that none of the Company, the Sole Sponsor, the Joint Global Coordinators, the Joint Bookrunners, the Joint Lead Managers, the Underwriters, their respective directors, officers, employees, partners, agents, advisers and any other parties involved in the Global Offering is or will be liable for any information and representations not in the Prospectus (and any supplement to it);

  • agree that neither HKSCC nor HKSCC Nominees shall be liable to you in any way;

  • declare and represent that this is the only application made and the only application intended by you to be made to benefit you or the person for whose benefit you are applying;

Please use this form if you want the Hong Kong Offer Shares to be issued in the name of HKSCC Nominees Limited (“HKSCC Nominees”) and deposited directly into the Central Clearing and Settlement System (“CCASS”) for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS Participant

  • understand that the Company and the Joint Global Coordinators will rely on your declarations and representations in deciding whether or not to make any allotment of any of the Hong Kong Offer Shares to you and that you may be prosecuted for making a false declaration;

  • • (if the application is made for your own benefit) warrant that no other application has been or will be made for your benefit on a WHITE or YELLOW Application Form or by giving electronic application instructions to HKSCC or to the White Form eIPO Service Provider by you or by any one as your agent or by any other person; and

  • (if you are making the application as an agent for the benefit of another person) warrant that (i) no other application has been or will be made by you as agent for or for the benefit of that person or by that person or by any other person as agent for that person on a WHITE or YELLOW Application Form or by giving electronic application instructions to HKSCC; and (ii) you have due authority to sign the Application Form or give electronic application instructions on behalf of that other person as their agent.

D. Power of attorney

If your application is made through an authorised attorney, the Company and the Joint Global Coordinators may accept or reject your application at their discretion, and on any conditions they think fit, including evidence of the attorney’s authority.

Determination of Offer Price and Allocation of Hong Kong Offer Shares

The Offer Price is expected to be fixed on or around Monday, 17 June 2019. Applicants are required to pay the maximum Offer Price of HK$4.68 for each Hong Kong Offer Share together with 1% brokerage, 0.0027% SFC transaction levy and 0.005% Stock Exchange trading fee. If the Offer Price is not agreed among the Company and the Joint Global Coordinators (for themselves and on behalf of the Underwriters) on or before Wednesday, 19 June 2019, the Global Offering will not proceed.

Applications for Hong Kong Offer Shares will not be processed and no allotment of any Hong Kong Offer Shares will be made until the application lists close.

If the Company decides to set the Offer Price after making a Downward Offer Price Adjustment (a reduction of up to 10% below the bottom end of the indicative Offer Price range), the Company will separately announce the final Offer Price no later than June 20, 2019 on the website of the Stock Exchange at www.hkexnews.hk and the Company’s website at www. skledu.com .

Irrespective of whether a Downward Offer Price Adjustment is made, the Company expects to announce the fixed offer price, the indication of the level of interest in the International Placing, the level of applications in the Hong Kong Public Offering and the basis of allocation of the Hong Kong Offer Shares on Thursday, 20 June 2019 in South China Morning Post (in English) and Hong Kong Economic Times (in Chinese), and on the website of the Stock Exchange at www.hkexnews.hk and the Company’s website at www.skledu.com . Results of allocations and the Hong Kong Identity Card/passport/Hong Kong business registration numbers of successful applicants (where applicable) will be available on the above websites. The allocation of the Offer Shares between the Hong Kong Public Offering and the International Placing will be subject to adjustment as described in the section headed “Structure of the Global Offering — The Hong Kong Public Offering — Reallocation and clawback” in the Prospectus. In the event there remains any Employee Reserved Shares after satisfying in full all the applications from the Eligible Employees, on a fair and reasonable basis, the remaining Employee Reserved Shares will be reallocated to the Hong Kong Public Offering and subject to the allocation of the Global Offering between the International Placing and the Hong Kong Public Offering. In particular, the Joint Global Coordinators may reallocate Offer Shares from the International Placing to the Hong Kong Public Offering to satisfy valid applications under the Hong Kong Public Offering, provided that the total number of Offer Shares available under the Hong Kong Public Offering shall not be increased to more than 24,980,000 Offer Shares, representing two times the number of Offer Shares initially available for subscription under the Hong Kong Public Offering and 20% of the total number of Offer Shares initially available for subscription under the Global Offering, and the final Offer Price shall be fixed at the bottom end of the Offer Price range (i.e. HK$3.64 per Offer Share) stated

