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Synertone Communication Corporation Share Issue/Capital Change 2012

Mar 30, 2012

50038_rns_2012-03-30_fa653fa2-84bb-4651-a797-7a2924142dfa.pdf

Share Issue/Capital Change

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HONG KONG PUBLIC OFFER – YELLOW FORM 香港公開發售-黃表 Please use this Application 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,請使用本申請表格。

NOTE: Unless otherwise defined herein, terms used in this Application Form bear the same meanings as defined in the prospectus of Synertone Communication Corporation (the “Company”) dated 30 March 2012 (the “Prospectus”) together with any supplement thereto (if any). 注意: 除本申請表格另有界定外,本申請表格所用詞彙與協同通信集團有限公司(「本公司」)於二零一二年三月三十日刊發的招股章程(「招股章程」)連同其任何補充文件(如有)所界定者具相同涵義。 Hong Kong Exchanges and Clearing Limited, The Stock Exchange of Hong Kong Limited (the “Stock Exchange”) and Hong Kong Securities Clearing Company Limited (“HKSCC”) take no responsibility for the contents of this Application Form, make no representation as to its accuracy or completeness and expressly disclaim any liability whatsoever for any loss howsoever arising from or in reliance upon the whole or any part of the contents of this Application Form. 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」)及香港中央結算有限公司(「香港結算」)對本申請表格的內容概不負責,對其準確性或完整性亦不發表任何聲明,並明確表示概不就因本申請表格全部或任何部分內容而產生或因 Please staple 依賴該等內容而引致的任何損失承擔任何責任。 A copy of this Application Form, together with a copy of the WHITE and GREEN Application Forms, the Prospectus and the other documents specified in the paragraph entitled “Documents delivered to the registrar of companies and available for inspection” in your payment Appendix VI to the Prospectus, have been registered by the Registrar of Companies in Hong Kong as required by Section 342C of the Companies Ordinance (Chapter 32 of the Laws of Hong Kong). The Securities and Futures Commission of Hong Kong (“SFC”) andthe Registrar of Companies in Hong Kong take no responsibility as to the contents of any of these documents. here 本申請表格連同監會」)及香港公司註冊處處長對任何此等文件的內容概不負責。 白色綠色 申請表格、招股章程及招股章程附錄六「送呈公司註冊處處長及備查文件」一段所述的其他文件,已遵照香港法例第 32 章公司條例第 342C 條的規定,送呈香港公司註冊處處長登記。香港證券及期貨事務監察委員會(「證 請將股款 Nothing in this Application Form or the Prospectus constitutes an offer to sell or the solicitation of an offer to buy nor shall there be any sale of Hong Kong Offer Shares in any jurisdiction in which such offer, solicitation or sale would be unlawful. This Application Formand the Prospectus are not for distribution, directly or indirectly, in or into the United States, nor is this application an offer of Shares for sale in the United States. The Hong Kong Offer Shares have not been and will not be registered under the U.S. Securities Act of 1933, as amended and may not be offered or sold except pursuant to registration or an exemption from the registration requirements of the U.S. Securities Act. No public offering of the Hong Kong Offer Shares will be made in the United States. 緊釘於此 美國出售股份的要約。香港發售股份未曾亦不會根據一九三三年美國證券法(經修訂)登記,除根據或獲豁免美國證券法的登記規定外,概不可供提呈發售或出售。香港發售股份將不會在美國向公眾提呈發售。本申請表格或招股章程所載資料概不構成出售要約或要約購買的游說,而在任何作出有關要約、游說或出售即屬違法的司法權區內,概不得出售任何香港發售股份。本申請表格及招股章程不得於美國境內直接或間接派發,而此項申請亦不是在

This Application Form is not for publication , distribution or releasein any manner whatsoever in any jurisdiction where such publication, distribution or release is not permitted under the law of that jurisdiction. 凡任何司法權區的法律禁止刊發、派送或發放本申請表格,則不得在該司法權區內以任何方式刊發、派送或發放本申請表格。

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SYNERTONE COMMUNICATION CORPORATION 協同通信集團有限公司 (Incorporated in the Cayman Islands with limited liability) (於開曼群島註冊成立的有限公司) GLOBAL OFFERING Number of Offer Shares : 300,000,000 Shares (subject to the Over-allotment Option) Number of Hong Kong Offer Shares : 30,000,000 Shares (subject to adjustment) Number of International Placing Shares : 270,000,000 Shares (subject to adjustment and the Over-allotment Option) Offer Price : Not more than HK$0.60 per Offer Share and expected to be not less than HK$0.30 per Offer Share (payable in full on application in Hong Kong dollars, subject to refund, plus brokerage of 1%, SFC transaction levy of 0.003% and Stock Exchange trading fee of 0.005%) Nominal value : HK$0.01 per Share Stock code : 1613 全球發售 發售股份數目 : 300,000,000股股份(視乎超額配股權而定) 香港公開發售股份數目 : 30,000,000股股份(可予調整) 國際配售股份數目 : 270,000,000股股份(可予調整及視乎超額配股權而定) 發售價 : 不超過每股發售股份 0.60港元而預期不低於每股發售股份 0.30港元 (須於申請時以港元繳足及可予退還,另加 1%經紀佣金、 0.003%證監會交易徵費及 0.005%聯交所交易費) 面值 : 每股股份 0.01港元 股份代號 : 1613 Application Form for Hong Kong Offer Shares 香港發售股份申請表格 Applications will be accepted until 12:00 noon on 11 April 2012 截止接受申請時間為二零一二年四月十一日中午十二時正 You must read the conditions and instructions attached to this Application Form. 閣下必須細閱本申請表格所附載的條件及指示。 To be valid, you must complete all parts of this Application Form. 閣下必須填妥本申請表格各部分。 Please write clearly in ink. 請以墨水筆或原子筆清楚填妥,方為有效。 To: Synertone Communication Corporation 致: 協同通信集團有限公司 Emperor Capital Limited 英皇融資有限公司 Emperor Securities Limited 英皇證券(香港)有限公司 Hong Kong Underwriters 香港包銷商 I/We: 本人/吾等:apply for the number of Hong Kong Offer Shares set out below, on the terms and subject to the conditions of the ‧ 按照招股章程及本申請表格的條款及條件,並在 貴公司的組織章程大綱及組織章程細則規限下, 申請 以 Prospectus and this Application Form, and subject to the Memorandum of Association and Articles of Association of the 下數目的香港發售股份; • Company; enclose 0.003% and Stock Exchange trading fee of 0.005%; payment in full for the Hong Kong Offer Shares applied for, including brokerage of 1%, SFC transaction levy of ‧‧ 夾附承諾 申請香港發售股份所需的全數股款(包括及 同意 接納本人/吾等根據本申請所申請的香港發售股份,或本人/吾等獲分配的任何較少數目的香1%經紀佣金、0.003%證監會交易徵費及0.005%聯交所交易費); • undertake and agree to accept the Hong Kong Offer Shares applied for, or any lesser number allocated to me/us on this 港發售股份; application; ‧ 承諾確認 本人/吾等及本人/吾等為其利益提出是項申請的人士並無申請或認購或表示有意申請或已接 • undertake and confirm that I/we and the person for whose benefit I am/we are applying have not applied for or taken up 獲或已獲配售或分配(包括有條件及/或暫定),並且不會申請或認購或表示有意申請國際配售的任何發售 or indicated any interest in or received or been placed or allocated (including conditionally and/or provisionally) and will 股份,亦不會參與國際配售; • not apply for or take up or indicate any interest in any Offer Shares under the International Placing nor otherwiseparticipate in the International Placing; understand that this declaration and representation will be relied upon by the Company and the Sole Global Coordinator in ‧‧ 授權 明白 貴公司及獨家全球協調人將依賴本聲明及陳述,以決定是否就是項申請分配任何香港發售股份;貴公司將香港結算代理人的名稱列入 貴公司股東名冊內,登記為任何將分配予本人/吾等的香港 deciding whether or not to allocate any Hong Kong Offer Shares in response to this application; 發售股份的持有人,並將有關股票直接存入中央結算系統,以記存於本人/吾等的中央結算系統投資者戶 • authorise the Company to place the name of HKSCC Nominees on the register of members of the Company as the 口持有人股份戶口或本人/吾等指定的中央結算系統參與者的股份戶口; holder(s) of any Hong Kong Offer Shares to be allocated to me/us, and to deposit the relevant Share certificates directly ‧ 要求 發出的任何退款支票以本人(或如屬聯名申請人,以本申請表格內名列首位的申請人)為抬頭人,並(在 into CCASS for the credit of my/our CCASS Investor Participant stock account or the stock account of my/ourdesignated CCASS Participant; 符合本申請表格各附頁所載的條款及條件的情況下)以普通郵遞方式按本申請表格上所示地址寄發任何退款 • request that any refund cheque(s) be made payable to me or, in the case of joint applicants, to first-named of us in this 支票予本人/吾等名列首位的申請人(如屬聯名申請人),郵誤風險概由本人/吾等承擔,除非本人/吾等 Application Form; and the Company and/or their respective agents (subject to the terms and conditions set out on the pages 申請 1,000,000股或以上香港發售股份,並已於本申請表格上表明本人/吾等擬按本申請表格及招股章程所 attached to this Application Form) to send any refund cheques by ordinary post at my/our own risk to me/the first-named of 述程序親身領取任何退款支票; us (in case of joint applicants) to the address given on this Application Form except where I/we have applied for 1,000,000 or ‧ 聲明保證承諾 本人/吾等/吾等各人與本人/吾等/吾等各人為其利益提出申請的人士並非身處美國 • more Hong Kong Offer Shares and have indicated in this Application Form that I/we wish to collect any refund cheque(s) inperson in accordance with the procedures prescribed in this Application Form and the Prospectus; represent , warrant and undertake that I am not/we are not/none of us is, and none of the other person(s) for whose ‧ 境內(定義見 同意保證 如香港境外任何地區的法例適用於是項申請,則本人/吾等已遵守一切有關法例,而 貴公司、S規例),並且會在離岸交易(定義見 S規例)中購入香港發售股份; benefit I am/we are/each of us is applying is, within the United States (as defined in Regulation S) and will acquire the 獨家保薦人、獨家全球協調人、香港包銷商或彼等各自的高級職員或顧問不會因接納本人/吾等的購買要 Hong Kong Offer Shares in an offshore transaction (within the meaning of Regulation S); 約或因應本人/吾等根據招股章程所載條款及條件應有的權利與責任而採取的行動而違反香港境外地區的 • agree and warrant that if the laws of any place outside Hong Kong are applicable to this application, I/we have 任何法例; complied with all such laws and none of the Company, the Sole Sponsor, the Sole Global Coordinator, and the Hong ‧ 已細閱 本申請表格各附頁及招股章程所載條款、條件及申請手續並 同意 受其約束;及 Kong Underwriters, nor any of their respective officers or advisers will infringe any laws outside Hong Kong as a resultof the acceptance of my/our offer to purchase, or any actions arising from my/our rights and obligations under the terms ‧ 同意 本申請、申請獲接納及據此而訂立的合約將受香港法例管轄,並須按其詮釋。 and conditions contained in the Prospectus; • have read and in the Prospectus and the terms and conditions and application procedures set out on the pages attached to this Application Form agree to be bound by them; and For Broker use 此欄供經紀填寫agree that this application, any acceptance of it and the resulting contract, will be governed by and construed in accordance Lodged by 由以下經紀遞交由以下經紀遞交 with the laws of Hong Kong.

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For Broker use 此欄供經紀填寫
Lodged by 由以下經紀遞交由以下經紀遞交
Broker No.
經紀號碼
Broker’s Chop
經紀印章
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Signed by (all) applicant(s) (all joint applicants must sign):
(所有)申請人簽署(所有聯名申請人必須簽署):
............................................................................................................................................................................................
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Date 日期: .......................... / .................. / ....................

D日 M月 Y年

Warning:

  • It is important that you read the conditions and application procedures overleaf.

  • You must complete this application in English unless otherwise stated and follow the application procedures overleaf, otherwise your application is liable to be rejected.

  • •• All applicable boxes in this Application Form must be completed, otherwise the application is liable to be rejected.You must sign this application in writing (and not by way of personal chop), otherwise the application is liable to be rejected.

• Only one application may be made for the benefit of any person on a WHITE or YELLOW Application Form or by way of giving electronic application instructions to HKSCC via CCASS or to the HK eIPO White Form Service Provider under the HK eIPO White Form service www.hkeipo.hk . Multiple or suspected multiple applications on WHITE and/or YELLOW Application Forms and/or by way of giving electronic application instructions to HKSCC via CCASS or to the HK eIPO White Form Service Provider under the HK eIPO White Form service www.hkeipo.hk , applications made by one applicant on either a WHITE or YELLOW Application Form or by way of giving electronic application instructions to HKSCC via CCASS or to the HK eIPO White Form Service Provider under the HK eIPO White Form service www.hkeipo.hk for more than 15,000,000 Hong Kong Offer Shares (being 50% of the Offer shares initially available for subscription under Hong Kong Offer) and applications where cheques or banker’s cashier orders are dishonoured upon first presentation will be rejected.

• You may be prosecuted if you make a false declaration.

  • 警告: ‧ 閣下必須細閱背頁的條件及申請手續。 ‧ 除另有說明外, 閣下必須以英文填寫本申請表格及遵循背頁的申請手續,否則 閣下的申請可被拒絕受理。 ‧ 本申請表格內的所有適用欄位必須填寫,否則申請可遭拒絕受理。

  • ‧ 閣下必須親自簽署本申請,不得以個人印章代替,否則申請可遭拒絕受理。 ‧ 僅可為任何人士的利益以 白色黃色 申請表格,或透過中央結算系統向香港結算或利用 網上白表 服務 www.hkeipo.hk網上白表 服務供應商發出 電子認購指示 提出一次申請。以 白色 及/或 黃色 申請表格及/或透 過中央結算系統向香港結算或利用 網上白表 服務 www.hkeipo.hk網上白表 服務供應商發出 電子認購指示 提出 的重複或疑屬重複的申請,由一位申請人以 白色黃色 申請表格或透過中央結算系統向香港結算或利用 網上白 表 服務 www.hkeipo.hk網上白表 服務供應商發出 電子認購指示 提出認購超過15,000,000股香港發售股份即香港 發售初步可供認購的發售股份總數的 50%,以及支票或銀行本票於首次過戶時未能兌現的申請將拒絕受理。

  • 閣下如作出虛假聲明,可能會被檢控。

Please use this Application 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,請使用本申請表格。

Number of Hong Kong Offer Shares applied for (not more than
5,000,000 Shares, being half of the Hong Kong Offer Shares
nitially made available for subscription by the public in Hong
Kong under the Hong Kong Public Offer)
申請認購的香港發售股份數目(不得超過15,000,000股股份,即香港公
開發售初步提呈可供香港公眾人士認購的香港發售股份數目)
Total amount of payment
HK$ 港元
付款總額
*
Cheque(s) or banker’s cashier order(s) should be crossed “Account Payee Only” and made payable to “
Bank of China (Hong Kong) Nominees Limited

