ANNOUNCEMENT OF OFFER PRICE AND ALLOTMENT RESULTS SUMMARY Offer Price and net proceeds from the Global Offering. The Offer Price has been determined a

Size: px
Start display at page:

Download "ANNOUNCEMENT OF OFFER PRICE AND ALLOTMENT RESULTS SUMMARY Offer Price and net proceeds from the Global Offering. The Offer Price has been determined a"

Transcription

1 Unless otherwise defined in this announcement, capitalised terms in this announcement shall have the same meanings as those defined in the prospectus dated 24 February 2017 (the Prospectus ) issued by Microware Group Limited (the Company ). 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 announcement, 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 announcement. This announcement is for information purposes only and does not constitute an offer or an invitation to induce an offer by any person to acquire, purchase or subscribe for the or other securities of the Company. Potential investors should read the Prospectus for detailed information about the Company and the Global Offering described below before deciding whether or not to invest in the thereby offered. This announcement is not for release, publication, distribution, directly or indirectly, in or into the United States (including its territories and possessions, any state of the United States and the District of Columbia). This announcement does not constitute or form a part of any offer or solicitation to purchase or subscribe for securities in the United States or any other jurisdictions. The have not been, and will not be, registered under the United States Securities Act of 1933, as amended from time to time (the U.S. Securities Act ) or any state securities laws of the United States. The securities may not be offered, sold, pledged or transferred within the United States except pursuant to registration, or an exemption from, or in a transaction not subject to the registration requirements of the U.S. Securities Act or any applicable state or local securities law. There will be no public offer of the securities in the United States. The are being offered and sold outside the United States as offshore transactions in accordance with Regulation S under the U.S. Securities Act. Potential investors of the Hong Kong Offer should note that Joint Global Coordinators (for themselves and on behalf of all the Hong Kong Underwriters) have the absolute right in certain circumstances to terminate the Hong Kong Underwriting Agreement upon giving notice in writing to the Company if any of the events set out in the section headed Underwriting Underwriting arrangements and expenses The Hong Kong Public Offering Grounds for termination in the Prospectus occurs at any time prior to 8:00 a.m. (Hong Kong time) on the Listing Date (which is currently expected to be on Wednesday, 8 March 2017). Microware Group Limited 美高域集團有限公司 (incorporated in the Cayman Islands with limited liability) GLOBAL OFFERING Number of Offer : 60,000,000 Number of International Placing : 30,000,000 (as adjusted after reallocation) Number of Hong Kong Offer : 30,000,000 (as adjusted after reallocation) Final Offer Price : HK$1.46 per Share, plus brokerage fee of 1.0%, SFC transaction levy of % and Stock Exchange trading fee of 0.005% Nominal value : HK$0.01 per Share Stock code : 1985 Sole Sponsor Joint Global Coordinators and Joint Bookrunners 1

2 ANNOUNCEMENT OF OFFER PRICE AND ALLOTMENT RESULTS SUMMARY Offer Price and net proceeds from the Global Offering. The Offer Price has been determined at HK$1.46 per Offer Share (exclusive of brokerage fee of 1.0%, SFC transaction levy of % and Stock Exchange trading fee of 0.005%).. Based on the Offer Price of HK$1.46 per Offer Share, the net proceeds from the Global Offering to be received by the Company, and after deducting the underwriting commissions and other estimated expenses payable by the Company in relation to the Global Offering, is estimated to be approximately HK$59.2 million. The Company intends to apply such net proceeds in the manner set out in the paragraph headed Net Proceeds from the Global Offering below. Applications under the Hong Kong Public Offering. A total of 15,802 valid applications have been received pursuant to the Hong Kong Public Offering on WHITE and YELLOW Application Forms, electronic applications under the HK eipo White Form service and through giving electronic application instructions to HKSCC via CCASS for a total of 7,066,674,000 Hong Kong Offer, equivalent to approximately 1,177.8 times of the total number of 6,000,000 Hong Kong Offer initially available for subscription under the Hong Kong Public Offering. The final number of Offer under the Hong Kong Public Offering is 30,000,000 Offer, representing 50.0% of the total number of Offer initially available under the Global Offering.. Due to very significant over-subscription in the Hong Kong Public Offering, the reallocation procedures as described in the section headed Structure and conditions of the Global Offering The Hong Kong Public Offering Adjustment in the Prospectus have been applied. As the number of Offer validly applied for in the Hong Kong Public Offering represents 100 times or more of the number of Offer initially available under the Hong Kong Public Offering, 24,000,000 have been reallocated to the Hong Kong Public Offering from the International Placing, so that the total number of Offer allocated to the Hong Kong Public Offering has been increased to 30,000,000 Offer, representing 50.0% of the total number of Offer initially available under the Global Offering. 2

3 The International Placing. The Offer initially offered under the International Placing have been moderately oversubscribed. The final number of Offer allocated to 289 placees under the International Placing is 30,000,000 Offer after reallocation to the Hong Kong Public Offering, representing 50.0% of the total number of Offer under the Global Offering. A total of 242 placees have each been no more than four board lots or less, representing approximately 83.7% of the 289 placees under the International Placing after reallocation of the Offer from the International Placing to the Hong Kong Public Offering. These placees have been approximately 4.0% of the Offer under the International Placing after reallocation of the Offer from the International Placing to the Hong Kong Public Offering.. The Directors confirm that no Offer under the International Placing have been allocated to directors or chief executive officers or shareholders of the Company and/or any of its subsidiaries, or their respective close associates, or core connected person (as defined in the Listing Rules) of the Company, whether in their own names or through nominees. The International Placing is in compliance with the placing guidelines for equity securities as set out in Appendix 6 to the Listing Rules (the Placing Guidelines ). No Offer placed by or through the Joint Global Coordinators and the Underwriters under the Global Offering have been placed with any core connected person (as defined in the Listing Rules) of the Company or any connected clients of the lead broker or of any distributors (as set out in paragraph 5(1) of the Placing Guidelines) or persons set out in paragraph 5(2) of the Placing Guidelines or any existing public holders of or their close associates, whether in their own names or through nominees. The Directors confirm that none of the Sole Sponsor, the Joint Global Coordinators, the Joint Bookrunners, the Joint Lead Managers and the Underwriters and their respective affiliated companies and connected clients (as defined in Appendix 6 to the Listing Rules) have taken up any for its own benefit under the Global Offering. No placee will, individually, be placed more than 10% of the enlarged issued share capital of the Company immediately after the Global Offering and as such, none of the placees under the International Placing will become a substantial shareholder (as defined in the Listing Rules) of the Company after the Global Offering and the public float of the Company will satisfy the minimum percentage prescribed under Rule 8.08(1) of the Listing Rules. The Directors confirm that (i) the three largest public Shareholders do not hold more than 50% of the held in public hands at the time of the Listing in compliance with Rules 8.08(3) and 8.24 of the Listing Rules; and (ii)thewillbeheldbyatleast300shareholders at the time of Listing in compliance with Rule 8.08(2) of the Listing Rules. 3

4 Offer Size Adjustment Option. In connection with the Global Offering, the Company has granted the Offer Size Adjustment Option to the International Placing Underwriters, exercisable by the Joint Global Coordinators (for themselves and on behalf of the International Placing Underwriters), at any time no later than the last business day prior to the Listing Date, to require the Company to allot and issue up to an aggregate of 9,000,000 additional, representing 15% of the number of Offer initially offered under the Global Offering, at the same price per Offer Share under the International Placing, for the sole purpose of covering over-allocations in the International Placing, if any. The Joint Global Coordinators have not exercised the Offer Size Adjustment Option by the aforesaid time and the Offer Size Adjustment Option has accordingly lapsed. Results of Allocations. The final Offer Price, the indication of level of interest in the International Placing, the results of applications in the Hong Kong Public Offering and the basis of allocation under the Hong Kong Public Offering will also be published on Tuesday, 7 March 2017 on the website of the Stock Exchange at and the website of the Company at and in The Standard (in English) and the Sing Tao Daily (in Chinese).. In relation to the Hong Kong Public Offering, the Company announces that the results of allocations under the Hong Kong Public Offering, including the Hong Kong identity card numbers, passport numbers or Hong Kong business registration numbers of successful applicants and the number of Hong Kong Offer successfully applied for under WHITE and YELLOW Application Forms, electronic applications under the HK eipo White Form service and through giving electronic application instructions to HKSCC via CCASS, will be made available at the times and dates and in the manner specified below:. in the announcement to be posted on the Company s website at and the Stock Exchange s website at by no later than 8:00 a.m., Tuesday, 7 March 2017;. from the designated results of allocations website at with a search by ID function on a 24-hour basis from 8:00 a.m., Tuesday, 7 March 2017 to 12:00 midnight, on Monday, 13 March 2017;. by telephone enquiry line by calling between 9:00 a.m. and 6:00 p.m. from Tuesday, 7 March 2017 to Friday, 10 March 2017;. in the special allocation results booklets which will be available for inspection during opening hours from Tuesday, 7 March 2017 to Thursday, 9 March 2017 at all the receiving bank s designated branches. 4