in the Prospectus in accordance with the Guidance Letter HKEX-GL91-18 issued by the Stock Exchange. In accordance with the Guidance Letter HKEx GL91-18, if such reallocation is done other than pursuant to Practice Note 18 of the Listing Rules, the maximum total number of Offer Shares that may be allocated to the Hong Kong Public Offering following the reallocation shall not be more than double of the initial allocation to the Hong Kong Public Offering (i.e. 24,980,000 Offer Shares).

If your application for Hong Kong Offer Shares is successful (in whole or in part)

If your application is wholly or partially successful, your Share certificate(s) (subject to their becoming valid certificates of title provided that the Hong Kong Public Offering has become unconditional and not having been terminated at 8:00 a.m. on Friday, 21 June 2019) will be issued in the name of HKSCC Nominees and deposited directly into CCASS for credit to your CCASS Investor Participant’s stock account or the stock account of your designated CCASS Participant as instructed by you in your Application Form on Thursday, 20 June 2019 or, in the event of a contingency, on any other date as shall be determined by HKSCC or HKSCC Nominees.

  • If you are applying through a designated CCASS Participant (other than a CCASS Investor Participant): For Hong Kong Offer Shares credited to the stock account of your designated CCASS Participant (other than a CCASS Investor Participant), you can check the number of Hong Kong Offer Shares allotted to you with that CCASS Participant.

• If you are applying as a CCASS Investor Participant: The Company expects to publish the results of CCASS Investor Participants’ applications together with the results of the Hong Kong Public Offering in The South China Morning Post (in English) and Hong Kong Economic Times (in Chinese) and on the website of the Stock Exchange at www.hkexnews.hk and the Company’s website at www. skledu.com on Thursday, 20 June 2019. You should check the announcement published by the Company and report any discrepancies to HKSCC before 5:00 p.m. on Thursday, 20 June 2019 or such other date as shall be determined by HKSCC or HKSCC Nominees. Immediately after the credit of the Hong Kong Offer Shares to your stock account you can check your new account balance via the CCASS Phone System and CCASS Internet System (under the procedures contained in HKSCC’s “An Operating Guide for Investor Participants” in effect from time to time). HKSCC will also make available to you an activity statement showing the number of Hong Kong Offer Shares credited to your stock account.

No receipt will be issued for application money paid. The Company will not issue temporary documents of title.

Refund of your money

If you do not receive any Hong Kong Offer Shares or if your application is accepted only in part, the Company will refund to you your application monies (including the related 1% brokerage, 0.0027% SFC transaction levy and 0.005% Stock Exchange trading fee) without interest. If the Offer Price is less than the maximum Offer Price, the Company will refund to you the surplus application monies (including the related 1% brokerage, 0.0027% SFC transaction levy and 0.005% Stock Exchange trading fee) without interest.

The refund procedures are stated in the “14. Despatch/Collection of Share Certificates and Refund Monies” in the “How to Apply for Hong Kong Offer Shares and Employee Reserved Shares” section of the Prospectus.

Effect of the Information You Give to Computershare Hong Kong Investor Services Limited

Computershare Hong Kong Investor Services Limited and its related bodies’ corporate, directors, officers, employees and agents (“Representatives”) expressly disclaim and exclude to the maximum extent permitted by law any liability for any loss or damage suffered or incurred by the applicant or any other person or entity however caused relating in any way to, or connected with, any information provided by or on behalf of the applicant on or in connection with this document or any services provided hereunder, or any other written or oral communication provided by or on behalf of the applicant in connection with this document or any services provided hereunder. This includes, without limitation, any errors or omissions in such information however caused, or the Representatives or any other person or entity placing any reliance on such information or any documentation, image, recording or reproduction of such information, or its accuracy, completeness, currency or reliability.