支票或銀行本票須以「
*只准入抬頭人賬戶
」方式劃線開出,並須註明抬頭人為「中國銀行(香港)代理人有限公司-協同通信公開發售」
To be completed inBLOCK letters in Englishin ink, except as stated otherwise. Joint applicants should give the address of the first-named applicant only.
除另有說明外,請用墨水筆或原子筆以英文正楷填寫。聯名申請人只須填寫名列首位的申請人地址。
Name in English
Family name or company name姓氏或公司名稱
Forename(s)名字
英文姓名/名稱
Name in Chinese
Family name or company name姓氏或公司名稱
Forename(s)名字
中文姓名/名稱
Occupation in
English
職業(以英文填寫)
Names of all other
oint applicants in
English (if any)
所有其他聯名申請人的
英文姓名/名稱(如有)
Address in English (joint applicants
should give the address and
elephone number of the first name
applicant only) (Only an address
n Hong Kong will be accepted)
地址(以英文填寫)(聯名申請人
只須填寫名列首位申請人的地址
及電話號碼)只接受香港地址
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
支票/銀行本票的付款銀行名稱
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(請刪去不適用者)
Telephone Number電話號碼
Hong Kong Identity Card No./Passport No./Hong
Kong 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碼/

護照號碼/香港商業登記號碼
(請刪去不適用者)**
(1)
(2)
(3)
Number of Hong Kong Offer Shares applied for (not more than
5,000,000 Shares, being half of the Hong Kong Offer Shares
nitially made available for subscription by the public in Hong
Kong under the Hong Kong Public Offer)
申請認購的香港發售股份數目(不得超過15,000,000股股份,即香港公
開發售初步提呈可供香港公眾人士認購的香港發售股份數目)
Total amount of payment
HK$ 港元
付款總額
*
Cheque(s) or banker’s cashier order(s) should be crossed “Account Payee Only” and made payable to “
Bank of China (Hong Kong) Nominees Limited

支票或銀行本票須以「
*只准入抬頭人賬戶
」方式劃線開出,並須註明抬頭人為「中國銀行(香港)代理人有限公司-協同通信公開發售」
To be completed inBLOCK letters in Englishin ink, except as stated otherwise. Joint applicants should give the address of the first-named applicant only.
除另有說明外,請用墨水筆或原子筆以英文正楷填寫。聯名申請人只須填寫名列首位的申請人地址。
Name in English
Family name or company name姓氏或公司名稱
Forename(s)名字
英文姓名/名稱
Name in Chinese
Family name or company name姓氏或公司名稱
Forename(s)名字
中文姓名/名稱
Occupation in
English
職業(以英文填寫)
Names of all other
oint applicants in
English (if any)
所有其他聯名申請人的
英文姓名/名稱(如有)
Address in English (joint applicants
should give the address and
elephone number of the first name
applicant only) (Only an address
n Hong Kong will be accepted)
地址(以英文填寫)(聯名申請人
只須填寫名列首位申請人的地址
及電話號碼)只接受香港地址
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
支票/銀行本票的付款銀行名稱
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(請刪去不適用者)
Telephone Number電話號碼
Hong Kong Identity Card No./Passport No./Hong
Kong 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碼/

護照號碼/香港商業登記號碼
(請刪去不適用者)**
(1)
(2)
(3)
Cheque/banker’s cashier
order number
支票/銀行本票號碼
Cheque/banker’s cashier
order number
支票/銀行本票號碼
- Synertone Communication Public Offer”.
Family name or company name姓氏或公司名稱
Forename(s)名字
Family name or company name姓氏或公司名稱
Forename(s)名字
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(請刪去不適用者)****
(1)
Hong Kong Identity Card No./Passport No./Hong
Kong 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碼/
護照號碼/香港商業登記號碼
(請刪去不適用者)****
(1)
(2)
(2)
(3)
(3)
Telephone Number電話號碼

For nominees: Please provide an account number or identification code for each (joint) beneficial owner(s). If you are a nominee and you do not complete this section, this application will be treated as being made for your benefit. 由代名人遞交:請填寫每名(聯名)實益擁有人的賬戶號碼或身份識別編碼。如 閣下為代名人,而並無填妥本節,則是項申請將被視作為 閣下本身利益提出。

  • ** (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” overleaf. 如 閣下為中央結算系統投資者戶口持有人,就本申請而言僅會接納香港身份證號碼(如 閣下為個別人士)或香港商業登記號碼(如 閣下為法人團體)。請參閱背頁「如何提出申請」一節第 2 段。

  • (2) If you are applying through a designated CCASS Participant (other than a CCASS Investor Participant) and 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 閣下透過指定的中央結算系統參與者(中央結算系統投資者戶口持有人除外)提出申請並持有香港身份證,請填寫香港身份證號碼;否則,請填寫護照號碼。如為法人團體,請填寫香港商業登記號碼。

  • (3) Your Hong Kong Identity Card number/passport number/Hong Kong Business Registration number will be used for checking the validity of Application Forms and otherwise for processing the application for Offer Shares and such data may be transferred to third parties for such purpose. 閣下的香港身份證號碼/護照號碼/香港商業登記號碼將用作核實申請表格是否有效及處理發售股份申請,而有關資料可能會轉交第三者以辦理上述事項。

  • (4) 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)彼等的香港身份證號碼或(如適用)護照號碼或(如屬法人團體)香港商業登記號碼。

  • (5) Part of your Hong Kong Identity Card number/passport number, or, if you are joint applicants, part of the Hong Kong Identity Card number/passport number of the first-named applicant, provided by you may be printed on your refund cheque, if any. Such data would also be transferred to a third party for refund purposes. Your banker may require verification of your Hong Kong Identity Card number/passport number before encashment of your refund cheque(s) (if any). Inaccurate completion of your Hong Kong Identity Card number/passport number may lead to delay in encashment of or may invalidate your refund cheque(s) (if any). 閣下所提供的香港身份證號碼/護照號碼,或(如 閣下為聯名申請人)名列首位的申請人的香港身份證號碼/護照號碼的部分字符可能會列印在退款支票(如有)上。有關資料亦會轉交第三方以安排退款。 閣 下的銀行在兌現 閣下的退款支票(如有)前可能要求 核實 閣下的香港身份證號碼/護照號碼。未有準確填寫 閣下的香港身份證號碼/護照號碼可能導致延誤兌現 閣下的退款支票(如有)或令 閣下的退款支票(如有)無效。

Applicants who have applied for 1,000,000 or more Hong Kong Offer Shares and wish to collect refund cheques (where applicable) in person from the Company’s Hong Kong Share Registrar, Tricor Investor Services Limited, 26th Floor, Tesbury Centre, 28 Queen’s Road East, Wanchai, Hong Kong on the date of collection of refund cheques which is expected to be on Tuesday, 17 April 2012, should mark ‘√’ in the box on the left. Please see the section overleaf headed “Refund of your money” for details of when, where and how to collect your refund cheques (if any). 申請人凡申請1,000,000股或以上香港發售股份,並擬於領取退款支票日期(預期為二零一二年四月十七日(星期二))親身前往本公司的香港股份過戶登記處卓佳證券登記有限公司(地址為香港灣仔 皇后大道東 28號金鐘匯中心 26樓)領取退款支票(如適用),請在左方空格內填上「√」號。有關領取退款支票(如有)的時間、地點及方法詳情,見背頁「退還股款」一節。

DETAILS FOR CCASS PARTICIPANT 中央結算系統參與者資料

THIS BOX MUST BE DULY COMPLETED 此空格必須填寫妥當

Participant I.D. of the designated CCASS Participant or CCASS Investor Participant 指定中央結算系統參與者或中央結算系統投資者戶口持有人的編號

For designated CCASS Participant or Corporate CCASS Investor Participant, please also affix the company chop bearing its company name. 指定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

ADDRESS LABEL 地址標貼 Please repeat your name and address as set out above in BLOCK letters in English 請用英文正楷填寫上表所示姓名/名稱及地址

Name(s) 姓名/名稱

Address 地址

(see paragraph 2 under section “How to make your application” overleaf) 請參閱背頁(「如何提出申請」)一節第 2段

For Bank Use 此欄供銀行填寫

Please use this Application 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.

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SYNERTONE COMMUNICATION CORPORATION 協同通信集團有限公司

(Incorporated in the Cayman Islands with limited liability)

GLOBAL OFFERING

  • Conditions of your application A. Who can apply 1. You, the applicant(s), 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.

    1. If you are a firm , the application must be in the names of the individual members, not in the name of the firm. The number of joint applicants may not exceed 4.

agree that the Company, the Sole Sponsor, the Sole Global Coordinator, the Hong Kong Underwriters and their respective directors, officers, employees, partners, agents, advisers and any other parties involved in the Global Offering are liable only for the information and representations contained in the Prospectus and any supplement thereto (and only then to the extent such liability is held to exist by a court with competent jurisdiction); agree (without prejudice to any other rights which you may have) that once your application has been accepted, you may not rescind it because of an innocent misrepresentation;

undertake and agree to accept the Hong Kong Offer Shares applied for, or any lesser number allocated to you under this application; agree that once your application is accepted, your application will be evidenced by the results of the Hong Kong Public Offer made available by the Company; confirm that you have read the terms and conditions and application procedures set out in the Prospectus and this Application Form and agree to be bound by them; authorise the Company to place the name of HKSCC Nominees on the register of members of the Company as the holder(s) of any Hong Kong Offer Shares allocated to you, and (subject to the terms and conditions set forth in the Prospectus) the Company and/or its agents to deposit any Share certificate(s) (where applicable) into CCASS and/or send refund cheques (if any) to you or (in the case of joint applicants) the first-named applicant in this Application Form by ordinary post at your own risk to the address stated on this Application Form (except if you have applied for 1,000,000 Hong Kong Offer Shares or more and have indicated on this Application Form you wish to collect your refund cheque(s) (if any) in person and have provided all information required by this Application Form); (if the application is made for your own benefit) warrant that this is the only application which will be made for your benefit on a WHITE or YELLOW Application Form or by giving electronic application instructions to HKSCC via CCASS or to the designated HK eIPO White Form Service Provider via the HK eIPO White Form service ( www.hkeipo.hk ); (if you are an agent for another person) warrant that reasonable enquiries have been made of that other person that this is the only application which will be made for the benefit of that other person on a WHITE or YELLOW Application Form or by giving electronic application instructions to HKSCC via CCASS or to the designated HK eIPO White Form Service Provider via the HK eIPO White Form service www.hkeipo.hk , and that you are duly authorised to sign this Application Form or to give electronic application instructions as that other person’s agent; (if the application is made by an agent on your behalf) warrant that you have validly and irrevocably conferred on your agent all necessary power and authority to make the application;

  • If you are a body corporate , this Application Form must be stamped with the company chop (bearing the company name) and signed by a duly authorised officer, who must state his or her representative capacity.

     -
    
  • Save under the circumstances permitted by the Listing Rules, you cannot apply for any Hong Kong Offer Shares if you or any person(s) for whose benefit you are applying for are/is: •

    • an existing beneficial owner of Shares in the Company or any of its subsidiaries;

    • • the chief executive or a director of the Company or any of its subsidiaries; •

    • an associate of any of the above (as “associate” is defined in the Listing Rules); or

    • a Connected Person of the Company or a person who will become a Connected Person of the Company immediately upon completion of the Global Offering.

  • You cannot apply for any Hong Kong Offer Shares if you are or any person(s) for whose benefit you are applying for are/is:

    • a legal or natural person of the PRC (other than Hong Kong, Macau and Taiwan) except those who have complied with all relevant PRC laws and regulations in relation to such application, including but not limited to qualified domestic institutional investors; •

    • a U.S. person (as defined in Regulation S under the U.S. Securities Act);

    • if you do not have a Hong Kong address; or

    • have applied for or taken up, or indicated an interest for, or have been or will be placed (including conditionally and/or provisionally) International Placing Shares under the International Placing. •

  • B. If you are a nominee If you are a nominee, you may make more than one application by: (1) giving electronic application instructions to HKSCC via CCASS (if you are a CCASS Participant); or (2) using a WHITE or YELLOW Application Form, and lodge more than one application in your own name on behalf of different beneficial owners. In the box on this Application Form marked “For •nominees”, you must include:an account number; or •

  • some other identification code,

undertake and confirm that, you (if the application is made for your benefit) or the person(s) for whose benefit you have made this application have not applied for or taken up or indicated an interest in or received or been placed or allocated (including conditionally and/or provisionally) will not apply for or take up or indicate any interest in any International Placing Shares under the International Placing; agree that your application, any acceptance of it and the resulting contract will be governed by and construed in accordance with the laws of Hong Kong;

  • for each beneficial owner or, in the case of joint beneficial owners, for each such beneficial owner. • If you do not include this information, the application will be treated as being made for your benefit.

A nominee who submits this Application Form on behalf of another person is deemed to have represented to and undertaken with the Company, the Sole Global Coordinator and the Hong Kong Underwriters that he/she has been duly authorised bysuch person for, if more than one, all of them to submit this application and to agree to the terms of this Application Form on • behalf of such person/every such person. You further undertake to supply to the Company, the Sole Global Coordinator andeach of the Hong Kong Underwriters such information about such person/every such person as any of them may require forany of the purposes set out in the section below headed “Personal Data”. ••

warrant the truth and accuracy of the information contained in this application;

agree to disclose to the Company and/or its Hong Kong Share Registrar, receiving bankers, the Sole Global Coordinator and their respective advisers and agents any personal data and any other information which they require about you or the person(s) for whose benefit you have made this application;

  • C. Lodge only one application for your benefit (or for the benefit of you and any of your joint applicants) Multiple applications or suspected multiple applications will be rejected. Save as referred to in Section B above, all of your • applications will be rejected as multiple applications if you, or you and your joint applicant(s) together:

agree with the Company, for itself and for the benefit of each Shareholder (and so that the Company will be deemed by its acceptance in whole or in part of the application to have agreed, for itself and on behalf of each Shareholder) (and if applicable), with each CCASS Participant giving electronic application instructions ) to observe and comply with the Companies Law, the Companies Ordinance and the Memorandum of Association and the Articles of Association;

  • make more than one application (whether individually or jointly with others) on a WHITE or YELLOW Application Form or by giving electronic application instructions to HKSCC via CCASS or to the designated HK eIPO White Form Service Provider through the HK eIPO White Form service ( www.hkeipo.hk );

  • • both apply (whether individually or jointly) on one WHITE Application Form and one YELLOW Application • Form or on one WHITE or YELLOW Application Form and give electronic application instructions to • HKSCC via CCASS or to the designated HK eIPO White Form Service Provider via the HK eIPO White Form service www.hkeipo.hk ;

agree with the Company and each Shareholder that Shares are freely transferable by the holders thereof; and authorise the Company to enter into a contract on your behalf with each of the Directors and officers of the Company whereby each such Director and officer undertakes to observe and comply with his obligations to the shareholders as stipulated in the Articles of Association.

• apply on one WHITE or YELLOW Application Form (whether individually or jointly) or by giving electronic application instructions to HKSCC via CCASS or to the designated HK eIPO White Form Service Provider via the HK eIPO White Form service www.hkeipo.hk for more than 15,000,000 Hong Kong Offer Shares, being 50% of the Shares being offered for public subscription under Hong Kong Public Offer; or

The Company, the Sole Global Coordinator, the Sole Sponsor, the Hong Kong Underwriters, other parties involved in the Global Offering and their respective directors, officers, employees, partners, agents and advisers are entitled to rely on any warranty, representation or declaration made by you in your application. In the event of the application being made by joint applicants, all the warranties, representations, declarations and obligations expressed to be made, given or assumed by or imposed on the joint applicants shall be deemed to have been made, given and assumed by and imposed on the applicants jointly and severally. Power of attorney If your application is made through a duly authorised attorney, the Company and the Sole Global Coordinator (or their respective agents and nominees) as agents for the Company may accept your application at their discretion, and subject to any conditions they think fit, including production of evidence of the authority of your attorney. The Sole Global Coordinator, in its capacity as agents for the Company, have full discretion to reject or accept any application, in full or in part, without assigning any reason.