5 Despatch/Collection of Share Certificates and Refund Cheques. Applicants who have applied through HK eipo White Form or using WHITE Application Forms for 1,000,000 or more Hong Kong Offer under the Hong Kong Public Offering and have provided all information required by their Application Forms may collect their refund cheques and share certificates (as applicable) in person from the the Hong Kong Branch Share Registrar, Tricor Investor Services Limited at Level 22, Hopewell Centre, 183 Queen s Road East, Hong Kong from 9:00 a.m. to 1:00 p.m. on Tuesday, 7 March 2017 or such other date as notified by us.. Share certificates for Hong Kong Offer to applicants through HK eipo White Form or using WHITE Application Forms which are either not available for personal collection, or which are available but are not collected in person within the time specified for collection, are expected to be despatched by ordinary post and at their own risk on Tuesday, 7 March Applicants who have applied using YELLOW Application Forms for 1,000,000 or more Hong Kong Offer under the Hong Kong Public Offering and have provided all information required by their Application Forms may collect their refund cheques (where relevant) in person from the Hong Kong Branch Share Registrar, Tricor Investor Services Limited at Level 22, Hopewell Centre, 183 Queen s RoadEast,HongKongfrom9:00a.m.to1:00p.m.onTuesday, 7 March Share certificates for Hong Kong Offer to applicants using YELLOW Application Forms are expected to be issued in the name of HKSCC Nominees and deposited into CCASS for credit to their or the designated CCASS Participants stock accounts as stated in their Application Forms on Tuesday, 7 March 2017 or upon contingency, on any other date determined by HKSCC or HKSCC Nominees.. Applicants applying through a designated CCASS Participant (other than a CCASS Investor Participant) using YELLOW Application Forms should check the number of Hong Kong Offer allocated to them with that CCASS Participant. Applicants applying as a CCASS Investor Participant on YELLOW Application Forms should check the announcement published by the Company and report any discrepancies to HKSCC before 5:00 p.m. on Tuesday, 7 March 2017 or such other date as shall be determined by HKSCC or HKSCC Nominees. Applicants applying as a CCASS Investor Participant on a YELLOW Application Form may also check their new account balances via the CCASS Phone System and the CCASS Internet System (using the procedures contained in HKSCC s An Operating Guide for Investor Participants in effect from time to time) immediately after the credit of Hong Kong Offer to their CCASS Investor Participant stock accounts. HKSCC will also make available to CCASS Investor Participants an activity statement showing the number of Hong Kong Offer credited to their CCASS Investor Participant stock accounts. 5

6 . Applicants who have applied for the Hong Kong Offer by giving electronic application instructions to HKSCC, share certificate(s) will be issued in the name of HKSCC Nominees and deposited into CCASS for the credit of their designated CCASS Participant s stock account or their CCASS Investor Participant stock account on Tuesday, 7 March 2017, or, on any other date determined by HKSCC or HKSCC Nominees.. Refund cheque(s) for wholly or partially unsuccessful applicants using WHITE or YELLOW Application Forms which are either not available for personal collection or which are available but are not collected in person within the time specified for collection, are expected to be despatched by ordinary post and at their own risk on Tuesday, 7 March For applicants who have paid the application monies from a single bank account through the HK eipo White Form, e-auto Refund payment instructions (if any) are expected to be despatched to the application payment account on Tuesday, 7 March For applicants who have paid the application monies from multiple bank accounts through the HK eipo White Form, refund cheques (if any) are expected to be despatched by ordinary post at their own risk on or before Tuesday, 7 March Where applicants who have applied by giving electronic application instructions to HKSCC, their refund monies (if any) will be credited to their designated bank account or the designated bank account of the designated CCASS Participant through which they are applying on Tuesday, 7 March For applicants who have instructed their designated CCASS Participant (other than CCASS Investor Participants) to give electronic application instructions to HKSCC on their behalf, they can check the amount of refund monies (if any) payable to them with that designated CCASS Participants. Applicants applying as CCASS Investor Participants can check the amount of refund monies (if any) payable to them via the CCASS Phone System and CCASS Internet System (under the procedures contained in HKSCC s An Operating Guide for Investor Participants in effect from time to time) on Tuesday, 7 March 2017 or in the activity statement showing the amount of refund money credited to their designated bank account made available to them by HKSCC immediately after the credit of refund money to their bank account. Commencement of Dealings. Share certificates will only become valid at 8:00 a.m., Wednesday, 8 March 2017 provided that the Global Offering has become unconditional and the right of termination described in the section headed Underwriting in the Prospectus has not been exercised. The Company will not issue any temporary s of title in respect of the or any receipts for sums paid on application.. Dealings in the on the Main Board of the Stock Exchange are expected to commence at 9:00 a.m. on Wednesday, 8 March The will be traded in board lots of 2,000 each. The stock code of the is

7 OFFER PRICE The Offer Price has been determined at HK$1.46 per Offer Share (exclusive of brokerage fee of 1.0%, SFC transaction levy of % and the Stock Exchange trading fee of 0.005%). NET PROCEEDS FROM THE GLOBAL OFFERING Based on the Offer Price of HK$1.46 per Offer Share, the net proceeds from the Global Offering to be received by the Company, and after deducting the underwriting commissions and other estimated expenses payable by the Company in relation to the Global Offering, is estimated to be approximately HK$59.2 million. The Company intends to apply such net proceeds as follows:. approximately HK$20.7 million (approximately 35% of the net proceeds) will be used for upgrading the IT management systems;. Approximately HK$14.8 million (approximately 25% of the net proceeds) will be used for enhancing the capability to undertake large-scale contracts by financing performance securities;. Approximately HK$11.9 million (approximately 20% of the net proceeds) will be used for recruitment and training of employees;. Approximately HK$5.9 million (approximately 10% of the net proceeds) will be used for strengthening the marketing efforts;. Approximately HK$5.9 million (approximately 10% of the net proceeds) will be used for additional working capital and other general corporate purposes. Please refer to the section headed Future Plans and Use of Proceeds in the Prospectus for further details of the Company s intended use of the net proceeds from the Global Offering. 7

8 APPLICATIONS UNDER THE HONG KONG PUBLIC OFFERING The Company announces that the Offer initially offered under the Hong Kong Public Offering have been very significantly over-subscribed. At the close of the application lists at 12:00 noon on Wednesday, 1 March 2017, a total of 15,802 valid applications pursuant to the Hong Kong Public Offering on WHITE and YELLOW Application Forms, electronic applications under the HK eipo White Form service and through giving electronic application instructions to HKSCC via CCASS, for a total of 7,066,674,000 Hong Kong Offer were received, representing approximately 1,177.8 times of 6,000,000 Hong Kong Offer initially available for subscription under the Hong Kong Public Offering. 33 multiple/suspected multiple applications and four invalid applications have been identified. Three applications have been rejected due to bounced cheque. No applications for more than 6,000,000 of the Hong Kong Offer initially included in the Hong Kong Public Offering have been identified. Due to the very significant over-subscription in the Hong Kong Public Offering, the reallocation procedure as described in the section headed Structure and conditions of the Global Offering The Hong Kong Public Offering Adjustment in the Prospectus has been applied. As the number of Offer validly applied for in the Hong Kong Public Offering represents 100 times or more of the number of Offer initially available under the Hong Kong Public Offering, 24,000,000 have been reallocated to the Hong Kong Public Offering from the International Placing, so that the total number of Offer allocated to the Hong Kong Public Offering has been increased to 30,000,000 Offer, representing 50.0% of the total number of Offer initially available under the Global Offering. The Hong Kong Offer offered in the Hong Kong Public Offering were conditionally allocated on the basis set forth in the paragraph headed Basis of Allotment under the Hong Kong Public Offering below. 8