如 閣下欲以香港中央結算(代理人)有限公司(「香港結算代理人」)的名義登記將獲發行的香港發售股 份,並直接存入中央結算及交收系統(「中央結算系統」),以記存於 閣下的中央結算系統投資者戶口持 , 有人股份戶口或 閣下指定的中央結算系統參與者股份戶口 請使用本表格

Scholar Education Group 思考樂教育集團 (在開曼群島註冊成立的有限公司)

全球發售

  • ‧ 承諾及確認 閣下或 閣下為其利益提出申請的人士並無申 請或接納或表示有意認購(亦不會申請或接納或表示有意認 購)國際配售項下的任何國際配售股份,也沒有參與國際配 售;

申請條件

甲、 可提出申請的人士

  1. 閣下及 閣下為其利益提出申請的任何人士必須年滿18歲並 有香港地址。

  2. ‧ 同意在本公司、香港證券登記處、收款銀行及獨家保薦人、 聯席全球協調人、聯席賬簿管理人、聯席牽頭經辦人、包銷 商及╱或彼等各自的顧問及代理提出要求時,向彼等披露其 所要求提供有關 閣下及 閣下為其利益提出申請的人士的 個人資料;

  3. 如 閣下為商號,申請須以個別成員名義提出。

  4. 聯名申請人不得超過四名。

  5. 如 閣下為法人團體,申請須經獲正式授權人員簽署,並註 明其所屬代表身份及蓋上公司印鑑。

  6. 除上市規則或聯交所已授予的任何相關豁免批准外,下列人 士概不得申請認購任何香港發售股份:

  7. 除上市規則或聯交所已授予的任何相關豁免批准外,下列人 ‧ 若香港境外任何地方的法例適用於 閣下的申請,則同意及 士概不得申請認購任何香港發售股份: 保證 閣下已遵守所有有關法例,且本公司、獨家保薦人、 ‧ 本公司及╱或其任何附屬公司股份的現有實益擁有人; 聯席全球協調人、聯席賬簿管理人、聯席牽頭經辦人及包銷 ‧ 商和彼等各自的高級職員或顧問概不會因接納 閣下的購買 本公司及╱或其任何附屬公司的董事或行政總裁;

‧ 本公司關連人士或將於緊隨全球發售完成後成為本公 要約,或 閣下在招股章程及本申請表格所載的條款及條件 項下的權利及責任所引致的任何行動,而違反香港境外的任

司關連人士的人士; 何法例;

‧ 上述任何人士的聯繫人; ‧ 同意 閣下的申請一經接納,即不得因無意的失實陳述而撤 ‧ 美籍人士(定義見美國證券法 S 規例),或中國法人或 銷;

自然人(已遵守一切有關該申請的中國法律及法規的人 ‧ 同意 閣下的申請受香港法例規管; 士(包括但不限於合資格境內機構投資者)除外); ‧ 聲明、保證及承諾:(i) 閣下明白香港發售股份不曾亦不會

‧ 美國境內的人士;或 根據美國證券法登記;及 (ii) 閣下及 閣下為其利益申請 ‧ 已獲分配或已申請或表示有意申請國際配售項下的任 香港發售股份的任何人士均身處美國境外(定義見 S 規例), 何國際配售股份。 或屬 S規例第 902 條第 (h)(3)段所述的人士; ‧ 保證 閣下提供的資料真實及準確; ‧ 同意接納所申請香港發售股份數目或根據申請分配予 閣下

乙、 如 閣下為代名人 但數目較少的香港發售股份;

閣下作為代名人可提交超過一份香港發售股份申請,方法是:(i) ‧ 授權本公司將香港結算代理人的名稱列入本公司股東名冊, 透過中央結算及交收系統(「 中央結算系統 」)向香港結算發出電子 作為 閣下獲分配的任何香港發售股份的持有人,並授權本