• have applied for or taken up, or indicated an interest for, or have been or will be placed (including conditionally and/or provisionally) International Placing Shares under the International Placing. All of your applications will also be rejected as multiple applications if more than one application on a Application Form or by giving electronic instructions to HKSCC or to designated HK eIPO White FormWHITE Service Provideror YELLOW G. through the HK eIPO White Form service ( www.hkeipo.hk ) is made for your benefit (including the part of the application made by HKSCC Nominees acting on electronic application instructions) ; 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. H. Unlisted company means a company with no equity securities listed on the Stock Exchange. Statutory control in relation to a company means you:

Determination of Offer Price

The Offer Price is expected to be fixed by agreement between the Company and the Sole Global Coordinator (on behalf of the Hong Kong Underwriters) on or around Thursday, 12 April 2012, and in any event no later than Friday, 13 April 2012. Applicants for the Hong Kong Offer Shares are required to pay, on application, the maximum Offer Price of HK$0.60 for each Offer Share together with brokerage of 1%, SFC transaction levy of 0.003% and Stock Exchange trading fee of 0.005%, subject to refund of any resulting surplus application monies to successful applicants, without interest, if the Offer Price should be lower than HK$0.60. If, based on the level of interest expressed by prospective institutional and professional investors and other investors during the book-building process, the Sole Global Coordinator (on behalf of the Hong Kong Underwriters and with the consent of the Company) consider the number of Offer Shares being offered under the Global Offering and/or the indicative Offer Price range inappropriate, the Sole Global Coordinator (on behalf of the Hong Kong Underwriters) may reduce the number of Offer Shares being offered under the Global Offering and/or the indicative Offer Price range below that stated in the Prospectus (which is HK$0.30 to HK$0.60 per Offer Share) at any time on or prior to the morning of the last day for lodging applications under the Hong Kong Public Offer. In such a case, the Company will, as soon as practicable following the decision to make such reduction, and in any event not later than the morning of the last day for lodging applications under the Hong Kong Public Offer, cause to be published in The Standard (in English) and the Hong Kong Daily News (in Chinese) notice of the reduction in the number of Offer Shares being offered under the Global Offering and/or the indicative Offer Price range. Such notice will also be available at the websites of the Stock Exchange at www.hkexnews.hk and the Company at www.synertone.net . Such notice will also include confirmation or revision, as appropriate, of the working capital statement and the offering statistics as currently set out in the section headed “Summary” in the Prospectus and any other financial information which may change as a result of such reduction. If for any reason, the Offer Price is not agreed on or before Friday, 13 April 2012 between the Sole Global Coordinator (on behalf of the Hong Kong Underwriters) and the Company, the Global Offering will not proceed and will lapse.

  • control the composition of the board of directors of that company; or

  • • control more than half of the voting power of that company; or

• hold more than half of the issued share capital of that company (not counting any part of it which carries no right to participate beyond a specified amount in a distribution of either profits or capital). D. Allocation of Hong Kong Offer Shares — Pools A and B The total number of Offer Shares initially available under the Hong Kong Public Offer (subject to any adjustment of the Shares between the Hong Kong Public Offer and the International Placing) will be divided equally into two pools for allocation purposes (to the nearest board lot): pool A comprising 15,000,000 Shares and pool B comprising 15,000,000 Shares. The Hong Kong Offer Shares in pool A will be allocated on an equitable basis to successful applicants who have applied for Hong Kong Offer Shares with a total subscription amount of HK$5 million or below (excluding brokerage, SFC transaction levy and Stock Exchange trading fee payable). The Hong Kong Offer Shares in pool B will be allocated on an equitable basis to successful applicants who have applied for the Hong Kong Offer Shares with a total subscription amount of more than HK$5 million (excluding brokerage, SFC transaction levy and Stock Exchange trading fee payable) and up to the value of pool B. You should be aware that applications in pool A and pool B may receive different allocation ratios. If the Hong Kong Offer Shares in one (but not both) of the pools are undersubscribed, the surplus Hong Kong Offer Shares will be transferred to the other pool to satisfy demand in that pool and be allocated accordingly. You can only receive an allocation of the Hong Kong Offer Shares from either pool A or pool B but not from both pools. Multiple or suspected multiple applications within either pool or between pools, and any application for more than the number of Hong Kong Offer Shares initially allocated to each pool are liable to be rejected. Allocation of Hong Kong Offer Shares to investors under the Hong Kong Public Offer, both in relation to pool A and pool B, will be based solely on the level of valid applications received under the Hong Kong Public Offer. The basis of allocation in each pool may vary, depending on the number of Hong Kong Offer Shares validly applied for by each applicant. Such allocation could, where appropriate, consist of balloting, which would mean that some applicants may receive a higher allocation than others who have applied for the same number of Hong Kong Offer Shares, and those applicants who are not successful in the ballot may not receive any Hong Kong Offer Shares.

Allocation of Hong Kong Offer Shares

I.

The applications for the Hong Kong Offer Shares will not be processed and no allocation of any such Hong Kong Offer Shares will be made until the closing of the application lists. The Company expects that the results of allocations of the Hong Kong Offer Shares under the Hong Kong Public Offer, including applications made under WHITE and YELLOW Application Forms and by giving electronic application instructions to HKSCC or the designated HK eIPO White Form Service Provider which will include the Hong Kong identity card numbers, passport numbers or Hong Kong business registration numbers of successful applicants and the number of the Hong Kong Offer Shares successfully applied for will be made available in the manner described in the section headed “How to Apply for the Hong Kong Offer Shares – Publication of Results”.

E. Supplemental information

  • If any supplement to the Prospectus is issued, applicant(s) who have already submitted an application may or may not (depending on the information contained in the supplement) be notified that they can withdraw their applications. If applicant(s) have not been notified, or if applicant(s) have been notified but have not withdrawn their applications in accordance with the procedure to be notified, all applications that have been submitted remain valid and may be accepted. Subject to the above and below, an application once made is irrevocable and applicants shall be deemed to have applied on the basis of the Prospectus as supplemented.

  • If your application for Hong Kong Offer Shares is successful (in whole or in part) No receipt will be issued for sums paid on application. If your application is wholly or partially successful, your Share certificate(s) will be issued in the name of HKSCC Nominees and deposited directly into CCASS for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS Participant as instructed by you in this Application Form on Tuesday, 17 April 2012, or under certain contingent situations, on any other date as shall be determined by HKSCC or HKSCC Nominees.

J.

F.

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 agent or nominee and on behalf of each person for whom you act as agent or nominee: • instruct and authorise the Company and/or the Sole Global Coordinator (or their respective agents or nominees) to execute any transfer forms or other documents on your behalf 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 and otherwise to give effect to the arrangements described in the Prospectus and this

  • 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 allocated to you with that CCASS Participant.

  • If you are applying as a CCASS Investor Participant:

The Company expects to make available the results of the Hong Kong Public Offer, including the results of CCASS Investor Participants applications on Tuesday, 17 April 2012. You should check the results made available by the Company and report any discrepancies to HKSCC before 5:00 p.m. on Tuesday, 17 April 2012 or such other date as shall be determined by HKSCC or HKSCC Nominees. Immediately following 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 the 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.

  • Application Form;

  • undertake to sign all documents and to do all things necessary to enable HKSCC Nominees to be registered as the holder of the Hong Kong Offer Shares allocated to you, and as required by the Articles of Association;

  • agree that any Hong Kong Offer Shares allocated to you shall be registered in the name of HKSCC Nominees and deposited directly into CCASS operated by HKSCC for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS Participant, in accordance with your election on the Application Form;

  • • each of HKSCC and HKSCC Nominees reserves the right (a) not to accept any or part of such allotted Hong Kong Offer Shares issued in the name of HKSCC Nominees or not to accept such allotted Hong Kong Offer Shares for deposit into CCASS; (b) to cause such allotted Hong Kong Offer Shares to be withdrawn from CCASS and transferred into your name (or, if you are a joint applicant, to the first-named applicant) at your own risk and costs; and (c) to cause such allotted Hong Kong Offer Shares to be issued in your name (or, if you are a joint applicant, to the first-named applicant) and in such a case, to post the Share certificates for such allotted Hong Kong Offer Shares at your own risk to the address on your Application Form by ordinary post or to make available the same for your collection;

The Company will not issue temporary documents of title. Share certificates will only become valid certificates of title at 8:00 a.m. on Wednesday, 18 April 2012, provided that the Hong Kong Public Offer has become unconditional in all respects and the right of termination under the Underwriting Agreements and described in the section entitled “Underwriting — Underwriting Arrangements and Expenses — Grounds for Termination” in the Prospectus has not been exercised. No receipt will be issued for application monies paid. In the event that the Offer Price is less than the price per Hong Kong Offer Share paid by you, the surplus application money (including the brokerage fee, the SFC transaction levy and the Stock Exchange trading fee attributable to such surplus) will be refunded to you without interest.

  • agree that each of HKSCC and HKSCC Nominees may adjust the number of allotted Hong Kong Offer Shares issued in the name of HKSCC Nominees;

  • agree 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;

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

1. Full discretion to reject or accept your application:

  • represent , warrant and undertake that you understand that the Hong Kong Offer Shares have not been and will not be registered under the U.S. Securities Act and you are not, and none of the other person(s) for whose benefit you are applying is, within the United States (as defined in Regulation S under the U.S. Securities Act) and will acquire the Hong Kong Offer Shares in an offshore transaction (within the meaning of Regulation S under the U.S. Securities Act);

The Company, the Sole Global Coordinator (as agents of the Company) or their respective agents have full discretion to reject or accept any application, or to accept only part of any application without having to give any reasons for any rejection or acceptance.

2. If your application is rejected:

  - You will not receive any allotment if:
  • agree and warrant that if the laws of any place outside Hong Kong are applicable to this application, you have complied with all such laws and none of the Company, the Sole Global Coordinator and the Hong Kong Underwriters, nor any of their respective officers or advisers will infringe any laws outside Hong Kong as a result of the acceptance of your offer to purchase, or any actions arising from your rights and obligations under the terms and conditions contained in the Prospectus;

you make multiple applications or suspected multiple applications; your Application Form is not filled in correctly;

    • your payment is not made correctly or you pay by cheque or banker’s cashier order and the cheque or banker’s cashier order is dishonored on its first presentation;
  • you or the person for whose benefit you apply for have applied for or taken up, or indicated an interest for, or received or have been or will be placed or allotted (including conditionally and/or provisionally) International Placing Shares under the International Placing;

  • confirm that you have received a copy of the Prospectus and have only relied on the information and representations in the Prospectus in making your application and will not rely on any other information and representations save as set forth in any supplement to the Prospectus;

K. Circumstances in which you will not be allocated Hong Kong Offer Shares You may not be allocated Hong Kong Offer Shares for any of the following reasons:

Please use this Application 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.

If you are an individual who has opted for personal collection, you must not authorise any other person to make collection on your behalf. If you are a corporate applicant which has opted for personal collection, your authorised representative must attend bearing a letter of authorisation from your corporation stamped with your corporation’s chop. Both individuals and authorised representatives (if applicable) must produce, at the time of collection, evidence of identity acceptable to Tricor Investor Services Limited.

• the Company and the Sole Global Coordinator (on behalf of the Company) believe that the acceptance of your application would violate the applicable securities or other laws, rules or regulations of the jurisdiction in which your application is completed and/or signed or your address appeared in this Application Form is located;

  • any of the Underwriting Agreements does not become unconditional or is terminated in accordance with the terms thereof; or

  • • if you apply for more than 50% of the Hong Kong Offer Shares initially being offered in the public for subscription (i.e. 15,000,000).

If you do not collect your refund cheque(s) in person within the time specified for collection, it/they will be despatched promptly to you by ordinary post to the address as specified in the Application Form at your own risk. If you have applied for less than 1,000,000 Hong Kong Offer Shares or if you have applied for 1,000,000 Hong Kong Offer Shares or more but have not indicated on your Application Form that you will collect your refund cheque(s) in person, your refund cheque(s) (where relevant) will be despatched promptly to you by ordinary post to the address as specified in the Application Form at your own risk. It is intended that special efforts will be made to avoid any undue delay in refunding application monies where appropriate.

3. If your application is revoked or withdrawn:

  • By completing and submitting this Application Form or submitting electronic application instructions to HKSCC or the HK eIPO White Form Service Provider you agree that your application cannot be revoked on or before the fifth day after the time of opening of the application list (excluding for this purpose any day which is not a Business Day). This agreement will take effect as a collateral contract with the Company and will become binding when you lodge your Application Form or submitting electronic application instructions to HKSCC or the HK eIPO White Form Service Provider. This collateral contract will be in consideration of the Company agreeing that it will not offer any Hong Kong Offer Shares to any person on or before the fifth day after the time of the opening of the application lists (excluding for this purpose any day which is not a business day), except by means of one of the procedures referred to in the Prospectus. Your application may only be revoked before the fifth day after the time of the opening of the application lists (excluding for this purpose any day which is not a Business Day), if a person responsible for the Prospectus under section 40 of the Companies Ordinance gives a public notice under that section which excludes or limits the responsibility of that person for the Prospectus.

Personal data Personal Information Collection Statement

The main provisions of the Personal Data (Privacy) Ordinance (the “Ordinance”) came into effect in Hong Kong on December 20, 1996. This Personal Information Collection Statement informs the applicants for and holders of Hong Kong Offer Shares of the policies and practices of the Company and its Hong Kong Share Registrar, Tricor Investor Services Limited (the “Hong Kong Share Registrar”) in relation to personal data and the Ordinance.

1. Reasons for the collection of your personal data

From time to time it is necessary for applicants for securities or registered holders of securities to supply their latest correct personal data to the Company 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.

  • If any supplement to the Prospectus is issued, applicant(s) who have already submitted an application may or may not (depending on the information contained in the supplement) be notified that they can withdraw their applications. If applicant(s) has/have not been so notified, or if applicant(s) has/have been notified but has/have not withdrawn their applications in accordance with the procedure to be notified, all applications that have been submitted remain valid and may be accepted. Subject to the above, an application once made is irrevocable and applicants shall be deemed to have applied on the basis of the Prospectus as supplemented. If your application has been accepted, it cannot be revoked. For this purpose, acceptance of applications which are not rejected will be constituted by notification in the press of the results of allocation, and where such basis of allocation is subject to certain conditions or provides for allocation by ballot, such acceptance will be subject to the satisfaction of such conditions or results of the ballot, respectively.

Failure to supply the requested data may result in your application for securities being rejected or in delay or inability of the Company and the Hong Kong Share Registrar to effect transfers or otherwise render their services. It may also prevent or delay Registration or transfer of the Hong Kong Offer Shares which you have successfully applied for and/or the dispatch of Share certificate(s) and/ or the dispatch of refund cheque(s) and/or e-Auto Refund payment instructions to which you are entitled. It is important that holders of securities inform the Company and the Hong Kong Share Registrar immediately of any inaccuracies in the personal data supplied.

2. Purposes The personal data of the applicants and holders of securities may be used, held and/or stored (by whatever means) for the •following purposes:processing of your application, refund cheque and e-Auto Refund payment instructions, where applicable, and verification of compliance with the terms and application procedures set out in this Application Form and the

••• enabling compliance with all applicable laws and regulations in Hong Kong and elsewhere;registering new issues or transfers into or out of the name of holders of securities including, where applicable, inProspectus and announcing results of allocations of the Hong Kong Offer Shares; the name of HKSCC Nominees;

•••••• maintaining or updating the register of holders of securities of the Company;conducting or assisting to conduct signature verifications, any other verification or exchange of information;establishing benefit entitlements of holders of securities of the Company, such as dividends, rights issues and bonus issues;

••••••••••••••••••••• distributing communications from the Company and its subsidiaries;compiling statistical information and shareholder profiles;making disclosures as required by laws, rules or regulations (whether statutory or otherwise);disclosing identities of successful applicants by way of press announcement(s) or otherwise;disclosing relevant information to facilitate claims on entitlements; andany 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 holders of securities and/or regulators and/or any other purpose to which the holders of securities may from time to time agree.