9 THE INTERNATIONAL PLACING The Company further announces that the Offer initially offered under the International Placing have been moderately over-subscribed. The final number of Offer allocated to 289 placees under the International Placing comprises 30,000,000 Offer after reallocation to the Hong Kong Public Offering, representing 50.0% of the total number of Offer under the Global Offering. A total of 242 placees have each been no more than four board lots or less, representing approximately 83.7% of the 289 placees under the International Placing after reallocation of the Offer from the International Placing to the Hong Kong Public Offering. These placees have been approximately 4.0% of the Offer under the International Placing after reallocation of the Offer from the International Placing to the Hong Kong Public Offering. The Directors confirm that no Offer under the International Placing have been allocated to directors or chief executive officers or shareholders of the Company and/or any of its subsidiaries, or their respective close associates, or core connected person (as defined in the Listing Rules) of the Company, whether in their own names or through nominees. The International Placing is in compliance with the Placing Guidelines. No Offer placed by or through the Joint Global Coordinators and the Underwriters under the Global Offering have been placed with any core connected person (as defined in the Listing Rules) of the Company or any connected clients of the lead broker or of any distributors (as set out in paragraph 5(1) of the Placing Guidelines) or persons set out in paragraph 5(2) of the Placing Guidelines or any existing public holders of or their close associates, whether in their own names or through nominees. The Directors confirm that none of the Sole Sponsor, the Joint Global Coordinators, the Joint Bookrunners, the Joint Lead Managers and the Underwriters and their respective affiliated companies and connected clients (as defined in Appendix 6 to the Listing Rules) have taken up any for its own benefit under the Global Offering. No placee will, individually, be placed more than 10% of the enlarged issued share capital of the Company immediately after the Global Offering and as such, none of the placees under the International Placing will become a substantial shareholder (as defined in the Listing Rules) of the Company after the Global Offering and the public float of the Company will satisfy the minimum percentage prescribed under Rule 8.08(1) of the Listing Rules. The Directors confirm that (i) the three largest public Shareholders do not hold more than 50% of the held in public hands at the time of the Listing in compliance with Rules 8.08(3) and 8.24 of the Listing Rules; and (ii) the will be held by at least 300 shareholders at the time of Listing in compliance with Rule 8.08(2) of the Listing Rules. OFFER SIZE ADJUSTMENT OPTION The Company has granted the Offer Size Adjustment Option exercisable by the Joint Global Coordinators (for themselves and on behalf of the International Placing Underwriters) at any time no later than the last business day prior to the Listing Date, to require the Company to allot and issue up to an aggregate of 9,000,000 additional, representing 15% of the number of the Offer initially being offered under the Global Offering, at the same price per Offer Share under the International Placing. The Joint Global Coordinators have not exercised the Offer Size Adjustment Option by the aforementioned time and the Offer Size Adjustment Option has accordingly lapsed. 9

10 BASIS OF ALLOTMENT UNDER THE HONG KONG PUBLIC OFFERING Subject to the satisfaction of the conditions set out in the section headed Structure and conditions of the Global Offering Conditions of the Hong Kong Public Offering in the Prospectus, valid applications made by the public on WHITE and YELLOW Application Forms, electronic applications under the HK eipo White Form service and through giving electronic application instructions to HKSCC via CCASS will be conditionally allocated on the basis set out below: Number of applied for Number of valid applications Basis of allocation/ballot Approximate percentage of the total no. of applied for 2,000 3,660 1,830 out of 3,660 applicants to receive 2,000 shares 50.00% 4, out of 906 applicants to receive 2,000 shares 27.81% 6,000 2,162 1,280 out of 2,162 applicants to receive 2,000 shares 19.73% 8, out of 347 applicants to receive 2,000 shares 15.49% 10, out of 637 applicants to receive 2,000 shares 12.81% 12, out of 256 applicants to receive 2,000 shares 11.00% 14, out of 266 applicants to receive 2,000 shares 9.67% 16, out of 163 applicants to receive 2,000 shares 8.67% 18, out of 326 applicants to receive 2,000 shares 7.81% 20,000 1, out of 1,141 applicants to receive 2,000 shares 7.13% 30,000 1,342 1,017 out of 1,342 applicants to receive 2,000 shares 5.05% 40, out of 390 applicants to receive 2,000 shares 3.96% 50, out of 140 applicants to receive 2,000 shares 3.29% 60, out of 122 applicants to receive 2,000 shares 2.81% 70, out of 175 applicants to receive 2,000 shares 2.47% 80, out of 126 applicants to receive 2,000 shares 2.20% 90, out of 39 applicants to receive 2,000 shares 1.99% 100, out of 588 applicants to receive 2,000 shares 1.86% 200, ,000 shares plus 18 out of 559 applicants to receive 1.03% an additional 2,000 shares 300, ,000 shares plus 34 out of 338 applicants to receive 0.73% an additional 2,000 shares 400, ,000 shares plus 25 out of 168 applicants to receive 0.57% an additional 2,000 shares 500, ,000 shares plus 25 out of 129 applicants to receive 0.48% an additional 2,000 shares 600, ,000 shares plus 22 out of 99 applicants to receive an additional 2,000 shares 0.41% 10

11 Number of applied for Number of valid applications Basis of allocation/ballot Approximate percentage of the total no. of applied for 700, ,000 shares plus 22 out of 86 applicants to receive 0.36% an additional 2,000 shares 800, ,000 shares plus 15 out of 51 applicants to receive 0.32% an additional 2,000 shares 900, ,000 shares plus 9 out of 26 applicants to receive 0.30% an additional 2,000 shares 1,000, ,000 shares plus 75 out of 201 applicants to receive 0.27% an additional 2,000 shares 1,500, ,000 shares plus 94 out of 118 applicants to receive 0.24% an additional 2,000 shares 2,000, ,000 shares plus 23 out of 135 applicants to receive 0.22% an additional 2,000 shares 2,500, ,000 shares plus 24 out of 37 applicants to receive 0.21% an additional 2,000 shares 3,000, ,000 shares 0.20% 3,500, ,000 shares plus 46 out of 140 applicants to receive 0.19% an additional 2,000 shares 4,000, ,000 shares plus 53 out of 87 applicants to receive 0.18% an additional 2,000 shares 4,500, ,000 shares plus 32 out of 38 applicants to receive 0.17% an additional 2,000 shares 5,000, ,000 shares 0.16% 5,500, ,000 shares plus 2 out of 11 applicants to receive 0.15% an additional 2,000 shares 6,000, ,000 shares plus 300 out of 691 applicants to 0.15% receive an additional 2,000 shares TOTAL 15,802 11

12 RESULTS OF ALLOCATIONS. In relation to the Hong Kong Public Offering, the Company announces that the results of allocations under the Hong Kong Public Offering, including the Hong Kong identity card numbers, passport numbers or Hong Kong business registration numbers of successful applicants and the number of Hong Kong Offer successfully applied for under WHITE and YELLOW Application Forms, electronic applications under the HK eipo White Form service and by giving electronic application instructions to HKSCC via CCASS, will be made available at the times and dates and in the manner specified below:. in the announcement to be posted on the Company s websiteatwww.microware.com.hk and the Stock Exchange s websiteatwww.hkexnews.hk by no later than 8:00 a.m., Tuesday, 7 March 2017;. from the designated results of allocations website at with a search by ID function on a 24-hour basis from 8:00 a.m., Tuesday, 7 March 2017 to 12:00 midnight, on Monday, 13 March 2017;. by telephone enquiry line by calling between 9:00 a.m. and 6:00 p.m. from Tuesday, 7 March 2017 to Friday, 10 March 2017; 12