認購指示(如 閣下為中央結算系統參與者);或 (ii)使用 白色 公司及╱或其代理將任何股票存入中央結算系統及╱或以平 申請表格以自身名義代表不同的實益擁有人提交超過一份申請。 郵方式按申請所示地址向 閣下或聯名申請的首名申請人發 送任何電子退款指示及╱或任何退款支票,郵誤風險由 閣

丙、 填交本申請表格的效用 下承擔,除非 閣下已符合招股章程「如何申請香港發售股 份及僱員預留股份」一節「親自領取」一段的條件親身領取退

閣下填妥並遞交本申請表格,即表示 閣下(如屬聯名申請人, 款支票;

閣下填妥並遞交本申請表格,即表示 閣下(如屬聯名申請人, 即各人共同及個別)代表 閣下本身,或作為 閣下代其行事的 每位人士的代理或代名人: ‧ 承諾簽立所有相關文件,並指示及授權本公司及╱或聯席全 球協調人(或彼等的代理或代名人)(作為本公司代理),為 按照組織章程細則的規定將 閣下獲分配的任何香港發售股 份以香港結算代理人的名義登記而代表 閣下簽立任何文 件; ‧ 同意遵守開曼群島公司法、第 622 章公司條例、第 32 章公司 (清盤及雜項條文)條例及組織章程細則;

  • ‧ 同意獲配發的股份是以香港結算代理人的名義發行,並直接 存入中央結算系統,以便記存於 閣下的中央結算系統投資 者戶口持有人股份戶口或 閣下的指定中央結算系統參與者 股份戶口;

  • ‧ 同意香港結算及香港結算代理人各自保留權利 (1) 不接納以 香港結算代理人名義發行的該等獲配發的任何或部份股份, 或不接納該等獲配發的股份存入中央結算系統;(2) 促使該 等獲配發的股份從中央結算系統提取,並以 閣下名義發 行,有關風險及費用概由 閣下自行承擔;及 (3) 促使該等 獲配發的股份以 閣下名義發行(或如屬聯名申請人,則以 排名首位申請人的名義發行),而在此情況下,會以平郵方 式將該等獲配發股份的股票寄往 閣下在申請表格上所示地 址(郵誤風險概由 閣下自行承擔)或提供該等股票予 閣 下領取;

  • ‧ 確認 閣下已細閱招股章程及本申請表格所載的條款及條件 以及申請程序,並同意受其約束;

  • ‧ 確認 閣下已接獲及細閱招股章程,提出申請時也僅依據招 股章程載列的資料及陳述,而除招股章程任何補充文件外, 將不會依賴任何其他資料或陳述;

  • ‧ 同意香港結算及香港結算代理人均可調整獲配發以香港結算 代理人名義發行的股份數目;

  • ‧ 確認 閣下知悉招股章程內有關全球發售的限制;

  • ‧ 同意本公司、獨家保薦人、聯席全球協調人、聯席賬簿管理 人、聯席牽頭經辦人、包銷商、彼等各自的董事、高級職 員、僱員、合夥人、代理、顧問及參與全球發售的任何其他 人士現時及日後均毋須對並非載於招股章程(及其任何補充 文件)的任何資料及陳述負責;

  • ‧ 同意香港結算及香港結算代理人對招股章程及本申請表格未 有載列的資料及陳述概不負責;

  • ‧ 同意香港結算及香港結算代理人概不以任何方式對 閣下負 責;

  • ‧ 聲明及陳述此乃 閣下為本身或為其利益提出申請的人士所 提出及擬提出的唯一申請;

如 閣下欲以香港中央結算(代理人)有限公司(「香港結算代理人」)的名義登記將獲發行的香港發售股 份,並直接存入中央結算及交收系統(「中央結算系統」),以記存於 閣下的中央結算系統投資者戶口持 , 有人股份戶口或 閣下指定的中央結算系統參與者股份戶口 請使用本表格

  • ‧ 明白本公司及聯席全球協調人將依據 閣下的聲明及陳述而 決定是否向 閣下分配任何香港發售股份, 閣下如作出虛 假聲明,可能會被檢控;