4. If you make applications under the Hong Kong Public Offer as well as under the International Placing: By filling in any of the Application Forms or giving electronic application instructions to HKSCC or to the HK eIPO White Form Service Provider, you agree not to apply for International Placing Shares under the International Placing. Reasonable steps will be taken to identify and reject applications under the Hong KongPublic Offer from investors who have received International Placing Shares in the International Placing, and to ••• identify and reject indications of interest in the International Placing from investors who have received Offer

5. If your allocation of Hong Kong Offer Shares is void: Shares under the Hong Kong Public Offer. •••••• Your allocation of the Hong Kong Offer Shares will be void if the Listing Committee of the Stock Exchange does not grant approval for the listing of, and permission to deal in the Shares either: • within 3 weeks from the closing of the application lists; or • within a longer period of up to 6 weeks if the Listing Committee of the Stock Exchange notifies the Company of that longer period within 3 weeks of the closing date of the application lists.

L. Refund of your money ••••••••••••••••••••• Your application monies, or the appropriate portion thereof, together with the related brokerage of 1%, SFC transaction levy of 0.003% and Stock Exchange trading fee of 0.005%, will be refunded if: • your application is rejected, not accepted or accepted in part only or if you do not receive any Hong Kong OfferShares for any of the above reasons; 3.

  - **Transfer of personal data**

Personal data held by the Company and the Hong Kong Share Registrar relating to the applicants and the holders of securities will be kept confidential but the Company and the Hong Kong Share Registrar, to the extent necessary for achieving theabove purposes or any of them, may make such enquiries as they consider necessary to confirm the accuracy of the personaldata and in particular, they may disclose, obtain, transfer (whether within or outside Hong Kong) the personal data of the above purposes or any of them, may make such enquiries as they consider necessary to confirm the accuracy of the personaldata and in particular, they may disclose, obtain, transfer (whether within or outside Hong Kong) the personal data of the data and in particular, they may disclose, obtain, transfer (whether within or outside Hong Kong) the personal data of the applicants and the holders of securities to, from or with any and all of the following persons and entities:••••• the Company or its respective appointed agents such as financial advisers and receiving bankers;HKSCC and HKSCC Nominees, who will use the personal data for the purposes of operating CCASS (in casesHKSCC and HKSCC Nominees, who will use the personal data for the purposes of operating CCASS (in cases • where the applicants have requested for the Hong Kong Offer Shares to be deposited into CCASS);any agents, contractors or third party service providers who offer administrative, telecommunications, computer,any agents, contractors or third party service providers who offer administrative, telecommunications, computer, payment or other services to the Company and/or the Hong Kong Share Registrar in connection with the operation of their businesses; ••• the Stock Exchange, the SFC and any other statutory, regulatory or governmental bodies; andany other persons or institutions with which the holders of securities have or propose to have dealings, such asany other persons or institutions with which the holders of securities have or propose to have dealings, such as their bankers, solicitors, accountants or stockbrokers.

••No interest will be paid thereon. All interest accrued on such monies prior to the date of refund will be retained for thethe Offer Price as finally determined is less than the Offer Price of HK$0.60 per Share (excluding brokerage,SFC transaction levy and Stock Exchange trading fee thereon) paid on application;any application is revoked or any allotment pursuant thereto has become void. will be kept confidential but the Company and the Hong Kong Share Registrar, to the extent necessary for achieving theabove purposes or any of them, may make such enquiries as they consider necessary to confirm the accuracy of the personaldata and in particular, they may disclose, obtain, transfer (whether within or outside Hong Kong) the personal data of the benefit of the Company. In a contingency situation involving a substantial over-subscription, at the discretion of the Company and the Sole Global applicants and the holders of securities to, from or with any and all of the following persons and entities:••••• the Company or its respective appointed agents such as financial advisers and receiving bankers;HKSCC and HKSCC Nominees, who will use the personal data for the purposes of operating CCASS (in casesHKSCC and HKSCC Nominees, who will use the personal data for the purposes of operating CCASS (in cases Coordinator, cheques for applications for certain small denominations of Hong Kong Offer Shares (apart from successful applications) may not be cleared. Refund of your application monies (if any) will be made on Tuesday, 17 April 2012 in • where the applicants have requested for the Hong Kong Offer Shares to be deposited into CCASS);any agents, contractors or third party service providers who offer administrative, telecommunications, computer,any agents, contractors or third party service providers who offer administrative, telecommunications, computer, accordance with the various arrangements as described above. Refund cheques will be crossed “Account Payee Only” and made payment or other services to the Company and/or the Hong Kong Share Registrar in connection with the operation out to you, or if you are joint applicants, to the first-named applicant on the Application Form. Part of your Hong Kong identity of their businesses; card number or passport number, or, if you are joint applicants, part of the Hong Kong identity card number or passport numberof the first-named applicant, provided by you may be printed on your refund cheque, if any. Such data would also be transferred ••• the Stock Exchange, the SFC and any other statutory, regulatory or governmental bodies; andany other persons or institutions with which the holders of securities have or propose to have dealings, such asany other persons or institutions with which the holders of securities have or propose to have dealings, such as to a third party for refund purpose. Your banker may require verification of your Hong Kong identity card number or passport their bankers, solicitors, accountants or stockbrokers. number before encashment of your refund cheque. Inaccurate completion of your Hong Kong identity card number or passportnumber may lead to delay in encashment of or may invalidate your refund cheque.If you have applied for 1,000,000 or more Hong Kong Offer Shares and have indicated on your Application Form that youwish to collect your refund cheque in person and have provided all information required by your Application Form, you maycollect it in person from the Hong Kong Share Registrar: 4. Access and correction of personal data The Ordinance provides the applicants and the holders of securities with rights to ascertain whether the Company or the HongKong Share Registrar holds their personal data, to obtain a copy of that data, and to correct any data that is inaccurate. Inaccordance with the Ordinance, the Company and the Hong Kong Share Registrar have the right to charge a reasonable fee for theprocessing of any data access request. All requests for access to data or correction of data or for information regarding policies and Tricor Investor Services Limited practices and kinds of data held should be addressed to the Company, at its registered address disclosed in the “Corporate 26th Floor, Tesbury Centre, 28 Queen’s Road East, Wanchai, Hong Kong Information” section in the Prospectus or as notified from time to time in accordance with applicable law, for the attention of the company secretary, or the Company’s Hong Kong Share Registrar for the attention of the privacy compliance officer.

between 9:00 a.m. and 1:00 p.m. on the date or any other dates as notified by the Company in the newspapers as the date of dispatch of refund cheques. The date of dispatch is expected to be Tuesday, 17 April 2012.

dispatch of refund cheques. The date of dispatch is expected to be Tuesday, 17 April 2012. By signing this Application Form, you agree to all of the above. How to make your application 4. Tear off the Application Form, fold the form once and lodge it in one of the special collection boxes at any one of the following 1. Use the table set out below to calculate how much you must pay for the number of Hong Kong Offer Shares you want tosubscribe for. branches of Bank of China (Hong Kong) Limited: Your application must be for a minimum of 8,000 Hong Kong Offer Shares. Applications must be in one of the numbers set Branch Name Address out in the table below. No application for any other number of Hong Kong Offer Shares will be considered and any such application is liable to be rejected. The table also sets out the total amount payable for such Hong Kong Offer Shares. On Hong Kong Island Bank of China Tower Branch 3/F, 1 Garden Road application, you must pay the maximum offer price of HK$0.60 per Share, plus brokerage of 1%, SFC transaction levy of North Point (King’s Centre) Branch 193-209 King’s Road, North Point 0.003% and Stock Exchange trading fee of 0.005%. Johnston Road Branch 152-158 Johnston Road, Wanchai 2. You, as the applicant(s), must complete the form as indicated below and sign on the first page of the Application Form. Onlywritten signatures will be accepted. Quarry Bay Branch Parkvale, 1060 King’s Road, Quarry Bay If you are applying through a designated CCASS Participant (other than a CCASS Investor Participant): Kowloon

Your application must be for a minimum of 8,000 Hong Kong Offer Shares. Applications must be in one of the numbers set
out in the table below. No application for any other number of Hong Kong Offer Shares will be considered and any such
application is liable to be rejected. The table also sets out the total amount payable for such Hong Kong Offer Shares. On
application, you must pay the maximum offer price of HK$0.60 per Share, plus brokerage of 1%, SFC transaction levy of
0.003% and Stock Exchange trading fee of 0.005%.
You, as the applicant(s), must complete the form as indicated below and sign on the first page of the Application Form. Only
written signatures will be accepted.
If you are applying through a designated CCASS Participant (other than a CCASS Investor Participant):

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

the Application Form must contain your full name and Hong Kong Identity Card number; and

you must insert your participant I.D. in the appropriate box in the Application Form.
If you are applying as a joint individual CCASS Investor Participant:

the Application Form must contain all joint CCASS Investor Participants’ names and their Hong Kong Identity
Card numbers; and

your participant I.D. must be inserted in the appropriate box.
If you are applying as a corporate CCASS Investor Participant:

the Application Form must contain your company name and Hong Kong Business Registration number; and

your participant I.D. and your company chop (bearing your company name) must be inserted in the appropriate
box.
Incorrect or incomplete details of the CCASS Participant or the omission or inadequacy of participant I.D. or other similar
matters may render your application invalid.
Staple your cheque or banker’s cashier order to the form. You must pay for the Hong Kong Offer Shares applied for byone
chequeor byone banker’s cashier order.
If you pay by cheque, the cheque must:

be in Hong Kong dollars;

not be post-dated;

be drawn on your Hong Kong dollar bank account with a licensed bank in Hong Kong;

show your account name. This name must either be pre-printed on the cheque, or be endorsed on the back by a
person authorised by the bank. This account name must correspond with your name. If it is a joint application, the
account name must be the same as that of the first-name applicant;

be payable to “Bank of China (Hong Kong) Nominees Limited - Synertone Communication Public Offer”;
and

be crossed “Account Payee Only”.
Each application must be accompanied by either a separate cheque or banker’s cashier order.
Your application will be rejected if your cheque:

does not meet all these requirements; or

is dishonoured on its first presentation.
Branch Name
Address
Hong Kong Island
Bank of China Tower Branch
3/F, 1 Garden Road
North Point (King’s Centre) Branch
193-209 King’s Road, North Point
Johnston Road Branch
152-158 Johnston Road, Wanchai
Quarry Bay Branch
Parkvale, 1060 King’s Road, Quarry Bay
Kowloon
Humphrey’s Avenue Branch
4-4A Humphrey’s Avenue, Tsim Sha Tsui
Mong Kok (President Commercial
608 Nathan Road, Mong Kok
Centre) Branch
Whampoa Garden Branch
Shop G8B, Site 1, Whampoa Garden, Hung Hom
Metro City Branch
Shop 209, Level 2, Metro City Phase 1,
Tseung Kwan O
New Territories
Sheung Shui Branch Securities
136 San Fung Avenue, Sheung Shui
Services Centre
Castle Peak Road (Yuen Long) Branch
162 Castle Peak Road, Yuen Long
5.
Your Application Form can be lodged at these times:
Friday, 30 March 2012

9:00 a.m. to 5:00 p.m.
Saturday, 31 March 2012

9:00 a.m. to 1:00 p.m.
Monday, 2 April 2012

9:00 a.m. to 5:00 p.m.
Tuesday, 3 April 2012

9:00 a.m. to 5:00 p.m.
Thursday, 5 April 2012

9:00 a.m. to 5:00 p.m.
Tuesday, 10 April 2012

9:00 a.m. to 5:00 p.m.
Wednesday, 11 April 2012

9:00 a.m. to 12:00 noon
6.
The latest time for lodging your application is 12:00 noon on Wednesday, 11 April 2012, or if the Application Lists are not
open on that day, by the time and date stated below. The Application Lists will be open from 11:45 a.m. and 12:00 noon on
Wednesday, 11 April 2012, subject only to the weather conditions. The Application Lists will not open if there is:

a tropical cyclone warning signal number 8 or above, or

a “black” rainstorm warning signal
in force in Hong Kong at any time between 9:00 a.m. and 12:00 noon on Wednesday, 11 April 2012. Instead they will be
open between 11:45 a.m. and 12:00 noon on the next business day which does not have either of those warnings in force in
Hong Kong at any time between 9:00 a.m. and 12:00 noon. Business day means a day that is not a Saturday, Sunday or public
holiday in Hong Kong.
ampl
  • Incorrect or incomplete details of the CCASS Participant or the omission or inadequacy of participant I.D. or other similar matters may render your application invalid.

    1. Staple your cheque or banker’s cashier order to the form. You must pay for the Hong Kong Offer Shares applied for by one cheque or by one banker’s cashier order .

If you pay by cheque, the cheque must: be in Hong Kong dollars; • not be post-dated; • be drawn on your Hong Kong dollar bank account with a licensed bank in Hong Kong; • show your account name. This name must either be pre-printed on the cheque, or be endorsed on the back by a person authorised by the bank. This account name must correspond with your name. If it is a joint application, the account name must be the same as that of the first-name applicant; • be payable to “ Bank of China (Hong Kong) Nominees Limited - Synertone Communication Public Offer ”; and • be crossed “Account Payee Only”. Each application must be accompanied by either a separate cheque or banker’s cashier order. Your application will be rejected if your cheque: • does not meet all these requirements; or • is dishonoured on its first presentation. If you pay by banker’s cashier order: • be in Hong Kong dollars; • the banker’s cashier order must be issued by a licenced bank in Hong Kong, and have your name certified on the back by a person authorised by the bank. The name certified on the back of the banker’s cashier order and the name on the Application Form must be the same. If it is a joint application, the name on the back of the banker’s cashier order must be the same as the name of the first-name applicant; • the banker’s cashier order must be made payable to “ Bank of China (Hong Kong) Nominees Limited - • the banker’s cashier order must be crossed “Account Payee only”; and Synertone Communication Public Offer ”; • the banker’s cashier order must not be post-dated. Your application will be rejected if your banker’s cashier order does not meet all these requirements.

  1. The right is reserved to present all or any remittances for payment. However, your cheque or banker’s cashier order will not be presented for payment before 12:00 noon on Wednesday, 11 April 2012. The Company will not give you a receipt for your payment. The Company shall keep all interest accrued on your application monies (up until, in the case of monies to be refunded, the date of dispatch of refund cheques). The right is also reserved to retain any Share certificates and/or any surplus application monies or refunds pending clearance of your cheque or banker’s cashier order.