13 . in the special allocation results booklets which will be available for inspection during opening hours from Tuesday, 7 March 2017 to Thursday, 9 March 2017 at any of the following branches of DBS Bank (Hong Kong) Limited: District Branch Name Address Hong Kong Island Head Office G/F, The Center, 99 Queen s Road Central United Centre Branch Shops on 1/F & Shops on 2/F, United Centre, 95 Queensway, Admiralty North Point Branch G/F, 391 King s Road, North Point Hennessy Road Branch Hennessy Road, Causeway Bay Aberdeen Branch Shops A & B, G/F, Units A & B, 1/F, On Tai Building, 1 3 WuNamStreet,Aberdeen, Hong Kong Kowloon Canton Road DBS Treasures Centre Nathan Road Branch G/F, Hanley House, 68 Canton Road, Tsimshatsui, Kowloon G/F, Wofoo Commercial Building, Nathan Road, Mongkok New Territories Yuen Long Branch G/F, 1 5 Tai Tong Road, Yuen Long Ma On Shan Branch Shop , Level 2, Ma On Shan Plaza, Ma On Shan Tsuen Wan Branch G/F, 23 Chung On Street, Tsuen Wan. The final Offer Price, the indication of level of interest in the International Placing, the results of applications in the Hong Kong Public Offering and the basis of allocation under the Hong Kong Public Offering will also be published on Tuesday, 7 March 2017 on the website of the Stock Exchange at and the website of the Company at and in The Standard (in English) and the Sing Tao Daily (in Chinese). 13

14 Results of Applications Made by WHITE Application Forms or HK eipo White Form The followings are the identification numbers (where supplied) of wholly or partially successful applicants using WHITE Application Forms or HK eipo White Form and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 以白色申請表格或網上白表提出申請的配發結果以下為使用白色申請表格或網上白表提出申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 , , , , , , , , , , , , , , , , , , ,000 1

15 Results of Applications Made by WHITE Application Forms or HK eipo White Form The followings are the identification numbers (where supplied) of wholly or partially successful applicants using WHITE Application Forms or HK eipo White Form and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 以白色申請表格或網上白表提出申請的配發結果以下為使用白色申請表格或網上白表提出申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 2 A260979A 2,000 A ,000 A ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D244876A 2,000 D248054A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D551478A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G812252A 2,000 G ,000 H ,000

16 Results of Applications Made by WHITE Application Forms or HK eipo White Form The followings are the identification numbers (where supplied) of wholly or partially successful applicants using WHITE Application Forms or HK eipo White Form and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 以白色申請表格或網上白表提出申請的配發結果以下為使用白色申請表格或網上白表提出申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 H ,000 H ,000 K ,000 K ,000 K ,000 K ,000 K497364A 2,000 K ,000 K572807A 2,000 K ,000 K ,000 K ,000 K ,000 M ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 R ,000 R ,000 V ,000 V ,000 V ,000 Y ,000 Y ,000 Y ,000 Y ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z777391A 2,000 Z ,000 3

17 Results of Applications Made by YELLOW Application Forms (Through Designated CCASS Clearing/Custodian Participants) The followings are the identification numbers (where supplied) of wholly or partially successful applicants using YELLOW Application Forms through designated CCASS Clearing/Custodian Participants and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 以黃色申請表格提出申請的配發結果 ( 透過指定中央結算系統結算 / 託管商參與者 ) 以下為使用黃色申請表格透過指定中央結算系統結算 / 託管商參與者提出申請而全部或部份獲接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 , , , , , , , , ,000 A ,000 A283856A 2,000 A ,000 A353839A 2,000 A ,000 A ,000 A482860A 2,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 B ,000 B ,000 B ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D380604A 8,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G668380A 2,000 G ,000 G ,000 G ,000 H ,000 H ,000 H ,000 H ,000 H ,000 K ,000 K ,000 K102597A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 M ,000 M ,000 M ,000 P ,000 P ,000 P ,000 P ,000 P ,000 R ,000 R ,000 V050937A 2,000 V ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y541667A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 1

18 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 , , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , X 2, , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , X 2, , , , , , , , X 2, , , X 2, , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , , ,000

19 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 , , , , , , , , , , , X 2, , , , , , , X 2, , , , , , , X 2, , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, X 2, X 2, , , , , , , , , X 2, , , , , X 2, , X 2, , X 2, , , , , , , X 2, , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, X 2, , , , , , , , , X 2, , , , , , , , , , , , X 2, , X 2, , , , , X 2, , , , , , , , , , , , , , , , , , , S 4, L 6, , , L 2, S 2, C 2, , , , , , , , ,000

20 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 , , , , , , , , , , , , X 2, X 2, , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , X 2, , , , , , , , , , , , , , , X 2, , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , X 2, , , , , , , , X 2, , , , , , , , , , , , , , , , , , , X 2, , , , , , X 2, , , , , , , , , , X 2, , , , , , , , , ,000

21 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , ,000

22 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 , , , , , , , , , , , , , , , , , , , , , S 2, C 6, , C 2, C 2, , C 2, C 6, , , C 2, C 2, C 10, C 2, C 2, C 2, C 2, M 2, C 2, C 4, C 2, C 2, C 2, C 2, C 2, C 4, C 2, C 2, C 2, C 4, C 2, C 2, C 2, C 2, C 2, C 2, M 2, M 2, C 2, C 2, M 6, C 2, C 2, C 2, C 2, C 2, C 2, C 8, C 6, C 2, C 2, C 2, C 2, C 2, C 2, C 2, C 2, C 2, , C 2, C 2, C 2, C 2, C 2, , , , , , , , , , , , X 2, , , , , , , X 2, , , , , , , , , , , , X 2, , , , , , , , , , , X 2, , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, X 2, , ,000

23 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , X 2, , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , X 2, , , , , , ,000

24 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , X 2, , , , , , , , , , , , X 2, , , , , X 2, X 2, , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, X 2, , , , , , , X 2, X 2, , , , X 2, , X 2, , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , X 2, X 2, , , , , , , , , X 2, , , , , , , , , , X 2, , , X 2, , , X 2, , X 2, , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , ,000

25 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , , X 2, , , , , X 2, , , , , , , , , , , X 2, , , X 2, , , , , , , , , , , , , , , , , X 2, X 2, , , , , , , , , , , , , , , , , , , X 2, X 2, , , , , , , , , , , , , , , , , , , , X 2, , , , , , X 2, , , , X 2, , , X 2, , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , X 2, X 2, , , , , , , , , X 2, , , , , , , , , ,000

26 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 X 2, , , , , , , , , , , , , , , , , , , , , , M 2, , , , , , , , , , X 2, , , X 2, , , M 2, , , , , , , , , , , , M 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , X 2, , X 2, , X 2, , , , , , , , , , , X 2, , , , , X 2, , , , , , , , , , X 2, , , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , X 2, X 2, , , , , , , , , , , X 2, X 2, , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , ,000

27 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , X 2, X 2, , , X 2, , , , X 2, , , X 2, , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , X 2, , , , , X 2, , , , , , , , , , , , X 2, , , , , , X 2, , X 2, , , X 2, , , , X 2, , X 2, , , , , , , , , , , , , X 2, , , , , , , X 2, X 2, X 2, , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , X 2, X 2, , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , ,000

28 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , C 2, C 2, C 6, C 2, C 2, C 2, C 2, C 2, C 2, C 2, C 4, C 2, C 2, C 2, C 2, C 2, , X 2, , , , , , , , C 2, , , , , X 2, , , , , , , , , , , X 2, X 2, , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, X 2, X 2, X 2, , , , , , , , , , , , , , X 2, , , , , , X 2, , , X 2, , , , , , X 2, , , , , , , , , , , , X 2, , , , , , , , X 2, , , ,000

29 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 , , X 2, X 2, , , , , , , , , , , , , , , , , X 2, , , , , , , , , X 2, , , , , , , , , , , , , X 2, , , , , X 2, , , X 2, , , , , , , , , , , , X 2, , , , , , , , , , , , , X 2, , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , X 2, X 2, , , , , , X 2, , , , , X 2, , , , , , , , X 2, , , X 2, , , , , , , , , , X 2, , , , , , , , , , , X 2, X 2, , , , , , , , , , , , , , , , , , X 2, X 2, , , , , X 2, , X 2, , , , , , ,000