用指引進行有關重新分配,於有關重新分配後可重新分配至香港 公開發售的發售股份總數最多不得超過向香港公開發售所作初始

分配的兩倍(即 24,980,000 股發售股份)。

  • ‧ (如本申請是為 閣下本身利益提出) 保證 閣下或作為 閣 下代理的任何人士或任何其他人士不曾亦不會為 閣下利益 而以 白色黃色 申請表格或向香港結算或向 白表 eIPO 服務 供應商發出電子認購指示而提出其他申請;及

如 閣下成功申請認購香港發售股份(全部或部份)

  • 如 閣下的申請全部或部份獲接納, 閣下的股票(前提是到二 零一九年六月二十一日(星期五)上午八時正香港公開發售成為無 條件而並無終止,股票成為有效的所有權證明)將以香港結算代 理人名義發出,並按 閣下在申請表格的指示於二零一九年六月 二十日(星期四)或在特別情況下由香港結算或香港結算代理人指 定的任何其他日期直接存入中央結算系統,記入 閣下的中央結 算系統投資者戶口持有人股份戶口或 閣下指定的中央結算系統 參與者股份戶口。 ‧ 如 閣下透過中央結算系統投資者戶口持有人以外的指定中 央結算系統參與者提出申請:香港發售股份將存入 閣下指 定的中央結算系統參與者(非中央結算系統投資者戶口持有 人)股份戶口, 閣下可向該中央結算系統參與者查詢 閣下 獲配發的香港發售股份數目。

  • ‧ 如 閣下以中央結算系統投資者戶口持有人身份提出申請: 本公司預期於二零一九年六月二十日(星期四)在《南華早報》

  • (以英文)及《香港經濟日報》(以中文)及在聯交所網站 www. hkexnews.hk 及本公司網站 www.skledu.com 刊登中央結算系 統投資者戶口持有人的申請結果及香港公開發售的結果。 閣 下應查閱本公司刊發的公告,如有任何資料不符,請於二零 一九年六月二十日(星期四)下午五時正或香港結算或香港 結算代理人釐定的任何其他日期前知會香港結算。緊隨香港 發售股份存入 閣下的股份戶口後, 閣下即可透過「結算 通」電話系統及中央結算系統互聯網系統(根據香港結算不時 生效的「投資者戶口操作簡介」所載程序)查詢 閣下的新戶 口餘額。香港結算亦將向 閣下提供一份活動結單,列出存 入 閣下股份戶口的香港發售股份數目。

  • 本公司不會就申請時繳付的款項發出收據,亦不會發出臨時所有 權文件。

  • ‧ (如 閣下作為代理為另一人士的利益提出申請) 保證 (i) 閣 下(作為代理或為該人士利益)或該人士或任何其他作為該 人士代理的人士不曾亦不會以 白色黃色 申請表格或向香港 結算發出電子認購指示而提出其他申請;及 (ii) 閣下獲正 式授權作為該其他人士的代理代為簽署本申請表格或發出電 子認購指示。

丁、 授權書

如 閣下透過授權人士提出申請,本公司及聯席全球協調人可按 其認為合適的條件(包括出示獲授權證明)酌情接納或拒絕 閣下 的申請。

釐定發售價及香港發售股份的分配

預期發售價於二零一九年六月十七日(星期一)或前後釐定。申請 人須繳付每股香港發售股份 4.68 港元的最高發售價,另加 1% 經 紀佣金、0.0027% 證監會交易徵費及 0.005% 聯交所交易費。倘若 本公司與聯席全球協調人(為其自身及代表包銷商)並無於二零一 九年六月十九日(星期三)或之前協定發售價,全球發售將不會進 行。

截止登記認購申請前,概不處理香港發售股份的申請或配發任何 香港發售股份。

倘本公司決定於下調發售價後釐定發售價(下調幅度最多為指示 性發售價範圍下限的 10%),本公司將不遲於二零一九年六月二十 日在聯交所網站 www.hkexnews.hk 及本公司網站 www.skledu.com 另行公佈最終發售價。