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

NUMBER OF HONG KONG OFFER SHARES THAT MAY BE APPLIED FOR AND PAYMENTS
NUMBER OF HONG KONG OFFER SHARES THAT MAY BE APPLIED FOR AND PAYMENTS
NUMBER OF HONG KONG OFFER SHARES THAT MAY BE APPLIED FOR AND PAYMENTS
Number of Hong Kong
Amount payable
Offer Shares applied for
on application
Number of Hong Kong
Amount payable
Offer Shares applied for
on application
Number of Hong Kong
Amount payable
Offer Shares applied for
on application
8,000
4,848.38
16,000
9,696.77
24,000
14,545.15
32,000
19,393.54
40,000
24,241.92
48,000
29,090.30
56,000
33,938.69
64,000
38,787.07
72,000
43,635.46
80,000
48,483.84
160,000
96,967.68
240,000
145,451.52
320,000
193,935.36
400,000
242,419.20
480,000
290,903.04
HK$
560,000
339,386.88
640,000
387,870.72
720,000
436,354.56
800,000
484,838.40
1,000,000
606,048.00
1,200,000
727,257.60
1,400,000
848,467.20
1,600,000
969,676.80
1,800,000
1,090,886.40
2,000,000
1,212,096.00
2,200,000
1,333,305.60
2,400,000
1,454,515.20
3,200,000
1,939,353.60
4,000,000
2,424,192.00
4,800,000
2,909,030.40
HK$
HK$
5,600,000
3,393,868.80
6,400,000
3,878,707.20
7,200,000
4,363,545.60
8,000,000
4,848,384.00
9,000,000
5,454,432.00
10,000,000
6,060,480.00
11,000,000
6,666,528.00
12,000,000
7,272,576.00
13,000,000
7,878,624.00
14,000,000
8,484,672.00
15,000,000
9,090,720.00
Maximum number of Hong Kong Offer Shares you may apply for

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,請使用本申請表格。

==> picture [79 x 48] intentionally omitted <==

SYNERTONE COMMUNICATION CORPORATION 協同通信集團有限公司

(於開曼群島註冊成立的有限公司)

全球發售

  • 申請條件確認 閣 下已收取招股章程,並僅依賴招股章程所載的資料及陳述提出申請,而將不會依賴 甲、 申請人資格 任何其他資料及陳述(招股章程的任何補充文件所載者除外); 1. 閣下作為申請人及 閣下為其利益提出申請的任何人士,必須年滿18 歲或以上並須擁有香港 ‧ 同意 本公司、獨家保薦人、獨家全球協調人、香港包銷商及彼等各自的董事、高級職員、員 地址。 工、合作夥伴、代理、顧問及任何其他參與全球發售的各方僅須對招股章程及其任何補充文

    1. 如 閣下屬 商號 ,則須以個人成員而非以商號的名義提出申請。聯名申請人數目不得超過四 件所載的資料及陳述負責(而僅限於具司法管轄權法院裁定存在的該等責任); 名。 ‧ 同意 (在不損害 閣下可能擁有的任何其他權利的情況下)閣 下的申請一經接納, 閣下不得
    1. 如 閣下屬職員簽署,並須註明簽署人的職銜。 法人團體 ,本申請表格須蓋有公司印章(附有公司名稱)並由一名正式授權的高級 ‧ 因無意的失實陳述而撤銷申請; 承諾同意 接納 閣下所申請認購的香港發售股份,或接納獲分配的任何較是次申請數目為 4. 除非是在獲得上市規則批准的情況下,如 閣下或 閣下為其利益提出申請的任何人士屬下列身份,則 不得 申請任何香港發售股份: ‧ 少的香港發售股份; 同意 閣下的申請一經接納, 閣下獲接納的申請將以本公司公佈的香港公開發售結果為依 ‧‧‧ 本公司或其任何附屬公司股份的現有實益擁有人;本公司或其任何附屬公司的最高行政人員或董事;上述任何人士的聯繫人(「聯繫人」一詞的定義見上市規則);或 ‧‧ 據; 確認授權 閣下已細閱招股章程及本申請表格所載的條款與條件及申請手續,並同意受其約束;本公司將香港結算代理人的名稱列入本公司的股東名冊,以登記為 閣下獲分配的任何
    1. ‧如 閣下或 閣下為其利益提出申請的任何人士屬下列身份,則份:‧ 本公司的關連人士或於緊隨全球發售完成後將成為本公司關連人士的人士。中國(不包括香港、澳門和台灣)的法人或自然人(惟已遵守一切有關該申請的中國 不得 申請任何香港發售股 香港發售股份的持有人,並理將任何股票(如適用)寄存於中央結算系統內及/或將退款支票(如有),以普通郵遞方式按 閣下所遞交的申請表格上填寫的地址寄予 閣下,或(如屬聯名申請人)在本申請表格上排名首位的申請人,發售股份,並已在本申請表格上註明 閣下欲親自領取退款支票(如有)並已提供本申請表格郵誤風險概由 閣下承擔, 授權 (須受招股章程所載列的條款及條件規限)本公司及/或其代惟倘 閣下已申請1,000,000股或以上香港 ‧‧‧ 如 閣下並無香港地址;或美籍人士(定義見美國證券法已申請或認購或已表明有意認購或已經或將會獲配售(包括有條件及/或暫定)國際法律及法規的人士,包括但不限於合資格境內機構投資者除外);S規例); ‧ (如是項申請乃為 閣所需的一切資料;表格或透過中央結算系統向香港結算或利用務供應商發出 電子認購指示 下本身的利益而提出)而提出的唯一申請; 網上白表保證 是項申請乃為 閣下利益以服務( www.hkeipo.hk )向指定 白色網上白表黃色 申請服 配售的國際配售股份。 ‧ (如 閣下為他人的代理) 保證 已向該位人士作合理查詢,確定是項申請乃為該位人士的利益
  • 乙、 如 閣下為代名人白色黃色 申請表格或透過中央結算系統向香港結算或利用 網上白表 服務 www.hkeipo.hk 如 閣下為代名人,則 閣下可以本身名義代表不同實益擁有人提出超過一份申請:(1)透過中央結算 向 網上白表 服務供應商發出 電子認購指示 而將會提出的唯一申請,而 閣下已獲正式授權以 系統向香港結算發出遞交超過一份申請表格,惟須於申請表格上「由代名人遞交」方格內填寫每位實益擁有人(或如屬聯名實 電子認購指示 (如 閣 下為中央結算系統參與者);或(2)使用 白色黃色 申請表格 ‧ (如申請由代理代表 閣下提出)該位人士代理的身份簽署申請表格; 保證 閣下已有效及不可撤回地賦予 閣下的代理一切所需 ‧益擁有人的情況而言,則填寫每名有關實益擁有人)的以下資料:賬戶號碼;或 ‧ 的權力及授權以提出申請; 承諾確認 閣下(如是項申請乃為 閣下利益而提出)或 閣 下為其利益提出是項申請的人 ‧ 其他身份識別編碼。 士並無申請或認購或表示有意申請或已獲或將獲配售或分配(包括有條件及/或暫定)並且不 如未有填妥以上資料,則該項申請將被視作為 閣下本身的利益而提出。凡代其他人士遞交本申請表格的代名人一概被視作向本公司、獨家全球協調人及香港包銷商聲明及承 ‧ 會申請或認購或表示有意申請國際配售的任何配售股份; 同意 閣下的申請、任何對申請的接納及據此而訂立的合約將受香港法例規管,並須按其詮 諾,彼已獲該位人士(如超過一名,則每名人士)正式授權代該位人士/每名該等人士遞交是項申請並同意本申請表格的條款。 閣下進一步承諾會向本公司、獨家全球協調人及每名香港包銷商提供彼等 ‧‧ 釋; 保證同意 向本公司及/或其香港股份過戶登記處、收款銀行、獨家全球協調人及彼等各自的顧問是項申請所載資料乃真實準確; 任何一方所需有關該位人士/每名該等人士的資料,以便用作下文「個人資料」一節所載的任何用途。 及代理披露個人資料及所需的 閣下或 閣下為其利益而提出申請的人士的任何其他資料;

  • 丙、 僅可為 閣下本身的利益(或為 閣下或 閣下的聯名申請人的利益)遞交一份申請 ‧ 向本公司(為其本身及各股東的利益(及因此本公司將因其接納全部或部分申請而被視為已為 重複申請或疑屬重複的申請將遭拒絕受理。除非符合上文B節所述的規定,如 閣下或 閣下連同 閣 其本身及代表各股東向各申請人(包括每位發出 電子認購指示 的中央結算系統參與者))表示 下的聯名申請人作出以下任何一項行為,則 閣下的所有申請將被視為重複申請而概不受理: ,遵守和符合公司法,公司條例及組織章程大綱及組織章程細則; ‧ (不論個人或與他人聯名)以 白色黃色 申請表格或透過中央結算系統向香港結算或利用 網上 ‧ 向本公司和各股東表示 同意 股份持有人可自由轉讓其股份;及 白表 服務( www.hkeipo.hk )向指定 網上白表 服務供應商發出 電子認購指示 提出超過一份申請; ‧ 授權 本公司代表 閣下與本公司各董事及高級人員訂立合約,據此,該等董事及高級人員各

  • ‧ (不論個人或與他人聯名)同時以一份 白色 及一份 黃色 申請表格或以一份 白色 或一份 黃色 申請 自承諾遵照及遵守章程細則訂明對股東的責任。 表格及透過中央結算系統透過中央結算系統向香港結算或利用 網上白表 服務 www.hkeipo.hk 本公司、獨家全球協調人、獨家保薦人、香港包銷商、參與全球發售的其他各方及彼等各自的董事、 向指定 網上白表 服務供應商發出 電子認購指示 提出申請; 高級職員、僱員、合作夥伴、代理及顧問,均有權依賴 閣下在 閣下的申請中作出的任何保證、陳

  • ‧ (不論個人或與他人聯名)以一份 白色黃色 申請表格或透過中央結算系統向香港結算或利用 述或聲明。聯名申請人作出、提供或承擔或須履行的所有保證、陳述、聲明及責任,均視為申請人共 網上白表 服務 www.hkeipo.hk 向指定 網上白表 服務供應商發出 電子認購指示 申請超過 同及個別作出、提供或承擔或須履行的保證、陳述、聲明及責任。 15,000,000股香港發售股份,根據香港公開發售提呈可供公眾人士認購的股份約50%;或 庚、 授權書

  • ‧ 已申請或認購或已表明有意認購或已經或將會獲配售(包括有條件及/或暫定)國際配售的國 如 閣下透過正式授權代表提出申請,則本公司及獨家全球協調人(或彼等各自的代理及代名人)(作為 際配售股份。 本公司代理)可按彼等認為適合的任何條件下(包括出示 閣下代表的授權證明)接受 閣下的申請。獨

  • 如為 閣下的利益而以 白色黃色 申請表格或透過向香港結算或透過 網上白表 服務 (www.hkeipo.hk) 向 家全球協調人(以本公司代理的身份)可全權拒絕或接納任何全部或部分申請,而毋須說明任何理由。 指定 網上白表 服務供應商發出電子認購指示提出多於一份申請(包括香港結算代理人根據 電子認購指示 辛、 發售價的釐定 提出申請的部分),則 閣下的所有申請亦會被視為重複申請而遭拒絕受理。 發售價預期由本公司與獨家全球協調人(代表香港包銷商)於二零一二年四月十二日(星期四)或前後協 ‧‧如申請人由非上市公司作出,而:該公司主要從事證券買賣;及閣下對該公司可行使法定控制權 定,無論如何不得遲於二零一二年四月十三日(星期五)。申請香港發售股份的申請人於申請時須支付每股發售股份的最高發售價如發售價低於0.60港元,則多繳的申請股款會不計息退回予成功申請人。如獨家全球協調人(代表香港包0.60港元,另加1%經紀佣金、0.003%證監會交易徵費及0.005%聯交所交易費, 則是項申請將視作為 閣下利益而提出。 銷商並獲本公司同意)根據有意投資的機構及專業投資者以及其他投資者在累計投標過程中表示的認購 非上市公司 指其股本證券概無在聯交所上市的公司。 意向而認為全球發售提呈的發售股份數目及╱或指示性發售價範圍並不適當,獨家全球協調人(代表香 一家公司的 法定控制權 指 閣下: 港包銷商)可於遞交香港公開發售申請的截止日期當日上午或之前隨時將全球發售提呈的發售股份數目 ‧ 控制該公司董事會的組成;或 及╱或指示性發售價範圍下調至低於招股章程所述者(即每股發售股份0.30港元至0.60港元)。在此情況 ‧ 控制該公司一半以上的投票權;或 下,本公司將會在作出有關調減的決定後,在實際可行情況下盡快且無論如何不遲於遞交香港公開發售 ‧ 持有該公司一半以上的已發行股本(不包括無權分享超逾特定金額的溢利分派或資本分派的任 申請的截止日期當日上午,在英文虎報(以英文)及新報(以中文)刊登有關調減全球發售提呈的發售股份 何部分)。 數目及╱或指示性發售價範圍的通告,該通告亦將會在聯交所網站 www.hkexnews.hk 及本公司網站

  • 丁、 香港發售股份的分配—甲組及乙組 www.synertone.net 可供查閱。該通告亦將包括現載於招股章程「概要」一節的營運資金說明及發售統計 就分配而言,香港公開發售初步提呈的發售股份總數(視乎香港公開發售與國際配售之間所作出的任何股 數字及因該下調而可能變動的任何其他財務資料的確認或修訂(如適當)。如獨家全球協調人(代表香港包 份調整而定),將平均分為兩組(取至最接近每手買賣單位):甲組及乙組各自包括組的香港發售股份將按公平基準分配予成功申請總認購金額為5百萬港元或以下(不包括應付的經紀佣15,000,000股股份。甲 銷商)與本公司基於任何理由未能於二零一二年四月十三日(星期五)或之前協定發售價,則全球發售將不會進行,並將失效。 金、證監會交易徵費及聯交所交易費)的香港發售股份申請人。乙組的香港發售股份將按公平基準分配予 壬、 香港發售股份的分配 成功申請總認購金額為5百萬港元以上(不包括應付的經紀佣金、證監會交易徵費及聯交所交易費)至最高 登記申請結束前概不會處理香港發售股份的申請,亦不會分配任何該等香港發售股份。本公司預期以 達乙組價值的申請人。 閣下應注意,甲組與乙組的申請所獲的分配比例或會有差異。如其中一組香港 白色黃色 申請表格以及透過向香港結算或指定 網上白表 服務供應商發出 電子認購指示 申請香港公開 發售股份(但非兩組)認購不足,則餘下的香港發售股份將轉撥至另一組,以滿足另一組的需求及作出相 發售項下香港發售股份的分配結果,其中包括成功申請人的香港身份證號碼、護照號碼或香港商業登 應分配。 閣下僅可獲分配甲組或乙組其中一組的香港發售股份,但不會兩者兼得。組別或組別間的重 記號碼,以及成功申請香港發售股份的數目,將可通過招股章程「如何申請香港發售股份-公佈結果」 複或疑屬重複申請,及超過每組初步獲分配的香港發售股份數目的申請,一概遭拒絕受理。香港公開發 一節所述的方式查看。 售分配予投資者的香港發售股份(甲組及乙組),將純粹按所接獲的有效香港公開發售申請數量而定。各 癸、 如成功申請香港發售股份(全部或部分) 組的分配基準或會因應每名申請人有效申請的香港發售股份數目而有所不同。上述分配(如適用)可能包 本公司不會就申請所繳付的股款發出任何收據。如 閣下的申請全部或部分獲接納,則 閣下的股票將 括抽籤,即意味着部分申請人將獲分配的股數或會較其他申請同一香港發售股份數目的人士為高,而未 以香港結算代理人的名義發行,並於二零一二年四月十七日(星期二)或(如有突發情況)由香港結算或香 能中籤的申請人,則可能不會收取任何香港發售股份。 港結算代理人指定的其他日期,直接存入中央結算系統以記存於 閣下在申請表格內指示的中央結算系