30 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , X 2, , , , , , , , , , , ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A499285A 2,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A674987A 2,000 A684987(6 2,000 A750449A 6,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A , A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A A 2,000 A932359A 2,000 A935083A 2,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A979312A 2,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 AKAA666 2,000 ANAA638 2,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B506486A 4,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C367454A 2,000 C ,000 C ,000 C ,000 C373707A 2,000 C ,000 C ,000

31 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C507230A 2,000 C ,000 C514114A 2,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C546092A 2,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C601477A 4,000 C ,000 C ,000 C ,000 C ,000 C621387A 2,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C637752A 2,000 C640876A 2,000 C ,000 C ,000 C645169A 2,000 C ,000 C651389A 2,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 D ,000 D006350(A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 D044578A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D090153A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D100213A 2,000 D , D104309A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D185401(2 2,000 D ,000 D202935A 2,000 D ,000 D ,000 D ,000 D ,000 D217953A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D318108(2 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D345299A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D381882A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D403718A 2,000 D ,000 D ,000 D408062A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D453115A 2,000 D ,000

32 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D528573A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D581029A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D696885(7 2,000 D ,000 D ,000 D703663A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E238151A 2,000 E ,000 E ,000 E240451A 2,000 E ,000 E ,000 E253006A 2,000 E ,000 E ,000 E , E ,000 E ,000 E ,000 E305539A 2,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E330295(8 2,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E448462(6 2,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E494600A 2,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E669847A 2,000 E671873A 2,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E728878A 2,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000

33 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E859244A 2,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E943421A 2,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E985720A 2,000 E ,000 E ,000 E ,000 G ,000 G ,000 G ,000 G003348A 2,000 G ,000 G028203A 8,000 G031991A 2,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G056468A 2, G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G090152A 2,000 G ,000 G ,000 G ,000 G ,000 G117401A 2,000 G ,000 G ,000 G125031A 2,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G159342A 2,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G219278A 2,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G240986A 2,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G258260A 2,000 G259313A 2,000 G ,000 G ,000 G ,000 G264365A 2,000 G ,000 G ,000 G283496A 2,000 G ,000 G300751A 2,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G359797A 2,000 G363896A 4,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G424549A 2,000

34 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G477624A 2,000 G ,000 G479759A 2,000 G486677A 2,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G518222A 2,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G542424A 2,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G559451A 2,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G629031A 2,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G680562A 2,000 G ,000 G ,000 G ,000 G ,000 G , G ,000 G ,000 G ,000 G ,000 G ,000 G715309A 2,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G807312A 2,000 G813949A 2,000 G816575A 2,000 G817922A 2,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 GS058038B 2,000 GS058662B 2,000 GS083515B 2,000 GS090239B 2,000 GS090509B 2,000 GS099696B 2,000 GS107185B 2,000 GS109881B 2,000 GS111327B 2,000 GS115301B 2,000 GS117095B 2,000 GS118392B 2,000 H ,000 H ,000 H ,000 H012299A 4,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H057582A 2,000 H ,000 H ,000 H067576A 2,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H485085A 2,000 H ,000 HA ,000 HKID E62 2,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000

35 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS , IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000

36 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS , IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 IS ,000 K ,000 K010101A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K019526A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K085316A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K133459A 2,000 K ,000 K ,000

37 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K164193A 2,000 K165683A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K179700A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K221623A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K247543A 2,000 K250832A 4,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K274189A 2,000 K ,000 K ,000 K285371A 2,000 K ,000 K297049A 2,000 K ,000 K ,000 K303786A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K356245A 2,000 K357296A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K379461A 2,000 K ,000 K ,000 K385812A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K426925A 2,000 K ,000 K ,000 K435494A 2,000 K ,000 K ,000 K439304A 2, K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K482248A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K525373A 2,000 K ,000 K ,000 K528161A 2,000 K531741A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K551084(8 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K606261A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K624999A 2,000 K ,000 K ,000 K ,000 K634299A 2,000 K634612A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K675659A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000

38 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K776636A 2,000 K ,000 K ,000 K ,000 K783103A 2,000 K ,000 K ,000 K ,000 K794313A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K808470A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K888627A 2,000 K ,000 K ,000 K890801A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K936126A 2,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K959678A 8,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K ,000 K981941A 2,000 K , K988047A 2,000 K ,000 K ,000 L ,000 L ,000 M ,000 M045614A 8,000 M058394A 2,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M406808A 2,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 M ,000 OS ,000 OS ,000 OS ,000 OS ,000 OS ,000 OS ,000 OS ,000 OS ,000 P000400A 2,000 P000493A 2,000 P004835A 2,000 P ,000 P014247A 2,000 P ,000 P ,000 P ,000 P ,000 P ,000 P037768A 2,000 P ,000 P041206A 8,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P132928A 2,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P279444A 2,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P491566A 2,000 P ,000

39 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P533816A 2,000 P ,000 P ,000 P ,000 P552379A 2,000 P564550A 2,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P575113A 2,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P895547A 2,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 P ,000 R ,000 R009084A 2,000 R ,000 R ,000 R ,000 R , R ,000 R ,000 R ,000 R ,000 R ,000 R062111A 2,000 R066157A 2,000 R ,000 R ,000 R ,000 R ,000 R085047A 2,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R228840A 2,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R369049A 2,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R451315A 2,000 R ,000 R ,000 R460323A 2,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R610768A 2,000 R ,000 R ,000 R615498A 2,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R658528A 2,000 R659405A 2,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R ,000 R851259A 2,000 R ,000 R866232A 2,000 R870264A 2,000 R ,000 R ,000 R ,000 R ,000

40 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 R ,000 R ,000 R936389A 2,000 R ,000 R ,000 R ,000 T ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V042403A 2,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V063252A 2,000 V ,000 V066054A 2,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V084120A 2,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V107265A 6,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 V ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W , W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 W ,000 XG004947A 2,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y022179A 2,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y050158A 2,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y077943A 4,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y103134A 2,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y115901A 2,000 Y ,000 Y ,000 Y120502A 2,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000

41 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 Y ,000 Y236945A 2,000 Y ,000 Y ,000 Y ,000 Y268603A 2,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y295090A 2,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y441598A 2,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y470941A 2,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Y ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z020979(2 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z039087A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z055645A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z061963A 2,000 Z , Z070078A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z081937A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z097989A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z112331A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z168592A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z182816A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z219900A 8,000 Z ,000 Z ,000 Z229696A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000

42 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z326736A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z347246A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z361275A 4,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z386838A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z399945A 4,000 Z405498A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z469962A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z474871A 2,000 Z ,000 Z ,000 Z , Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z485952A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z524085A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z618953A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z629810A 2,000 Z630035A 2,000 Z ,000 Z ,000 Z ,000 Z632187A 2,000 Z ,000 Z ,000 Z635820A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z649507A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z653797A 2,000 Z ,000 Z658787A 2,000 Z ,000 Z ,000 Z ,000 Z663858A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z680062A 2,000 Z ,000 Z680806A 2,000 Z ,000 Z683544A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z689005A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z708832A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000

43 The followings are the identification numbers (where supplied) of wholly or partially successful applicants made by giving electronic application instructions to HKSCC via CCASS and the number of Hong Kong Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 透過中央結算系統向香港結算發出電子認購指示申請的配發結果以下為透過中央結算系統向香港結算發出電子認購指示申請而獲全部或部份接納的申請人的 ( 如有提供 ) 及彼等獲有條件配發的香港發售股份數目 如申請人未有提供, 其結果將不會顯示 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z832776A 2,000 Z ,000 Z ,000 Z837671A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z868371A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z914734A 6,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z942369A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z952223A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z977154A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 26