退回款項 不論是否下調發售價,本公司預期於二零一九年六月二十日(星 若 閣下未獲分配任何香港發售股份或申請僅部份獲接納,本公 期四)在《南華早報》(以英文)及《香港經濟日報》(以中文)以及 司將不計利息退回 閣下的申請股款(包括相關的 1% 經紀佣金、 在聯交所網站 www.hkexnews.hk 及本公司網站 www.skledu.com 0.0027% 證監會交易徵費及 0.005% 聯交所交易費)。如發售價低於 公佈釐定發售價、國際配售踴躍程度、香港公開發售認購申請數 最高發售價,本公司將不計利息退回多收申請股款(包括相關的 目及香港發售股份分配基準。分配結果以及獲接納申請人的香港 1%經紀佣金、0.0027%證監會交易徵費及0.005% 聯交所交易費)。 身份證╱護照╱香港商業登記號碼(如適用)將同時於上述網站公 佈。 有關退款程序載於招股章程「如何申請香港發售股份及僱員預留

有關退款程序載於招股章程「如何申請香港發售股份及僱員預留 股份」一節「14. 寄發╱領取股票和退還股款」一段。

香港公開發售與國際配售之間的發售股份分配將按招股章程「全 球發售的架構—香港公開發售—重新分配及回撥」一節所述予以 調整。倘在完全滿足合資格僱員的所有申請後剩餘任何僱員預留 股份 , 在公平及合理的基礎上,剩餘的僱員預留股份將重新分配至 香港公開發售並受全球發售下國際配售和香港公開發售之間的分 配限制 。尤其是,根據聯交所刊發的指引函 HKEX-GL91-18,聯 席全球協調人可將發售股份由國際配售重新分配至香港公開發售 以滿足香港公開發售項下的有效申請,前提為香港公開發售項下 可供認購的股份總數將不會增加至超過 24,980,000 股發售股份, 相當於香港公開發售項下初始可供認購發售股份數目的兩倍及全 球發售項下初始可供認購發售股份總數的 20%,而最終發售價將 釐定為招股章程所述發售價範圍的下限(即每股發售股份 3.64 港 元)。根據指引函 HKEx-GL91-18,倘並非根據上市規則第 18 項應

閣下提供給香港中央證券登記有限公司的資料的影響

香港中央證券登記有限公司和其有關連的法人團體、董事、高級 人員、僱員及代理人(「代表」)在法律所容許的最大限度明確卸棄 及免除在任何方面與申請人或代表申請人在此文件提供的或與此 文件或在此文件下提供的任何服務相關的任何資料,或任何申請 人或代表申請人提供與此文件或在此文件下提供的任何服務相關 的任何其他書面或口頭通訊,有關或相關由申請人或任何其他人 士或實體所遭受或招致不論如何造成的任何損失或損害的任何法 律責任。此包括,但不限於,該等資料中不論如何造成的任何錯 誤或遺漏,或代表或任何其他人士或實體對該等資料或任何該等 資料的文件記錄、影像、記錄或複製品作出的任何依據,或其準 確性、完整性、合時性或可靠性。

Please use this form if you want the Hong Kong Offer Shares to be issued in the name of HKSCC Nominees Limited (“HKSCC Nominees”) and deposited directly into the Central Clearing and Settlement System (“CCASS”) for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS Participant

Personal Data

Personal Information Collection Statement

3. Transfer of personal data Personal data held by the Company and its Hong Kong Share Registrar relating to the securities holders will be kept confidential but the Company and its Hong Kong Share Registrar may, to the extent necessary for achieving any of the above purposes, disclose, obtain or transfer (whether within or outside Hong Kong) the personal data to, from or with any of the following: • the Company’s appointed agents such as financial advisers, receiving bankers and overseas principal share registrar;

This Personal Information Collection Statement informs the applicant for, and holder of, Hong Kong Offer Shares, of the policies and practices of the Company and its Hong Kong Share Registrar in relation to personal data and the Personal Data (Privacy) Ordinance (Cap. 486) (the “ Ordinance ”).