  • 戊、 補充資料 如就招股章程刊發任何補充文件,已遞交申請的申請人可能會亦可能不會(視乎補充文件所載資料)獲 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 閣下透過指定的中央結算系統參與者(中央結算系統投資者戶口持有人除外)提出申請: 通知可撤回彼等的申請。如申請人未獲通知或申請人已獲通知但未有根據所通知的手續撤回申請,則 香港發售股份將記存於 閣下指定的中央結算系統參與者(中央結算系統投資者戶口持有人除 所有已遞交的申請仍屬有效及可供接納。除上下文所述情況外,申請一經提出即不可撤回,而申請人亦視作根據經補充的招股章程提出申請。 ‧ 外)的股份戶口,而 閣下可向該中央結算系統參與者查核所獲分配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的身份提出申請: 本公司預期將於二零一二年四月十七日(星期二)公佈包括中央結算系統投資者戶口持有人的

  • 己、 填妥及遞交本申請表格的效用 申請結果的香港公開發售結果。 閣下應查核本公司刊登的結果,如有任何差誤,須於二零一 本申請表格一經填妥及遞交,即表明 閣下(如屬聯名申請人,即各聯名申請人個別及共同)就閣下本 二年四月十七日(星期二)下午五時正前,或香港結算或香港結算代理人釐定的其他日期向香 身或作為代理或代名人及代表 閣下作為代理或代名人所代表的各位人士: 港結算呈報。緊隨香港發售股份記存於 閣下的戶口後, 閣下可透過「結算通」電話系統及 ‧ 指示授權 本公司及/或獨家全球協調人(或彼等各自的代理或代名人)根據組織章程細則的 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」所載的程序)查 規定,代表 閣下簽署任何過戶表格或其他文件和代表 閣下進行所有必要事宜,以香港結 詢 閣下的最新戶口結餘。香港結算亦會向 閣下發出活動結單,列明記存於 閣下股份戶口 算代理人的名義登記分配予 閣下的任何香港發售股份,以及以其他方式使得招股章程及本 的香港發售股份數目。 申請表格所述的安排得以進行; 本公司將不會發出任何臨時所有權文件。 僅當香港公開發售在各方面已成為無條件,且包銷協議訂明

  • 承諾 簽署所有必要文件及進行所有必要事宜,以及根據組織章程細則規定,令香港結算代理 及招股章程中「包銷-包銷安排及開支-終止的理由」一節所述終止權未獲行使,股票方會於二零一二 人登記為 閣下獲分配的香港發售股份的持有人; 年四月十八日(星期三)上午八時正成為有效的所有權證書。概不會就已付申請款項發出收據。倘發售

  • 同意 獲分配予 閣下的任何香港發售股份以香港結算代理人的名義登記,並直接存入由香港結 價低於 閣下所支付的每股香港發售股份價格,多出的申請款項(包括因此而多繳的經紀佣金、證監會 算操作的中央結算系統,以按 閣下在申請表格上的選擇,記存於 閣下的中央結算系統投資 交易徵費及聯交所交易費)將不計利息退還予 閣下。 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; 子、 導致 閣下不獲分配香港發售股份的情況

  • ‧ 香港結算及香港結算代理人各自均可保留權利,(a)不接納以香港結算代理人的名義登記獲配發 閣下可能基於下列任何理由不獲分配香港發售股份: 該等獲配發的香港發售股份自中央結算系統中提取並轉入 閣下名下(或如屬聯名申請人,則的任何或部分香港發售股份,或不接納該等獲配發的香港發售股份存入中央結算系統;(b)安排 1. 全權決定拒絕或接納 閣下的申請: 為名列首位的申請人),有關風險及費用概由 閣下承擔;及以 閣 下(或如屬聯名申請人,則為名列首位的申請人)的名義登記,在此情況下,該等獲配(c)安排該等獲配發香港發售股份 納任何申請或僅接納任何申請的部分,而毋須說明任何拒紀或接納理由。本公司、獨家全球協調人(作為本公司的代理)或彼等各自的代理,可全權酌情決定拒絕或接 發香港發售股份的有關股票將以普通郵遞方式寄予 閣下的申請表格上所示地址,郵誤風險概 2. 如 閣下的申請遭拒絕: 由 閣下承擔,而 閣下亦可親身領取; 在下列情況下, 閣下將不獲配發股份:

  • 同意 香港結算及香港結算代理人各自均可就以香港結算代理人的名義發出獲配發的香港發售 ‧ 閣下提出重複申請或疑屬重複申請; ‧ 股份的數目作出調整; 同意 香港結算及香港結算代理人均毋須對概無載於招股章程及本申請表格的資料及陳述承擔 ‧‧ 閣下並無正確填妥申請表格;閣下未按規定方式付款或 閣下以支票或銀行本票繳款,惟該支票或銀行本票未能 任何責任; 於首次過戶時兌現;

香港發售股份的分配 登記申請結束前概不會處理香港發售股份的申請,亦不會分配任何該等香港發售股份。本公司預期以 白色黃色 申請表格以及透過向香港結算或指定 網上白表 服務供應商發出 電子認購指示 申請香港公開 發售項下香港發售股份的分配結果,其中包括成功申請人的香港身份證號碼、護照號碼或香港商業登 記號碼,以及成功申請香港發售股份的數目,將可通過招股章程「如何申請香港發售股份-公佈結果」 一節所述的方式查看。

  • ‧ 閣下未按規定方式付款或 閣下以支票或銀行本票繳款,惟該支票或銀行本票未能 於首次過戶時兌現;

  • ‧ 閣下或 閣下為其利益提出申請的人士已申請或認購或表示有意申請或已收取或已 獲或將獲配售或配發(包括有條件及/或暫定)國際配售的配售股份;

  • ‧ 本公司及獨家全球協調人(代表本公司)相信接納 閣下的申請會觸犯填寫及/或簽 署 閣下申請表格或 閣下於申請表格上所示地址的所在司法管轄區任何適用證券 或其他法例、規則或法規;

  • ‧ 任何包銷協議並無成為無條件或根據其條款終止;或 ‧ 閣下申請超過向公眾初步提呈認購的香港發售股份 50%以上(即 15,000,000股股 份)。

  • 同意 香港結算及香港結算代理人均毋須在任何方面向 閣下承擔任何責任。 ‧ 聲明保證承諾 閣下明白香港發售股份並無且不會根據美國證券法登記,而且 閣下 與 閣下代為申請的受益人並非身處美國境內(定義見美國證券法S規例)的人士,並且會以離 岸交易(定義見美國證券法S規例)購入香港發售股份;

同意保證 如香港境外任何地區的法例適用於本申請,則 閣下已遵守一切有關法例,而本 公司、獨家全球協調人、香港包銷商及彼等各自的高級職員或顧問不會因接納 閣下的認購 申請或因應 閣下在招股章程所載條款及條件下的權利與責任而採取的行動而違反香港境外 地區的任何法例;

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,請使用本申請表格。

如 閣下未有在指定領取時間內領取 閣下的退款支票,則 閣下的退款支票將隨即於寄發日期下午 以普通郵遞方式,寄往 閣下在申請表格上所示的地址,郵誤風險概由 閣下承擔。 如 閣下申請少於1,000,000股香港發售股份,或申請1,000,000股或以上香港發售股份但並無於申請表 格上註明 閣下將親身領取 閣下的退款支票,則 閣下的退款支票將於寄發日期下午以普通郵遞方 式,寄往 閣下在申請表格上所示的地址,郵誤風險概由 閣下承擔。 本公司擬作出特別安排,以盡全力避免不當延遲退還申請款項(如適用)。

  1. 如 閣下的申請遭撤銷或撤回: 閣下一經填妥並遞交本申請表格或向香港結算或 網上白表 服務供應商發出 電子認購指示 ,即 表示 閣下同意於開始辦理申請登記後第五日(就此而言,不包括非營業日)或之前不可撤 回 閣下的申請。該協議成為與本公司訂立的附屬合約,於 閣下遞交申請表格或向香港結 算或 網上白表 服務供應商發出 電子認購指示 時生效,對 閣下具有約束力。而該附屬合約則 為本公司同意,除按招股章程所述任何一項程序外,不得於開始登記認購申請起計第五日或 之前(就此而言不包括任何非營業日)向任何人士發售任何香港發售股份。 如根據公司條例第40條須對招股章程負責的人士根據該條發出公告,免除或限制該人士對招 股章程的責任,則 閣下僅可於開始辦理申請登記後第五日(就此而言不包括非營業日)前撤 回申請。 如就招股章程刊發任何補充文件,已遞交申請的申請人可能會亦可能不會(視乎補充文件所載 資料)獲通知可撤回彼等的申請。如申請人未獲知會或申請人已獲知會但未有根據所通知的手 續撤回申請,則所有已遞交的申請仍屬有效及可供接納。除上文所述情況外,申請一經提出即 不可撤回,而申請人亦視作根據經補充的招股章程提出申請。

個人資料

個人資料收集聲明

個人資料(私隱)條例(「條例」)中的主要條文已於一九九六年十二月二十日在香港生效,此項個人資料收集聲明是 向香港發售股份的申請人及持有人說明本公司及卓佳證券登記有限公司(「香港股份過戶登記處」)就個人資料及條 例而制訂的政策及措施。