44 DESPATCH/COLLECTION OF SHARE CERTIFICATES AND REFUND CHEQUES Share certificates for wholly or partially successful applications and refund cheques or refund monies in respect of wholly or partially unsuccessful applications, without interest and together with the related brokerage fee of 1.0%, SFC transaction levy of % and Stock Exchange trading fee of 0.005%, are expected to be despatched or collected (where applicable) on Tuesday, 7 March 2017 in the manners set out below: For share certificate(s) Applicants who have applied for 1,000,000 Hong Kong Offer or more and are partially successfully allocated Hong Kong Offer and have provided all information required by their WHITE Application Forms and applicants who have applied for 1,000,000 Hong Kong Offer through electronic applications under the HK eipo White Form service and their application are partially successful, may collect their share certificate(s) from the Hong Kong Branch Share Registrar, Tricor Investor Services Limited, at Level 22, Hopewell Centre, 183 Queen s Road East, Hong Kong from 9:00 a.m. to 1:00 p.m. on Tuesday, 7 March Applicants being individuals who are eligible for collection of share certificate(s) in person must not authorise any other person to make the collection on their behalf. Applicants being corporations who are eligible for collection in person must attend by their authorised representatives bearing a letter of authorisation from their corporations stamped with the corporations chops. Both individuals and authorised representatives (if applicable) must produce, at the time of collection, evidence of identity acceptable to Tricor Investor Services Limited. If the applicants do not collect their share certificate(s) during the above period, the Share certificate(s) will be despatched promptly thereafter to them by ordinary post to the address as specified in the relevant applications at their own risk on Tuesday, 7 March Applicants who have applied for less than 1,000,000 Hong Kong Offer by WHITE Application Forms or through electronic applications under the HK eipo White Form service, their share certificate(s) will be sent to the address as stated in the relevant applications on Tuesday, 7 March 2017 by ordinary post and at their own risk. For those applicants applying for the Hong Kong Offer using YELLOW Application Forms or by giving electronic application instructions to HKSCC via CCASS, and their application is wholly or partially successful, their Share certificates will be issued in the name of HKSCC Nominees and deposited into CCASS for credit to their CCASS Investor Participant s stock account or the stock account of their designated CCASS Participant as instructed by them on Tuesday, 7 March 2017, or under contingent situation, on any other date as shall be determined by HKSCC or HKSCC Nominees. 14

45 CCASS Investor Participants using YELLOW Application Forms and CCASS Participants applying by giving electronic application instructions to HKSCC should check the results of the Hong Kong Public Offering published by the Company and report any discrepancies to HKSCC before 5:00 p.m. on Tuesday, 7 March 2017 or such other date as shall be determined by HKSCC or HKSCC Nominees. Applicants applying as CCASS Investor Participants by using YELLOW Application Forms or by giving electronic application instructions to HKSCC can also check the result of application via the CCASS Phone System and CCASS Internet System (under the procedures contained in HKSCC s An Operating Guide for Investors Participants in effect from time to time). Applicants applying through a designated CCASS Participant (other than CCASS Investor Participant) using YELLOW Application Forms or by giving electronic application instructions to HKSCC for credit to the stock account of their designated CCASS Participants (other than CCASS Investor Participants) can check the number of Hong Kong Offer to them with that CCASS Participants. For CCASS Investor Participants, they can check their new account balances via the CCASS Phone System and the CCASS Internet System immediately after the credit of the Hong Kong Offer to their stock accounts on Tuesday, 7 March HKSCC will also make available to them an activity statement showing the number of Hong Kong Offer credited to their stock accounts. For refund cheques/refund monies Applicants who have applied for 1,000,000 Hong Kong Offer or more on a WHITE or YELLOW Application Forms and have provided all information required by their application forms may (where applicable) collect their refund cheque(s) from the Hong Kong Branch Share Registrar, Tricor Investor Services Limited, at Level 22, Hopewell Centre, 183 Queen s Road East, Hong Kong from 9:00 a.m. to 1:00 p.m. on Tuesday, 7 March Applicants who have applied for less than 1,000,000 Hong Kong Offer by WHITE or YELLOW Application Forms, their refund cheques (where applicable) will be sent to the address as stated in the relevant applications on Tuesday, 7 March 2017 by ordinary post and at their own risk. Applicants being individuals who are eligible for collection of refund cheque(s) in person must not authorise any other person to make the collection on their behalf. Applicants being corporations who are eligible for collection in person must attend by their authorised representatives bearing a letter of authorisation from their corporations stamped with the corporations chops. Both individuals and authorised representatives (if applicable) must produce, at the time of collection, evidence of identity acceptable to Tricor Investor Services Limited. If the applicants do not collect their refund cheque(s) during the above period, they will be despatched promptly thereafter to them by ordinary post to the address as specified in the relevant applications at their own risk. 15

46 For applicants who have paid the application monies from a single bank account through the HK eipo White Form, e-auto Refund payment instructions (if any) are expected to be despatched to the application payment account on Tuesday, 7 March For applicants who have paid the application monies from multiple bank accounts through the HK eipo White Form, refund cheques (if any) are expected to be despatched by ordinary post at their own risk on or before Tuesday, 7 March Where applicants who have applied by giving electronic application instructions to HKSCC, their refund monies (if any) will be credited to their designated bank account or the designated bank account of the designated CCASS Participant through which they are applying on Tuesday, 7 March For applicants who have instructed their designated CCASS Participant (other than CCASS Investor Participants) to give electronic application instructions to HKSCC on their behalf, they can check the amount of refund monies (if any) payable to them with that designated CCASS Participants. Applicants applying as CCASS Investor Participants can check the amount of refund monies (if any) payable to them via the CCASS Phone System and CCASS Internet System (under the procedures contained in HKSCC s An Operating Guide for Investor Participants in effect from time to time) on Tuesday, 7 March 2017 or in the activity statement showing the amount of refund money credited to their designated bank account made available to them by HKSCC immediately after the credit of refund money to their bank account. The Company will not issue any temporary s of title. No receipts will be issued for application monies received. Share certificates will only become valid certificates of title on 8:00 a.m. on Wednesday, 8 March 2017 provided that (i) the Global Offering has become unconditional in all respects; and (ii) the right of termination as described in the section headed Underwriting Underwriting arrangements and expenses The Hong Kong Public Offering Grounds for termination in the Prospectus has not been exercised. For more information, please refer to the section headed How to apply for the Hong Kong Offer in the Prospectus. PUBLIC FLOAT The Company confirms that immediately following the completion of the Global Offering, at least 25% of the total issued share capital of the Company will be held by the public upon Listing and the Company will satisfy the minimum percentage prescribed by Rule 8.08(1) of the Listing Rules. COMMENCEMENT OF DEALINGS The Company will not issue temporary s of title in respect of the. No receipt will be issued for sums paid on application. Share certificates will only become valid at 8:00 a.m. on Wednesday, 8 March 2017 provided that the Global Offering has become unconditional in all aspects and the right of termination described in the section headed Underwriting in the Prospectus has not been exercised. 16

47 Assuming that the Global Offering becomes unconditional in all aspects at or before 8:00 a.m. on Wednesday, 8 March 2017, dealings in the on the Main Board of the Stock Exchange are expected to commence at 9:00 a.m. on Wednesday, 8 March The will be traded in board lots of 2,000 each. The stock code of the is Hong Kong, 7 March 2017 By order of the Board Microware Group Limited CHU Ming Ho Chairman, executive Director and chief executive officer As at the date of this announcement, the Board comprises (i) Mr. CHU Ming Ho (Chairman) and Mr. YANG Peter Shun Tsing, as executive Directors; (ii) Mr. WAN Yiu Hon as non-executive Director; and (iii) Mr. CHENG Tak Chung, Ms. LI Wai Man and Mr. LI Richard King Hang, as independent non-executive Directors. Please also refer to the published version of this announcement in The Standard (in English) and the Sing Tao Daily (in Chinese). 17

DLC Asia Limited GEM 200,000, ,000,000 60,000, % %0.005%

DLC Asia Limited GEM 200,000, ,000,000 60,000, % %0.005% DLC Asia Limited* S 1 DLC Asia Limited GEM 200,000,000 140,000,000 60,000,000 0.2551% 0.0027%0.005% 0.01 8210 2 0.2551.0% 0.0027% 0.005% 0.255200,000,000 27.3 9,831 479,140,000 20,000,00023.96 15 50 40,000,000

More information

E172445A_Project Spring .Allotment

E172445A_Project Spring .Allotment 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

More information

DLC Asia Limited (incorporated in the Cayman Islands with limited liability) LISTING BY WAY OF SHARE OFFER ON GEM OF THE STOCK EXCHANGE OF HONG KONG L

DLC Asia Limited (incorporated in the Cayman Islands with limited liability) LISTING BY WAY OF SHARE OFFER ON GEM OF THE STOCK EXCHANGE OF HONG KONG L 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