1. Reasons for the collection of your personal data It is necessary for applicants and registered holders of securities to supply correct personal data to the Company or its agents and the Hong Kong Share Registrar when applying for securities or transferring securities into or out of their names or in procuring the services of the Hong Kong Share Registrar.

  • where applicants for securities request a deposit into CCASS, HKSCC or HKSCC Nominees, who will use the personal data for the purposes of operating CCASS;

Failure to supply the requested data may result in your application for securities being rejected, or in delay or the inability of the Company or its Hong Kong Share Registrar to effect transfers or otherwise render their services. It may also prevent or delay registration or transfers of the Hong Kong Offer Shares which you have successfully applied for and/or the dispatch of share certificate(s) and/or refund cheque(s) and/or e-Refund payment instructions to which you are entitled.

  • any agents, contractors or third-party service providers who offer administrative, telecommunications, computer, payment or other services to the Company or the Hong Kong Share Registrar in connection with their respective business operation;

  • the Stock Exchange, the SFC and any other

  • e-Refund payment instructions to which you are entitled. statutory regulatory or governmental bodies or otherwise as required by laws, rules or regulations;

  • It is important that securities holders inform the and Company and the Hong Kong Share Registrar • any persons or institutions with which the immediately of any inaccuracies in the personal data securities’ holders have or propose to have

  • supplied. dealings, such as their bankers, solicitors, accountants or stockbrokers etc.

2. Purposes The personal data of the securities holders may be used, held, processed, and/or stored (by whatever 4. Retention of personal data means) for the following purposes: The Company and its Hong Kong Share Registrar will • processing your application and refund cheque keep the personal data of the applicants and holders of and/or e-Refund payment instructions, where securities for as long as necessary to fulfil the purposes applicable, verification of compliance with the for which the personal data were collected. Personal terms and application procedures set out in this data which is no longer required will be destroyed or Application Form and the Prospectus and dealt with in accordance with the Ordinance.

  • processing your application and refund cheque and/or e-Refund payment instructions, where applicable, verification of compliance with the terms and application procedures set out in this Application Form and the Prospectus and announcing results of allocation of the Hong Kong Offer Shares;

5. Access to and correction of personal data Securities holders have the right to ascertain whether the Company or the Hong Kong Share Registrar hold their personal data, to obtain a copy of that data, and to correct any data that is inaccurate. The Company and the Hong Kong Share Registrar have the right to charge a reasonable fee for the processing of such requests.

  • compliance with applicable laws and regulations in Hong Kong and elsewhere;

  • registering new issues or transfers into or out of the names of securities’ holders including, where applicable, HKSCC Nominees;

  • • maintaining or updating the register of securities’ holders of the Company;

  • • verifying securities holders’ identities; • establishing benefit entitlements of securities’ holders of the Company, such as dividends, rights issues, bonus issues, etc.;

  • • distributing communications from the Company and its subsidiaries;

All requests for access to data or correction of data should be addressed to us, at our registered address disclosed in the “Corporate Information” section of the Prospectus or as notified from time to time, for the attention of the company secretary, or our Hong Kong Share Registrar for the attention of the privacy compliance officer.

  • compiling statistical information and securities’ holders profiles;

  • disclosing relevant information to facilitate claims on entitlements; and

  • any other incidental or associated purposes relating to the above and/or to enable the Company and the Hong Kong Share Registrar to discharge their obligations to securities’ holders and/or regulators and/or any other purposes to which the securities’ holders may from time to time agree.

By signing an Application Form or by giving electronic application instructions to HKSCC, you agree to all of the above.