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續撤回申請,則所有已遞交的申請仍屬有效及可供接納。除上文所述情況外,申請一經提出即 1. 收集 閣下個人資料的原因
不可撤回,而申請人亦視作根據經補充的招股章程提出申請。 證券申請人申請證券時或證券登記持有人將證券轉往其名下,或將證券轉讓予他人,或要求香港股份
閣下的申請一經接納即不可撤銷或撤回。於報章公佈分配結果通知,即代表未經拒絕受理的 過戶登記處提供服務時,須不時向本公司及香港股份過戶登記處提供其最新的準確個人資料。
申請已獲接納。如有關分配基準須符合若干條件或規定以抽籤形式分配,則接納是否有效, 若未能提供所需資料,會導致 閣下的證券申請遭拒絕受理或延誤或本公司及香港股份過戶登記處無
須視乎有關條件能否達成或抽籤結果而定。 法進行過戶或提供服務,亦可能妨礙或延誤 閣下成功申請的香港發售股份的登記或過戶及/或 閣
4. 倘閣下在香港公開發售及國際配售中均有提出申請: 下有權收取的股票的寄發及/或退款支票的寄發及/或電子自動退款指示的發送。證券持有人所提供的個人資料如有任何不確,必須即時知會本公司及香港股份過戶登記處。
一經填妥任何申請表格或向香港結算或 網上白表 服務供應商發出 電子認購指示 ,即表示閣下
同意不會根據國際配售申請國際配售股份。有關方面將採取合理措施以識別及拒絕來自已取 2. 用途
得國際配售下的國際配售股份的投資者在香港公開發售中提出的申請,以及識別及拒絕來自已取得香港公開發售下發售股份的投資者對國際配售所表示的興趣。 申請人及證券持有人的個人資料可以任何方式採用、持有及/或保存,以作下列用途:‧ 處理 閣下的申請,退款支票及電子自動退款指示(如適用)及核實是否遵守本申請表格及招
股章程所載條款及申請手續以及公佈香港發售股份的分配結果;
5. 如 閣下的香港發售股份的分配失效: ‧ 使符合香港及其他地方的全部適用法律及法規;
如聯交所上市委員會未能於下列時間內批准股份上市及買賣,則 閣下的香港發售股份的分 ‧ 登記新發行的證券或為證券持有人登記轉往其名下或由其名下轉讓予他人的證券,包括(如適
配將告失效:‧‧ 截止辦理申請登記日期後三星期內;或聯交所上市委員會於截止辦理申請登記日期後三星期內通知本公司的較長期限,該 ‧‧ 進行或協助進行簽名核對或任何其他核對或交換資料;保存或更新本公司證券持有人名冊;用)以香港結算代理人的名義登記;
期限最長不超過六星期。 ‧ 確定本公司證券持有人可獲取的利益,例如股息、供股及紅股的資格;
丑、 退還股款 ‧ 寄發本公司及其附屬公司的公司通訊;
如出現下列情況, 閣下的申請款項或其適當部分,連同相關的1%經紀佣金、0.003%證監會交易徵費 ‧ 編製統計資料及股東資料;
及0.005%聯交所交易費將會退還: ‧ 遵照法例、規則或法規(不論法定或其他)的規定作出披露;
‧ 閣下的申請遭拒絕受理、不獲接納或僅獲部分接納或如 閣下就上述任何原因並無收取任何 ‧ 以報章公佈或其他方式披露成功申請人的身份;
香港發售股份; ‧ 披露有關資料以便作出權利索償;及
‧ 於申請時支付的發售價最終釐定為少於每股股份0.60港元(不包括經紀佣金、證監會交易徵費 ‧ 與上述有關的任何其他附帶或相關用途及/或以便本公司及過戶處能夠履行其對證券持有人
及聯交所交易費); 及/或監管機構的責任及/或證券持有人不時同意的任何其他用途。
‧ 任何申請遭撤回或據此作出的任何配發無效。 3. 向他人提供個人資料
不會支付相關利息。所有有關款項於退款日期前應計的利息將撥歸本公司所有。 本公司及香港股份過戶登記處會將申請人及證券持有人的個人資料保密,但本公司及香港股份過戶登
如出現涉及大量超額認購的特殊情況,按本公司及獨家全球協調人的酌情決定,申請若干小額香港發 記處可能會作出必要的查詢以確定個人資料的準確性,以便資料可用作上述任何用途,尤其可能會向
售股份的支票(成功申請者除外)可能不予過戶。本公司預期將於二零一二年四月十七日(星期二)按照 下列任何或所有人士及實體披露、索取或轉交(不論在香港或外地)申請人及證券持有人的個人資料:
上文所述各項安排退回 閣下的申請款項(如有)。退款支票將會以「只准入抬頭人賬戶」劃線方式開 ‧ 本公司或其委任的代理,例如財務顧問及收款銀行;
出,如屬聯名申請人,則以申請表格上排名首位申請人為收款人。 閣下所提供部分香港身份證號碼 ‧ 當申請人要求將香港發售股份存入中央結算系統時,香港結算及香港結算代理人將為中央結
或護照號碼,或(如屬聯名申請人)排名首位申請人的部分香港身份證號碼或護照號碼或會印列於 閣 算系統的運作而使用個人資料;
下的退款支票(如有)上。上述數據亦會轉交第三方以安排退款。在兌現 閣下的退款支票前, 閣下 ‧ 任何向本公司及/或香港股份過戶登記處提供與其各自業務運作有關的行政、電訊、電腦、
的銀行或須核實 閣下的香港身份證號碼或護照號碼。如 閣下填寫的香港身份證號碼或護照號碼並 付款或其他服務的代理、承包商或第三方服務供應商;
不準確,可能會延遲或無法兌現 閣下的退款支票。 ‧ 聯交所、證監會及任何其他法定、監管及政府機構;及
如 閣下已申請1,000,000股或以上香港發售股份並在 閣下的申請表格上註明擬親自領取退款支票及 ‧ 與證券持有人有業務往來或擬有業務往來的任何其他人士或機構,例如銀行、律師、會計師
已提供申請表格上列明的一切所需資料, 閣下可於本公司在報章上公佈有關寄發退款支票的日期當 或股票經紀等。
日或任何其他日期上午九時正至下午一時正期間,親自前往香港股份過戶登記處領取退款支票:
4. 查閱及更正個人資料
卓佳證券登記有限公司香港灣仔皇后大道東28號金鐘匯中心26樓 條例賦予申請人及證券持有人權利查證本公司或香港股份過戶登記處是否持有其個人資料,並索取有關資料副本及更正任何不確的資料。依據條例,本公司及香港股份過戶登記處有權就處理任何查閱資
預期寄發退款支票的日期為二零一二年四月十七日(星期二)。 料的要求收取合理費用。根據適用條例,所有關於查閱資料或更正資料或查詢個人資料政策及措施及
持有資料類別的要求,應向本公司的公司秘書提出或通過香港股份過戶登記處向私隱條例事務主任提
如 閣下為選擇親身領取的個別申請人,則不得授權任何其他人士代 閣下領取。如 閣下為選擇派 出。
人領取的公司申請人,則必須由其授權代表持有加蓋公司印章的授權書方可領取。個人及授權代表(如
適用)須在領取時出示卓佳證券登記有限公司接納的身份證明文件。 簽署本申請表格後,即表示 閣下同意上述各項。
如何提出申請 4. 撕下申請表格,對摺一次,然後投入中國銀行(香港)有限公司下列任何一間分行的特設收集箱內:
1. 請按照下表計算 閣下擬認購的香港發售股份數目所應付的股款。申請股數最少須為8,000股香港發售股份,並須按照下表載列的數目提出申請。申請任何其他數目的香 分行名稱 地址
港發售股份將不予考慮,而任何有關申請將一概拒絕受理。下表亦列出申請各香港發售股份股數的應 港島區 中銀大廈分行 花園道1號3樓
會交易徵費及付股款總額。 閣下須於申請時繳付每股股份的最高發售價0.005%聯交所交易費。 0.60港元,另加1%經紀佣金、0.003%證監 北角英皇中心分行 北角英皇道193-209號
莊士敦道分行 灣仔莊士敦道152-158號
2. 閣下身為申請人必須按下列指示填妥本申請表格,並於本申請表格之首頁簽署。只接納親筆簽名。如 閣下透過指定的中央結算系統參與者(中央結算系統投資者戶口持有人除外)提出申請: 朂魚涌分行 朂魚涌英皇道1060號柏惠苑
‧ 該指定的中央結算系統參與者必須在表格蓋上附有其公司名稱的公司印章,並在適當方格內 九龍區 堪富利士道分行 尖沙咀堪富利士道4-4A
填上其參與者編號。 旺角總統商業大廈分行 旺角彌敦道608號
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:
‧ 申請表格必須填上 閣下的全名及香港身份證號碼;及 黃埔花園分行 紅磡黃埔花園第一期商場G8B號
‧ 閣下必須在申請表格適當方格內填上 閣下的參與者編號。 新都城分行 將軍澳新都城一期二樓209號
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:‧ 申請表格必須填上所有聯名中央結算系統投資者戶口持有人的姓名及彼等的香港身份證號 新界區 上水分行證券服務中心 上水新豐路136號
碼;及 元朗青山道分行 元朗青山公路162號
‧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:必須於適當方格內填上 閣下的參與者編號。 5. 閣下可於下列時間內遞交申請表格:
‧‧ 必須於適當方格內填上 閣下的參與者編號及蓋上附有公司名稱的公司印章。申請表格必須填上 閣下公司的名稱及香港商業登記證號碼;及 二零一二年三月三十一日(星期六)-二零一二年三月三十日(星期五)- 上午九時正至下午五時正上午九時正至下午一時正
如有關中央結算系統參與者的資料不正確或不完整或參與者編號有遺漏或不足或出現其他類似事宜,
均可令申請作廢。 二零一二年四月二日(星期一)- 上午九時正至下午五時正
3. 付款支票或銀行本票須緊釘於表格上。 閣下必須以 一張支票 或 一張銀行本票 支付香港發售股份的申 二零一二年四月三日(星期二)- 上午九時正至下午五時正
請款項。 二零一二年四月五日(星期四)- 上午九時正至下午五時正
如以支票付款,該支票必須: 二零一二年四月十日(星期二)- 上午九時正至下午五時正
‧ 為港元支票; 二零一二年四月十一日(星期三)- 上午九時正至中午十二時正
‧‧ 從 閣下在香港持牌銀行的港元銀行賬戶付款;不是期票; 6. 閣下最遲須於二零一二年四月十一日(星期三)中午十二時正或(如該日並無開始辦理申請登記)下述日
‧ 顯示 閣下的賬戶名稱,而該賬戶名稱必須已預印在支票上,或由有關銀行授權人在該支票 期及時間前遞交 閣下的申請。本公司將於二零一二年四月十一日(星期三)上午十一時四十五分至中
背面加簽證明。該賬戶名稱必須與 閣下姓名相同。如屬聯名申請,該賬戶名稱必須與名列 午十二時正期間登記申請,惟須視乎當日天氣情況而定。如於二零一二年四月十一日(星期三)上午九
首位申請人的姓名相同; 時正至中午十二時正任何時間內香港發出下列警告訊號:
‧ 註明抬頭人為「 中國銀行(香港)代理人有限公司-協同通信公開發售 」;及
‧ 劃線註明「只准入抬頭人賬戶」。 ‧ 八號或以上熱帶氣旋警告訊號,或
每份申請必須附有獨立開出的支票或銀行本票。 ‧ 「黑色」暴雨警告訊號
‧‧ 下列情況將導致 閣下的申請不獲接納: 支票首次過戶時未能兌現。支票未能符合所有上述規定;或 則不會辦理申請登記,如下一個營業日上午九時正至中午十二時正期間任何時間香港並無發出上述任何警告訊號,則改為於該日上午十一時四十五分至中午十二時正辦理申請登記。營業日指星期六、星
如以銀行本票付款: 期日或香港公眾假期以外的日子。
‧‧ 為港元銀行本票;銀行本票必須由香港持牌銀行發出,並由有關銀行的授權人士在該銀行本票背面簽署證明 7. 本公司保留將所有或任何申請款項過戶的權利。然而, 閣下的支票或銀行本票將不會於二零一二年
閣下姓名。銀行本票背頁所示姓名必須與申請表格所示的姓名相同。如屬聯名申請,該銀行 四月十一日(星期三)中午十二時正前過戶。本公司不會向 閣下發出付款收據。本公司將保留 閣下
本票背面所示姓名必須與名列首位申請人的姓名相同; 申請款項(如屬退款,則直至退款支票寄發日期止)的所有利息。本公司亦保留權利在 閣下的支票或
‧ 必須在銀行本票註明抬頭人為「 中國銀行(香港)代理人有限公司-協同通信公開發售 」; 銀行本票過戶之前保留任何股票及/或任何多繳的申請款項或退款。
‧ 必須在銀行本票上劃線註明「只准入抬頭人賬戶」;及
‧ 銀行本票不得為期票。
如 閣下的銀行本票不符合上述所有要求, 閣下的申請將一概拒絕受理。
樣版
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可申請認購的香港發售股份數目及應繳款項一覽表


下的退款支票(如有)上。上述數據亦會轉交第三方以安排退款。在兌現 閣下的退款支票前, 閣下
的銀行或須核實 閣下的香港身份證號碼或護照號碼。如 閣下填寫的香港身份證號碼或護照號碼並
不準確,可能會延遲或無法兌現 閣下的退款支票。
如 閣下已申請1,000,000股或以上香港發售股份並在 閣下的申請表格上註明擬親自領取退款支票及
已提供申請表格上列明的一切所需資料, 閣下可於本公司在報章上公佈有關寄發退款支票的日期當
日或任何其他日期上午九時正至下午一時正期間,親自前往香港股份過戶登記處領取退款支票:
卓佳證券登記有限公司
香港灣仔皇后大道東28號金鐘匯中心26樓
預期寄發退款支票的日期為二零一二年四月十七日(星期二)。
如 閣下為選擇親身領取的個別申請人,則不得授權任何其他人士代 閣下領取。如 閣下為選擇派
人領取的公司申請人,則必須由其授權代表持有加蓋公司印章的授權書方可領取。個人及授權代表(如
適用)須在領取時出示卓佳證券登記有限公司接納的身份證明文件。
算系統的運作而使用個人資料;

任何向本公司及/或香港股份過戶登記處提供與其各自業務運作有關的行政、電訊、電腦、
付款或其他服務的代理、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、監管及政府機構;及

與證券持有人有業務往來或擬有業務往來的任何其他人士或機構,例如銀行、律師、會計師
或股票經紀等。
4.
查閱及更正個人資料
條例賦予申請人及證券持有人權利查證本公司或香港股份過戶登記處是否持有其個人資料,並索取有
關資料副本及更正任何不確的資料。依據條例,本公司及香港股份過戶登記處有權就處理任何查閱資
料的要求收取合理費用。根據適用條例,所有關於查閱資料或更正資料或查詢個人資料政策及措施及
持有資料類別的要求,應向本公司的公司秘書提出或通過香港股份過戶登記處向私隱條例事務主任提
出。
簽署本申請表格後,即表示 閣下同意上述各項。
如何提出申請
1.
請按照下表計算 閣下擬認購的香港發售股份數目所應付的股款。
申請股數最少須為8,000股香港發售股份,並須按照下表載列的數目提出申請。申請任何其他數目的香
港發售股份將不予考慮,而任何有關申請將一概拒絕受理。下表亦列出申請各香港發售股份股數的應
付股款總額。 閣下須於申請時繳付每股股份的最高發售價0.60港元,另加1%經紀佣金、0.003%證監
會交易徵費及0.005%聯交所交易費。
2.
閣下身為申請人必須按下列指示填妥本申請表格,並於本申請表格之首頁簽署。只接納親筆簽名。
如 閣下透過指定的中央結算系統參與者(中央結算系統投資者戶口持有人除外)提出申請:

該指定的中央結算系統參與者必須在表格蓋上附有其公司名稱的公司印章,並在適當方格內
填上其參與者編號。
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:

申請表格必須填上 閣下的全名及香港身份證號碼;及

閣下必須在申請表格適當方格內填上 閣下的參與者編號。
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:

申請表格必須填上所有聯名中央結算系統投資者戶口持有人的姓名及彼等的香港身份證號
碼;及

必須於適當方格內填上 閣下的參與者編號。
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:

申請表格必須填上 閣下公司的名稱及香港商業登記證號碼;及

必須於適當方格內填上 閣下的參與者編號及蓋上附有公司名稱的公司印章。
如有關中央結算系統參與者的資料不正確或不完整或參與者編號有遺漏或不足或出現其他類似事宜,
均可令申請作廢。
3.
付款支票或銀行本票須緊釘於表格上。 閣下必須以一張支票一張銀行本票支付香港發售股份的申
請款項。
如以支票付款,該支票必須:

為港元支票;

不是期票;

從 閣下在香港持牌銀行的港元銀行賬戶付款;

顯示 閣下的賬戶名稱,而該賬戶名稱必須已預印在支票上,或由有關銀行授權人在該支票
背面加簽證明。該賬戶名稱必須與 閣下姓名相同。如屬聯名申請,該賬戶名稱必須與名列
首位申請人的姓名相同;

註明抬頭人為「中國銀行(香港)代理人有限公司-協同通信公開發售」;及

劃線註明「只准入抬頭人賬戶」。
每份申請必須附有獨立開出的支票或銀行本票。
下列情況將導致 閣下的申請不獲接納:

支票未能符合所有上述規定;或

支票首次過戶時未能兌現。
如以銀行本票付款:

為港元銀行本票;

銀行本票必須由香港持牌銀行發出,並由有關銀行的授權人士在該銀行本票背面簽署證明
閣下姓名。銀行本票背頁所示姓名必須與申請表格所示的姓名相同。如屬聯名申請,該銀行
本票背面所示姓名必須與名列首位申請人的姓名相同;

必須在銀行本票註明抬頭人為「中國銀行(香港)代理人有限公司-協同通信公開發售」;

必須在銀行本票上劃線註明「只准入抬頭人賬戶」;及

銀行本票不得為期票。
如 閣下的銀行本票不符合上述所有要求, 閣下的申請將一概拒絕受理。
4.
撕下申請表格,對摺一次,然後投入中國銀行(香港)有限公司下列任何一間分行的特設收集箱內:
分行名稱
地址
港島區
中銀大廈分行
花園道1號3樓
北角英皇中心分行
北角英皇道193-209號
莊士敦道分行
灣仔莊士敦道152-158號
朂魚涌分行
朂魚涌英皇道1060號柏惠苑
九龍區
堪富利士道分行
尖沙咀堪富利士道4-4A
旺角總統商業大廈分行
旺角彌敦道608號
黃埔花園分行
紅磡黃埔花園第一期商場G8B號
新都城分行
將軍澳新都城一期二樓209號
新界區
上水分行證券服務中心
上水新豐路136號
元朗青山道分行
元朗青山公路162號
5.
閣下可於下列時間內遞交申請表格:
二零一二年三月三十日(星期五)-
上午九時正至下午五時正
二零一二年三月三十一日(星期六)-
上午九時正至下午一時正
二零一二年四月二日(星期一)-
上午九時正至下午五時正
二零一二年四月三日(星期二)-
上午九時正至下午五時正
二零一二年四月五日(星期四)-
上午九時正至下午五時正
二零一二年四月十日(星期二)-
上午九時正至下午五時正
二零一二年四月十一日(星期三)-
上午九時正至中午十二時正
6.
閣下最遲須於二零一二年四月十一日(星期三)中午十二時正或(如該日並無開始辦理申請登記)下述日
期及時間前遞交 閣下的申請。本公司將於二零一二年四月十一日(星期三)上午十一時四十五分至中
午十二時正期間登記申請,惟須視乎當日天氣情況而定。如於二零一二年四月十一日(星期三)上午九
時正至中午十二時正任何時間內香港發出下列警告訊號:

八號或以上熱帶氣旋警告訊號,或

「黑色」暴雨警告訊號
則不會辦理申請登記,如下一個營業日上午九時正至中午十二時正期間任何時間香港並無發出上述任
何警告訊號,則改為於該日上午十一時四十五分至中午十二時正辦理申請登記。營業日指星期六、星
期日或香港公眾假期以外的日子。
7.
本公司保留將所有或任何申請款項過戶的權利。然而, 閣下的支票或銀行本票將不會於二零一二年
四月十一日(星期三)中午十二時正前過戶。本公司不會向 閣下發出付款收據。本公司將保留 閣下
申請款項(如屬退款,則直至退款支票寄發日期止)的所有利息。本公司亦保留權利在 閣下的支票或
銀行本票過戶之前保留任何股票及/或任何多繳的申請款項或退款。
Sample樣

下的退款支票(如有)上。上述數據亦會轉交第三方以安排退款。在兌現 閣下的退款支票前, 閣下
的銀行或須核實 閣下的香港身份證號碼或護照號碼。如 閣下填寫的香港身份證號碼或護照號碼並
不準確,可能會延遲或無法兌現 閣下的退款支票。
如 閣下已申請1,000,000股或以上香港發售股份並在 閣下的申請表格上註明擬親自領取退款支票及
已提供申請表格上列明的一切所需資料, 閣下可於本公司在報章上公佈有關寄發退款支票的日期當
日或任何其他日期上午九時正至下午一時正期間,親自前往香港股份過戶登記處領取退款支票:
卓佳證券登記有限公司
香港灣仔皇后大道東28號金鐘匯中心26樓
預期寄發退款支票的日期為二零一二年四月十七日(星期二)。
如 閣下為選擇親身領取的個別申請人,則不得授權任何其他人士代 閣下領取。如 閣下為選擇派
人領取的公司申請人,則必須由其授權代表持有加蓋公司印章的授權書方可領取。個人及授權代表(如
適用)須在領取時出示卓佳證券登記有限公司接納的身份證明文件。
算系統的運作而使用個人資料;

任何向本公司及/或香港股份過戶登記處提供與其各自業務運作有關的行政、電訊、電腦、
付款或其他服務的代理、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、監管及政府機構;及