More information

(Allotment_Eng)_HKEx.indd

(Allotment_Eng)_HKEx.indd Unless otherwise defined herein, capitalized terms in this announcement shall have the same meanings as those defined in the prospectus dated November 18, 2014 (the Prospectus ) issued by China Maple Leaf

More information

NICHE-TECH GROUP LIMITED GEM : 195,500,000 : 85,000,000 : 110,500,000 : % % 0.005% : 0.01 :

NICHE-TECH GROUP LIMITED GEM : 195,500,000 : 85,000,000 : 110,500,000 : % % 0.005% : 0.01 : 2018 5 17 1933 2018 5 30 1 NICHE-TECH GROUP LIMITED GEM : 195,500,000 : 85,000,000 : 110,500,000 : 0.58 1% 0.0027% 0.005% : 0.01 : 8490 2 0.58 1.0% 0.0027% 0.005% 25,500,000 15% 0.58 84.4 20,187 1,997,590,000

More information

Hong Kong Exchanges and Clearing Limited, The Stock Exchange of Hong Kong Limited and Hong Kong Securities Clearing Company Limited take no responsibility for the contents of this announcement, make no

More information

Eng HKEx.indd

Eng HKEx.indd Unless otherwise defi ned in this announcement, terms defi ned in the prospectus dated 18 October 2010 (the Prospectus ) issued by AIA Group Limited (the Company ) have the same meanings when used in this

More information

m04alot

m04alot 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

More information

67229 (Project Marvelous) Eng_HKEX.indd

67229 (Project Marvelous) Eng_HKEX.indd Unless otherwise defi ned herein, terms in this announcement shall have the same meanings as those defi ned in the prospectus dated Monday, September 13, 2010 (the Prospectus ) issued by MicroPort Scientifi

More information

Microsoft Word - A_Daily20160229

Microsoft Word - A_Daily20160229 高 曉 慶, Stanley Kao 陳 漢 輝, Freddy Chan 申 萬 宏 源 研 究 ( 香 港 ) 有 限 公 司 申 萬 宏 源 A 股 每 日 資 訊 - Shenwan Hongyuan A-Share Daily Notes [email protected] [email protected] 2016 年 2 月 29 日 星 期 一 (852)

More information

Microsoft Word - A_Daily20160329

Microsoft Word - A_Daily20160329 高 曉 慶, Stanley Kao 陳 漢 輝, Freddy Chan 申 萬 宏 源 研 究 ( 香 港 ) 有 限 公 司 申 萬 宏 源 A 股 每 日 資 訊 - Shenwan Hongyuan A-Share Daily Notes [email protected] [email protected] 2016 年 3 月 29 日 星 期 二 (852)

More information

untitled

untitled 1.01 (accounts) (affiliated company) (announcement) 16.17 (Application Proof) (approved share registrar) 12 (Articles) (asset-backed securities) (associate) 20.06(2) (authorised representative) 5.24 (balance

More information

Microsoft Word - A_Daily20151103

Microsoft Word - A_Daily20151103 陳 鳳 珠, Ellie Chan 高 曉 慶, Stanley Kao 申 萬 宏 源 研 究 ( 香 港 ) 有 限 公 司 申 萬 宏 源 A 股 日 評 - Shenwan Hongyuan A-Share Daily Notes [email protected] [email protected] 2015 年 11 月 3 日 星 期 二 (852) 2509-8431

More information

CHARACTERISTICS OF THE GROWTH ENTERPRISE MARKET (THE GEM ) OF THE STOCK EXCHANGE OF HONG KONG LIMITED (THE STOCK EXCHANGE ) GEM has been positioned as a market designed to accommodate companies to which

More information

HKG_ICSS_FTO_sogobrilingual_100_19Feb2016_31837_tnc

HKG_ICSS_FTO_sogobrilingual_100_19Feb2016_31837_tnc Terms and conditions: 1. The extra 5 Membership Rewards points promotion at SOGO ( the Promotion Offer ) is valid for spending only at SOGO Department Store at Causeway Bay and Tsim Sha Tsui within the

More information

601988 2010 040 113001 2010 8 26 2010 8 12 2010 8 26 15 15 2010 15 0 0 15 0 0 6035 20022007 20012002 19992001 200720081974 1999 2010 20082008 2000 197

601988 2010 040 113001 2010 8 26 2010 8 12 2010 8 26 15 15 2010 15 0 0 15 0 0 6035 20022007 20012002 19992001 200720081974 1999 2010 20082008 2000 197 BANK OF CHINA LIMITED 3988 2010 8 26 ** ** *** # Alberto TOGNI # # # * # 1 601988 2010 040 113001 2010 8 26 2010 8 12 2010 8 26 15 15 2010 15 0 0 15 0 0 6035 20022007 20012002 19992001 200720081974 1999

More information

Microsoft Word - SH090330.doc

Microsoft Word - SH090330.doc 2009 年 3 月 30 日 環 球 指 數 上 周 收 市 價 一 星 期 變 化 百 分 率 四 星 期 變 化 百 分 率 恆 生 指 數 14,119.50 +1285.99 +10.02% +1307.93 +10.21% 國 企 指 數 8,481.22 +985.26 +13.14% +1578.38 +22.87% 上 海 綜 合 指 數 2,374.44 +93.35 +4.09%

More information

(Microsoft PowerPoint - 2015A UPEC IR ppt \(cn\) \(NDR\)4.8 [\317\340\310\335\304\243\312\275])

(Microsoft PowerPoint - 2015A UPEC IR ppt \(cn\) \(NDR\)4.8 [\317\340\310\335\304\243\312\275]) 股 票 代 號 :1216 TT 2015 全 年 度 業 績 發 佈 (2016.4.11 更 新 ) Disclaimers The information contained in this presentation is intended solely for your personal reference. Such information is subject to change without

More information

Microsoft Word - 0000000673_4.doc

Microsoft Word - 0000000673_4.doc 香 港 特 別 行 政 區 政 府 知 識 產 權 署 商 標 註 冊 處 Trade Marks Registry, Intellectual Property Department The Government of the Hong Kong Special Administrative Region 在 註 冊 申 請 詳 情 公 布 後 要 求 修 訂 貨 品 / 服 務 說 明 商 標

More information

6 4 6 5 5 2 2 3 1 2 3 1 6 6 6 6 5 5 5 2 2 4 126% * * GOLD COAST OFFICE. Cnr 2681 Gold Coast Highway and Elizabeth Avenue, Broadbeach Queensland 4218 PHONE 07 5531 8188 www.emandar.com.au Whilst every

More information

Microsoft Word - (web)_F.1_Notes_&_Application_Form(Chi)(non-SPCCPS)_16-17.doc

Microsoft Word - (web)_F.1_Notes_&_Application_Form(Chi)(non-SPCCPS)_16-17.doc 聖 保 羅 男 女 中 學 學 年 中 一 入 學 申 請 申 請 須 知 申 請 程 序 : 請 將 下 列 文 件 交 回 本 校 ( 麥 當 勞 道 33 號 ( 請 以 A4 紙 張 雙 面 影 印, 並 用 魚 尾 夾 夾 起 : 填 妥 申 請 表 並 貼 上 近 照 小 學 五 年 級 上 下 學 期 成 績 表 影 印 本 課 外 活 動 表 現 及 服 務 的 證 明 文 件 及

More information

入學考試網上報名指南

入學考試網上報名指南 入 學 考 試 網 上 報 名 指 南 On-line Application Guide for Admission Examination 16/01/2015 University of Macau Table of Contents Table of Contents... 1 A. 新 申 請 網 上 登 記 帳 戶 /Register for New Account... 2 B. 填

More information

The presentation is prepared by BH Global Corporation Limited. (the Company ) and is intended solely for your personal reference and is strictly confi

The presentation is prepared by BH Global Corporation Limited. (the Company ) and is intended solely for your personal reference and is strictly confi 2016 2017 3 14 The presentation is prepared by BH Global Corporation Limited. (the Company ) and is intended solely for your personal reference and is strictly confidential. The information contained in