如 閣下欲以香港中央結算(代理人)有限公司(「香港結算代理人」)的名義登記將獲發行的香港發售股 份,並直接存入中央結算及交收系統(「中央結算系統」),以記存於 閣下的中央結算系統投資者戶口持 , 有人股份戶口或 閣下指定的中央結算系統參與者股份戶口 請使用本表格

個人資料

個人資料收集聲明

此項個人資料收集聲明是向香港發售股份的申請人 和持有人說明有關本公司及其香港證券登記處有關 個人資料和第 486 章《個人資料(私隱)條例》(「 條 例 」)方面的政策和慣例。

3. 轉交個人資料 本公司及其香港證券登記處所持有關證券持有人的 個人資料將會保密,但本公司及其香港證券登記處 可以在為達到上述任何目的之必要情況下,向下列 任何人士披露,獲取或轉交(無論在香港境內或境 外)有關個人資料:

1. 收集 閣下個人資料的原因

  • ‧ 本公司委任的代理人,例如財務顧問、收款銀 行和主要海外股份過戶登記處;

證券申請人及登記持有人以本身名義申請證券或轉 讓或受讓證券時或尋求香港證券登記處的服務時, 必須向本公司或其代理人及香港證券登記處提供準 確個人資料。

  • ‧ (如證券申請人要求將證券存於中央結算系統) 香港結算或香港結算代理人,彼等將會就中央 結算系統的運作使用有關個人資料;

未能提供所要求的資料可能導致 閣下申請證券被 拒或延遲,或本公司或其香港證券登記處無法落實 轉讓或提供服務。此舉也可能妨礙或延遲登記或轉 讓 閣下成功申請的香港發售股份及╱或寄發 閣 下應得的股票及╱或退款支票及╱或電子退款指 示。

  • ‧ 向本公司或香港證券登記處提供與其各自業務 營運有關的行政、電訊、電腦、付款或其他服 務的任何代理人、承包商或第三方服務供應 商;

  • ‧ 聯交所、證監會及任何其他法定監管機關或政 府部門或遵照其他法例、規則或法規;及

  • ‧ 證券持有人與其進行或擬進行交易的任何人士

  • 證券持有人所提供的個人資料如有任何錯誤,須立 或機構,例如彼等的銀行、律師、會計師或股

  • 即通知本公司及香港證券登記處。 票經紀等。

  • 2. 目的 4. 個人資料的保留

  • 證券持有人的個人資料可被採用及以任何方式持 本公司及其香港證券登記處將按收集個人資料所需

  • 有、處理及╱或保存,以作下列用途: 的用途保留證券申請人及持有人的個人資料。毋須

  • ‧ 處理 閣下的申請及退款支票及╱或電子退款 保留的個人資料將會根據條例銷毀或處理。

  • 指示(如適用)、核實是否符合本申請表格及招 股章程載列的條款和申請程序以及公佈香港發 5. 查閱和更正個人資料

  • 售股份的分配結果;

  • ‧ 證券持有人有權確定本公司或香港證券登記處是否 遵守香港及其他地區的適用法律及法規;

  • ‧ 持有其個人資料,並有權索取有關該資料的副本並 以證券持有人(包括香港結算代理人(如適 更正任何不準確資料。本公司和香港證券登記處有

  • 用))的名義登記新發行證券或轉讓或受讓證 權就處理任何查閱資料的要求收取合理費用。

  • ‧ 以證券持有人(包括香港結算代理人(如適 用))的名義登記新發行證券或轉讓或受讓證 券;

  • ‧ 存置或更新本公司證券持有人的名冊;

  • ‧ 核實證券持有人的身份;

所有查閱資料或更正資料的要求應按招股章程「公 司資料」一節所披露或不時通知的本公司註冊地址 送交公司秘書,或向本公司的香港證券登記處的個 人資料私隱事務主任提出。

  • ‧ 確定本公司證券持有人的受益權利,例如股 息、供股和紅股等;

  • ‧ 分發本公司及其附屬公司的通訊;

  • ‧ 編制統計數據和證券持有人資料;

  • ‧ 披露有關資料以便就權益索償;及

閣下簽署申請表格或向香港結算發出電子認購指 示,即表示同意上述各項。

  • ‧ 與上述有關的任何其他附帶或相關目的及╱或 使本公司及香港證券登記處能履行對證券持有 人及╱或監管機構承擔的責任及╱或證券持有 人不時同意的任何其他目的。

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