與證券持有人有業務往來或擬有業務往來的任何其他人士或機構,例如銀行、律師、會計師
或股票經紀等。
4.
查閱及更正個人資料
條例賦予申請人及證券持有人權利查證本公司或香港股份過戶登記處是否持有其個人資料,並索取有
關資料副本及更正任何不確的資料。依據條例,本公司及香港股份過戶登記處有權就處理任何查閱資
料的要求收取合理費用。根據適用條例,所有關於查閱資料或更正資料或查詢個人資料政策及措施及
持有資料類別的要求,應向本公司的公司秘書提出或通過香港股份過戶登記處向私隱條例事務主任提
出。
簽署本申請表格後,即表示 閣下同意上述各項。
如何提出申請
1.
請按照下表計算 閣下擬認購的香港發售股份數目所應付的股款。
申請股數最少須為8,000股香港發售股份,並須按照下表載列的數目提出申請。申請任何其他數目的香
港發售股份將不予考慮,而任何有關申請將一概拒絕受理。下表亦列出申請各香港發售股份股數的應
付股款總額。 閣下須於申請時繳付每股股份的最高發售價0.60港元,另加1%經紀佣金、0.003%證監
會交易徵費及0.005%聯交所交易費。
2.
閣下身為申請人必須按下列指示填妥本申請表格,並於本申請表格之首頁簽署。只接納親筆簽名。
如 閣下透過指定的中央結算系統參與者(中央結算系統投資者戶口持有人除外)提出申請:

該指定的中央結算系統參與者必須在表格蓋上附有其公司名稱的公司印章,並在適當方格內
填上其參與者編號。
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:

申請表格必須填上 閣下的全名及香港身份證號碼;及

閣下必須在申請表格適當方格內填上 閣下的參與者編號。
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:

申請表格必須填上所有聯名中央結算系統投資者戶口持有人的姓名及彼等的香港身份證號
碼;及

必須於適當方格內填上 閣下的參與者編號。
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:

申請表格必須填上 閣下公司的名稱及香港商業登記證號碼;及

必須於適當方格內填上 閣下的參與者編號及蓋上附有公司名稱的公司印章。
如有關中央結算系統參與者的資料不正確或不完整或參與者編號有遺漏或不足或出現其他類似事宜,
均可令申請作廢。
3.
付款支票或銀行本票須緊釘於表格上。 閣下必須以一張支票一張銀行本票支付香港發售股份的申
請款項。
如以支票付款,該支票必須:

為港元支票;

不是期票;

從 閣下在香港持牌銀行的港元銀行賬戶付款;

顯示 閣下的賬戶名稱,而該賬戶名稱必須已預印在支票上,或由有關銀行授權人在該支票
背面加簽證明。該賬戶名稱必須與 閣下姓名相同。如屬聯名申請,該賬戶名稱必須與名列
首位申請人的姓名相同;

註明抬頭人為「中國銀行(香港)代理人有限公司-協同通信公開發售」;及

劃線註明「只准入抬頭人賬戶」。
每份申請必須附有獨立開出的支票或銀行本票。
下列情況將導致 閣下的申請不獲接納:

支票未能符合所有上述規定;或

支票首次過戶時未能兌現。
如以銀行本票付款:

為港元銀行本票;

銀行本票必須由香港持牌銀行發出,並由有關銀行的授權人士在該銀行本票背面簽署證明
閣下姓名。銀行本票背頁所示姓名必須與申請表格所示的姓名相同。如屬聯名申請,該銀行
本票背面所示姓名必須與名列首位申請人的姓名相同;

必須在銀行本票註明抬頭人為「中國銀行(香港)代理人有限公司-協同通信公開發售」;

必須在銀行本票上劃線註明「只准入抬頭人賬戶」;及

銀行本票不得為期票。
如 閣下的銀行本票不符合上述所有要求, 閣下的申請將一概拒絕受理。
4.
撕下申請表格,對摺一次,然後投入中國銀行(香港)有限公司下列任何一間分行的特設收集箱內:
分行名稱
地址
港島區
中銀大廈分行
花園道1號3樓
北角英皇中心分行
北角英皇道193-209號
莊士敦道分行
灣仔莊士敦道152-158號
朂魚涌分行
朂魚涌英皇道1060號柏惠苑
九龍區
堪富利士道分行
尖沙咀堪富利士道4-4A
旺角總統商業大廈分行
旺角彌敦道608號
黃埔花園分行
紅磡黃埔花園第一期商場G8B號
新都城分行
將軍澳新都城一期二樓209號
新界區
上水分行證券服務中心
上水新豐路136號
元朗青山道分行
元朗青山公路162號
5.
閣下可於下列時間內遞交申請表格:
二零一二年三月三十日(星期五)-
上午九時正至下午五時正
二零一二年三月三十一日(星期六)-
上午九時正至下午一時正
二零一二年四月二日(星期一)-
上午九時正至下午五時正
二零一二年四月三日(星期二)-
上午九時正至下午五時正
二零一二年四月五日(星期四)-
上午九時正至下午五時正
二零一二年四月十日(星期二)-
上午九時正至下午五時正
二零一二年四月十一日(星期三)-
上午九時正至中午十二時正
6.
閣下最遲須於二零一二年四月十一日(星期三)中午十二時正或(如該日並無開始辦理申請登記)下述日
期及時間前遞交 閣下的申請。本公司將於二零一二年四月十一日(星期三)上午十一時四十五分至中
午十二時正期間登記申請,惟須視乎當日天氣情況而定。如於二零一二年四月十一日(星期三)上午九
時正至中午十二時正任何時間內香港發出下列警告訊號:

八號或以上熱帶氣旋警告訊號,或

「黑色」暴雨警告訊號
則不會辦理申請登記,如下一個營業日上午九時正至中午十二時正期間任何時間香港並無發出上述任
何警告訊號,則改為於該日上午十一時四十五分至中午十二時正辦理申請登記。營業日指星期六、星
期日或香港公眾假期以外的日子。
7.
本公司保留將所有或任何申請款項過戶的權利。然而, 閣下的支票或銀行本票將不會於二零一二年
四月十一日(星期三)中午十二時正前過戶。本公司不會向 閣下發出付款收據。本公司將保留 閣下
申請款項(如屬退款,則直至退款支票寄發日期止)的所有利息。本公司亦保留權利在 閣下的支票或
銀行本票過戶之前保留任何股票及/或任何多繳的申請款項或退款。
Sample樣

下的退款支票(如有)上。上述數據亦會轉交第三方以安排退款。在兌現 閣下的退款支票前, 閣下
的銀行或須核實 閣下的香港身份證號碼或護照號碼。如 閣下填寫的香港身份證號碼或護照號碼並
不準確,可能會延遲或無法兌現 閣下的退款支票。
如 閣下已申請1,000,000股或以上香港發售股份並在 閣下的申請表格上註明擬親自領取退款支票及
已提供申請表格上列明的一切所需資料, 閣下可於本公司在報章上公佈有關寄發退款支票的日期當
日或任何其他日期上午九時正至下午一時正期間,親自前往香港股份過戶登記處領取退款支票:
卓佳證券登記有限公司
香港灣仔皇后大道東28號金鐘匯中心26樓
預期寄發退款支票的日期為二零一二年四月十七日(星期二)。
如 閣下為選擇親身領取的個別申請人,則不得授權任何其他人士代 閣下領取。如 閣下為選擇派
人領取的公司申請人,則必須由其授權代表持有加蓋公司印章的授權書方可領取。個人及授權代表(如
適用)須在領取時出示卓佳證券登記有限公司接納的身份證明文件。
算系統的運作而使用個人資料;

任何向本公司及/或香港股份過戶登記處提供與其各自業務運作有關的行政、電訊、電腦、
付款或其他服務的代理、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、監管及政府機構;及

與證券持有人有業務往來或擬有業務往來的任何其他人士或機構,例如銀行、律師、會計師
或股票經紀等。
4.
查閱及更正個人資料
條例賦予申請人及證券持有人權利查證本公司或香港股份過戶登記處是否持有其個人資料,並索取有
關資料副本及更正任何不確的資料。依據條例,本公司及香港股份過戶登記處有權就處理任何查閱資
料的要求收取合理費用。根據適用條例,所有關於查閱資料或更正資料或查詢個人資料政策及措施及
持有資料類別的要求,應向本公司的公司秘書提出或通過香港股份過戶登記處向私隱條例事務主任提
出。
簽署本申請表格後,即表示 閣下同意上述各項。
如何提出申請
1.
請按照下表計算 閣下擬認購的香港發售股份數目所應付的股款。
申請股數最少須為8,000股香港發售股份,並須按照下表載列的數目提出申請。申請任何其他數目的香
港發售股份將不予考慮,而任何有關申請將一概拒絕受理。下表亦列出申請各香港發售股份股數的應
付股款總額。 閣下須於申請時繳付每股股份的最高發售價0.60港元,另加1%經紀佣金、0.003%證監
會交易徵費及0.005%聯交所交易費。
2.
閣下身為申請人必須按下列指示填妥本申請表格,並於本申請表格之首頁簽署。只接納親筆簽名。
如 閣下透過指定的中央結算系統參與者(中央結算系統投資者戶口持有人除外)提出申請:

該指定的中央結算系統參與者必須在表格蓋上附有其公司名稱的公司印章,並在適當方格內
填上其參與者編號。
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:

申請表格必須填上 閣下的全名及香港身份證號碼;及

閣下必須在申請表格適當方格內填上 閣下的參與者編號。
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:

申請表格必須填上所有聯名中央結算系統投資者戶口持有人的姓名及彼等的香港身份證號
碼;及

必須於適當方格內填上 閣下的參與者編號。
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:

申請表格必須填上 閣下公司的名稱及香港商業登記證號碼;及

必須於適當方格內填上 閣下的參與者編號及蓋上附有公司名稱的公司印章。
如有關中央結算系統參與者的資料不正確或不完整或參與者編號有遺漏或不足或出現其他類似事宜,
均可令申請作廢。
3.
付款支票或銀行本票須緊釘於表格上。 閣下必須以一張支票一張銀行本票支付香港發售股份的申
請款項。
如以支票付款,該支票必須:

為港元支票;

不是期票;

從 閣下在香港持牌銀行的港元銀行賬戶付款;

顯示 閣下的賬戶名稱,而該賬戶名稱必須已預印在支票上,或由有關銀行授權人在該支票
背面加簽證明。該賬戶名稱必須與 閣下姓名相同。如屬聯名申請,該賬戶名稱必須與名列
首位申請人的姓名相同;

註明抬頭人為「中國銀行(香港)代理人有限公司-協同通信公開發售」;及

劃線註明「只准入抬頭人賬戶」。
每份申請必須附有獨立開出的支票或銀行本票。
下列情況將導致 閣下的申請不獲接納:

支票未能符合所有上述規定;或

支票首次過戶時未能兌現。
如以銀行本票付款:

為港元銀行本票;

銀行本票必須由香港持牌銀行發出,並由有關銀行的授權人士在該銀行本票背面簽署證明
閣下姓名。銀行本票背頁所示姓名必須與申請表格所示的姓名相同。如屬聯名申請,該銀行
本票背面所示姓名必須與名列首位申請人的姓名相同;

必須在銀行本票註明抬頭人為「中國銀行(香港)代理人有限公司-協同通信公開發售」;

必須在銀行本票上劃線註明「只准入抬頭人賬戶」;及

銀行本票不得為期票。
如 閣下的銀行本票不符合上述所有要求, 閣下的申請將一概拒絕受理。
4.
撕下申請表格,對摺一次,然後投入中國銀行(香港)有限公司下列任何一間分行的特設收集箱內:
分行名稱
地址
港島區
中銀大廈分行
花園道1號3樓
北角英皇中心分行
北角英皇道193-209號
莊士敦道分行
灣仔莊士敦道152-158號
朂魚涌分行
朂魚涌英皇道1060號柏惠苑
九龍區
堪富利士道分行
尖沙咀堪富利士道4-4A
旺角總統商業大廈分行
旺角彌敦道608號
黃埔花園分行
紅磡黃埔花園第一期商場G8B號
新都城分行
將軍澳新都城一期二樓209號
新界區
上水分行證券服務中心
上水新豐路136號
元朗青山道分行
元朗青山公路162號
5.
閣下可於下列時間內遞交申請表格:
二零一二年三月三十日(星期五)-
上午九時正至下午五時正
二零一二年三月三十一日(星期六)-
上午九時正至下午一時正
二零一二年四月二日(星期一)-
上午九時正至下午五時正
二零一二年四月三日(星期二)-
上午九時正至下午五時正
二零一二年四月五日(星期四)-
上午九時正至下午五時正
二零一二年四月十日(星期二)-
上午九時正至下午五時正
二零一二年四月十一日(星期三)-
上午九時正至中午十二時正
6.
閣下最遲須於二零一二年四月十一日(星期三)中午十二時正或(如該日並無開始辦理申請登記)下述日
期及時間前遞交 閣下的申請。本公司將於二零一二年四月十一日(星期三)上午十一時四十五分至中
午十二時正期間登記申請,惟須視乎當日天氣情況而定。如於二零一二年四月十一日(星期三)上午九
時正至中午十二時正任何時間內香港發出下列警告訊號:

八號或以上熱帶氣旋警告訊號,或

「黑色」暴雨警告訊號
則不會辦理申請登記,如下一個營業日上午九時正至中午十二時正期間任何時間香港並無發出上述任
何警告訊號,則改為於該日上午十一時四十五分至中午十二時正辦理申請登記。營業日指星期六、星
期日或香港公眾假期以外的日子。
7.
本公司保留將所有或任何申請款項過戶的權利。然而, 閣下的支票或銀行本票將不會於二零一二年
四月十一日(星期三)中午十二時正前過戶。本公司不會向 閣下發出付款收據。本公司將保留 閣下
申請款項(如屬退款,則直至退款支票寄發日期止)的所有利息。本公司亦保留權利在 閣下的支票或
銀行本票過戶之前保留任何股票及/或任何多繳的申請款項或退款。
Sample樣
可申請認購的香港發售股份數目及應繳款項一覽表
申請認購的香港
申請時
發售股份數目
應繳款項
申請認購的香港
申請時
發售股份數目
應繳款項
申請認購的香港
申請時
發售股份數目
應繳款項
港元
8,000
4,848.38
16,000
9,696.77
24,000
14,545.15
32,000
19,393.54
40,000
24,241.92
48,000
29,090.30
56,000
33,938.69
64,000
38,787.07
72,000
43,635.46
80,000
48,483.84
160,000
96,967.68
240,000
145,451.52
320,000
193,935.36
400,000
242,419.20
480,000
290,903.04
港元
560,000
339,386.88
640,000
387,870.72
720,000
436,354.56
800,000
484,838.40
1,000,000
606,048.00
1,200,000
727,257.60
1,400,000
848,467.20
1,600,000
969,676.80
1,800,000
1,090,886.40
2,000,000
1,212,096.00
2,200,000
1,333,305.60
2,400,000
1,454,515.20
3,200,000
1,939,353.60
4,000,000
2,424,192.00
4,800,000
2,909,030.40
港元
5,600,000
3,393,868.80
6,400,000
3,878,707.20
7,200,000
4,363,545.60
8,000,000
4,848,384.00
9,000,000
5,454,432.00
10,000,000
6,060,480.00
11,000,000
6,666,528.00
12,000,000
7,272,576.00
13,000,000
7,878,624.00
14,000,000
8,484,672.00
15,000,000
9,090,720.00

閣下可申請認購的香港發售股份數目上限。