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SPRINTEX LIMITED Share Issue/Capital Change 2015

Nov 26, 2015

65799_rns_2015-11-26_35816747-57eb-4ad0-8685-921787812bdc.pdf

Share Issue/Capital Change

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Notification of Consolidation/Split

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Notification of Consolidation/Split

Announcement Summary

Entity name

SPRINTEX LIMITED

Applicable security for the reorganisation

SIX ORDINARY FULLY PAID

Announcement Type

New Announcement

Date of this announcement Friday November 27, 2015

Reorganisation type Security consolidation

Effective Date Wednesday December 2, 2015

Record Date

Friday December 4, 2015

Issue Date

Friday December 11, 2015

Refer to below for full details of the announcement

Announcement Details

Part 1 - Entity and announcement details

*1.1 Name of +Entity SPRINTEX LIMITED

Registration Number

*1.2 Registered Number Type

ACN 106337599 *1.3 ASX issuer code SIX

*1.4 The announcement is

New announcement

*1.5 Date of this announcement Friday November 27, 2015

*1.6 Securities affected by the reorganisation

Notification of Consolidation/Split

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Notification of Consolidation/Split

SIX

ORDINARY FULLY PAID

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Part 2 - Approvals

*2.1 Are any of the below approvals required for the reorganisation 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 reorganisation.

Yes

2.2 Approvals

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----- Start of picture text ----- Approval/Condition Date for determination Is the date estimated Approval+Security holder Monday November or actual? received/conditionapproval 30, 2015 Actual met?[Select...]Comments----- End of picture text -----**

Part 3 - Reorganisation timetable and details

*3.1 +Record date

Friday December 4, 2015

3.2 Date of +security holder meeting

Monday November 30, 2015

3.3 Last day for trading in the pre-re-organised +securities

Tuesday December 1, 2015

*3.4 Effective date. Trading in the re-organised securities commences on a +deferred settlement basis. If the +entity's securities are suspended from trading during this period there will be no +deferred settlement trading however ASX still captures this date.

Wednesday December 2, 2015

3.5 Record date

Friday December 4, 2015

3.6 First day for +entity to send notices to +security holders of the change in the number of +securities they hold. First day for +entity to register +securities on a post-reorganised basis Monday December 7, 2015

*3.7 +Issue date. +Deferred settlement market ends. Last day for +entity to send notices to +security holder of the change in the number of +securities they hold. Last day for +entity to register +securities on a post-reorganised basis Friday December 11, 2015

Notification of Consolidation/Split

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Notification of Consolidation/Split

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3.8 Trading starts on a normal T+3 basis

Monday December 14, 2015

3.9 First settlement of trades conducted on a +deferred settlement basis and on a normal T+3 basis

Thursday December 17, 2015

Part 4 - Reorganisation type and details

*4.1 The reorganisation is

+Security consolidation

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

55

(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 reorganisation

*5.1 +Securities on issue before and after the reorganisation

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----- Start of picture text ----- *ASX +Security Code *ASX +SecuritySIX DescriptionORDINARY FULLYPAIDQuoted/unquoted Number on issue Number on issue after Estimate/ActualQuoted before reorganisation reorganisation Estimated4,696,332,270 85,387,859----- End of picture text -----

Part 6 - Further information

6.1 Further information relating to the reorganisation

6.2 Additional information for inclusion in the Announcement Summary

Notification of Consolidation/Split

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