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Simcere Pharmaceutical Group Limited Share Issue/Capital Change 2021

Aug 4, 2021

48856_rns_2021-08-04_309e728e-2176-4cb0-97ea-5cff5fb72d22.pdf

Share Issue/Capital Change

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FF301

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Monthly Return for Equity Issuer and Hong Kong Depositary Receipts listed under Chapter 19B of the Exchange Listing Rules on Movements in Securities

For the month ended: 31 July 2021

Status: New Submission

To : Hong Kong Exchanges and Clearing Limited

Name of Issuer: Simcere Pharmaceutical Group Limited (incorporated in Hong Kong with limited liability) Date Submitted: 04 August 2021

I. Movements in Authorised / Registered Share Capital Not applicable

Remarks:

The Company was incorporated in Hong Kong. Pursuant to the Companies Ordinance of Hong Kong (Cap. 622), companies incorporated in Hong Kong do not have an authorized share capital and there is no concept of par value in respect of issued shares.

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II. Movements in Issued Shares

1. Type of shares Ordinary shares Ordinary shares Class of shares Not applicable Listed on SEHK (Note 1) Yes
Stock code 02096 Description
Balance at close of preceding month 2,608,641,618
Increase / decrease (-) 10,937,000
Balance at close of the month 2,619,578,618

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III. Details of Movements in Issued Shares

(A). Share Options (under Share Option Schemes of the Issuer) Not applicable

(B). Warrants to Issue Shares of the Issuer which are to be Listed Not applicable

(C). Convertibles (i.e. Convertible into Issue Shares of the Issuer which are to be Listed) Not applicable

(D). Any other Agreements or Arrangements to Issue Shares of the Issuer which are to be listed, including Options (other than Share Options Schemes)

1. Type of shares issuable 1. Type of shares issuable Ordinary shares Class of shares Not applicable Not applicable Shares issuable to be listed on SEHK (Note 1) Shares issuable to be listed on SEHK (Note 1) Shares issuable to be listed on SEHK (Note 1) Yes
Stock code of shares issuable (if listed on SEHK) (Note 1) 02096
Description General Meeting
approval date
(if applicable)
No. of new shares of issuer issued during
the month pursuant thereto (D)
No. of new shares of issuer which may be
issued pursuant thereto as at close of the
month
1). Restricted share unit scheme of the Company approved by the Board on May 20,
2021 (after trading hours) (“RSU Scheme”)
10,937,000 126,359,927
Total D (Ordinary shares):
(E). Other Movements in Issued Share
Not applicable
10,937,000
Total increase / decrease (-) in Ordinary shares during the month (i.e. Total of A to E) 10,937,000

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IV. Information about Hong Kong Depositary Receipt (HDR)

Not applicable

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V. Confirmations

Not applicable

Submitted by:

BAO Jun

Title:

Joint Company Secretary

(Director, Secretary or other Duly Authorised Officer)

Notes

  1. SEHK refers to Stock Exchange of Hong Kong.

  2. Items (i) to (viii) are suggested forms of confirmation which may be amended to meet individual cases. Where the issuer has already made the relevant confirmations in a return published under Main Board Rule 13.25A / GEM Rule 17.27A in relation to the securities issued, no further confirmation is required to be made in this return.

  3. “Identical” means in this context:

  4. . the securities are of the same nominal value with the same amount called up or paid up;

  5. they are entitled to dividend/interest at the same rate and for the same period, so that at the next ensuing distribution, the dividend/interest payable per unit will amount to

  6. . exactly the same sum (gross and net); and

  7. . they carry the same rights as to unrestricted transfer, attendance and voting at meetings and rank pari passu in all other respects.

  8. If there is insufficient space, please submit additional document.

  9. In the context of repurchase of shares:

  10. . “shares issuable to be listed on SEHK” should be construed as “shares repurchased listed on SEHK”; and

  11. . “stock code of shares issuable (if listed on SEHK)” should be construed as “stock code of shares repurchased (if listed on SEHK)”; and

  12. . “type of shares issuable” should be construed as “type of shares repurchased”; and

  13. . “issue and allotment date” should be construed as “cancellation date”

  14. In the context of redemption of shares:

  15. . “shares issuable to be listed on SEHK” should be construed as “shares redeemed listed on SEHK”; and

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  • . “stock code of shares issuable (if listed on SEHK)” should be construed as “stock code of shares redeemed (if listed on SEHK)”; and

  • . “type of shares issuable” should be construed as “type of shares redeemed”; and

  • . “issue and allotment date” should be construed as “redemption date”

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