More information

Collection of 2012 Examination Certificates

Collection of 2012 Examination Certificates 本 局 檔 號 領 取 香 港 年 考 度 試 及 評 通 核 告 局 請 各 與 考 學 校 委 派 職 員 中 學 文 憑 年 考 試 月 / 高 級 日 第 程 四 度 號 會 月 考 證 書 附 外 ), 夾 的 於 領 辦 取 公 單 時 到 間 本 ( 局 星 辦 期 事 一 處 ( 至 地 五 址 :: 上 香 港 )/ 灣 時 香 仔 港 軒 高 分 尼 級 至 詩 程 下 道 度

More information

2012 年 4 月 至 6 月 活 動 一 覽 月 份 計 劃 / 項 目 活 動 4 月 竹 園 中 心 活 動 竹 園 中 心 開 放 日 暨 沒 有 巴 掌 日 嘉 年 華 :4 月 28 日 v 迎 新 會 :4 月 21 日 童 歡 部 落 v 義 工 服 務 :5 月 27 日 v 小

2012 年 4 月 至 6 月 活 動 一 覽 月 份 計 劃 / 項 目 活 動 4 月 竹 園 中 心 活 動 竹 園 中 心 開 放 日 暨 沒 有 巴 掌 日 嘉 年 華 :4 月 28 日 v 迎 新 會 :4 月 21 日 童 歡 部 落 v 義 工 服 務 :5 月 27 日 v 小 八 月 通 訊 在 多 名 熱 心 青 年 的 參 與 及 香 港 救 助 兒 童 會 贊 助 下, 本 會 推 出 兒 童 專 網, 透 過 互 動 遊 戲 及 討 論 區, 讓 兒 童 及 青 少 年 認 識 更 多 保 護 兒 童 的 知 識, 包 括 虐 待 兒 童 的 種 類 家 居 安 全 及 自 我 保 護 在 過 去 數 個 月, 兒 童 專 網 的 點 擊 次 數 已 累 積 至

More information

Microsoft Word - Xinhua Far East_Methodology_gb_2003.doc

Microsoft Word - Xinhua Far East_Methodology_gb_2003.doc 新 华 远 东 中 国 资 信 评 级 新 华 财 经 有 限 公 司 上 海 远 东 资 信 评 估 有 限 公 司 新 华 远 东 中 国 资 信 评 级 2003 年 电 子 邮 箱 评 级 总 监 联 系 电 话 [email protected] 钟 汶 权 CFA 852-3102 3612 8621-5306-1122 目 的 新 华 财 经 有 限 公 司 与 上 海 远 东 资 信 评

More information

关 于 瓶 装 水, 你 不 得 不 知 的 8 件 事 情 关 于 瓶 装 水, 你 不 得 不 知 的 8 件 事 情 1 水 质 : 瓶 装 的, 不 一 定 就 是 更 好 的 2 生 产 : 监 管 缺 位, 消 费 者 暴 露 于 风 险 之 中 人 们 往 往 假 定 瓶 装 水 是

关 于 瓶 装 水, 你 不 得 不 知 的 8 件 事 情 关 于 瓶 装 水, 你 不 得 不 知 的 8 件 事 情 1 水 质 : 瓶 装 的, 不 一 定 就 是 更 好 的 2 生 产 : 监 管 缺 位, 消 费 者 暴 露 于 风 险 之 中 人 们 往 往 假 定 瓶 装 水 是 关 于 瓶 装 水, 你 不 得 不 知 的 件 事 情 关 于 瓶 装 水, 你 不 得 不 知 的 8 件 事 情 关 于 瓶 装 水, 你 不 得 不 知 的 8 件 事 情 1 水 质 : 瓶 装 的, 不 一 定 就 是 更 好 的 2 生 产 : 监 管 缺 位, 消 费 者 暴 露 于 风 险 之 中 人 们 往 往 假 定 瓶 装 水 是 干 净 安 全 健 康 的, 广 告 传 递

More information

Microsoft PowerPoint - CAG IR2013_ppt_Chi_0909.pptx

Microsoft PowerPoint - CAG IR2013_ppt_Chi_0909.pptx Stock Code: 569.HK 二零一三年中期业绩发布 二零 三年九月 二零一三年九月 议 程 业 务 回 顾 财 务 摘 要 市 场 机 遇 未 来 策 略 问 答 附 录 1 Stock Code: 569 569..HK 业 务 回 顾 2 业 务 回 顾 市 场 地 位 稳 定, 实 现 稳 定 增 长 石 化 业 务 两 大 业 务 板 块 四 大 主 要 业 务 安 全 控 制 系

More information

01 02 03 06 07 25 41 43 44 45 47 48 50 52 135 136 Clarendon House, 2 Church Street Hamilton HM11, Bermuda Appleby Management (Bermuda) Ltd. Canon s Court, 22 Victoria Street, Hamilton HM12, Bermuda 183

More information

untitled

untitled and Due Diligence M&A in China Prelude and Due Diligence A Case For Proper A Gentleman s Agreement? 1 Respect for the Rule of Law in China mandatory under law? CRITICAL DOCUMENTS is driven by deal structure:

More information

1. 請 先 檢 查 包 裝 內 容 物 AC750 多 模 式 無 線 分 享 器 安 裝 指 南 安 裝 指 南 CD 光 碟 BR-6208AC 電 源 供 應 器 網 路 線 2. 將 設 備 接 上 電 源, 即 可 使 用 智 慧 型 無 線 裝 置 進 行 設 定 A. 接 上 電 源

1. 請 先 檢 查 包 裝 內 容 物 AC750 多 模 式 無 線 分 享 器 安 裝 指 南 安 裝 指 南 CD 光 碟 BR-6208AC 電 源 供 應 器 網 路 線 2. 將 設 備 接 上 電 源, 即 可 使 用 智 慧 型 無 線 裝 置 進 行 設 定 A. 接 上 電 源 1. 請 先 檢 查 包 裝 內 容 物 AC750 多 模 式 無 線 分 享 器 安 裝 指 南 安 裝 指 南 CD 光 碟 BR-6208AC 電 源 供 應 器 網 路 線 2. 將 設 備 接 上 電 源, 即 可 使 用 智 慧 型 無 線 裝 置 進 行 設 定 A. 接 上 電 源 B. 啟 用 智 慧 型 裝 置 的 無 線 Wi-Fi C. 選 擇 無 線 網 路 名 稱 "edimax.setup"

More information

LH_Series_Rev2014.pdf

LH_Series_Rev2014.pdf REMINDERS Product information in this catalog is as of October 2013. All of the contents specified herein are subject to change without notice due to technical improvements, etc. Therefore, please check

More information

Panaboard Overlayer help

Panaboard Overlayer help Panaboard Overlayer Image Capture Software for Electronic Whiteboard (Panaboard) ... 3... 5... 6... 13...14 Panaboard Overlayer 1. 2. 3. 4. 4-1. 4-2. [ / ] ( ) 4-3. 5. 6. 6-1. 6-2. [ / ] ( ) 7. Panaboard

More information

市 场 综 述 三 季 度, 上 海 投 资 市 场 交 易 量 持 续 攀 升, 共 有 八 宗 主 要 交 易 达 成, 交 易 金 额 共 计 人 民 币 160 亿 元, 环 比 增 长 59% 投 资 者 尤 其 是 国 际 投 资 者, 逐 渐 增 购 租 金 收 入 稳 定 的 核 心

市 场 综 述 三 季 度, 上 海 投 资 市 场 交 易 量 持 续 攀 升, 共 有 八 宗 主 要 交 易 达 成, 交 易 金 额 共 计 人 民 币 160 亿 元, 环 比 增 长 59% 投 资 者 尤 其 是 国 际 投 资 者, 逐 渐 增 购 租 金 收 入 稳 定 的 核 心 Savills World Research Shanghai 市场简报 投资 2015年10月 图片 企业天地1号 2号楼 概述 国际投资者调整投资策略 逐渐增加核心资产收购 不再局限于资产增值投资机会 三季度共达成八宗主要成交 交 易总额约人民币160亿元 环比增长 59% 国际投资者的重心逐渐转向核 心资产 十幅土地高价成交 成交楼面价均 超每平方米人民币20,000元 平均溢价 率为49.5%

More information

台灣地區同學

台灣地區同學 ACIC 台 灣 地 區 住 宿 家 庭 合 約 / 接 機 / 申 請 表 本 契 約 已 於 中 華 民 國 年 月 日 交 付 消 費 者 攜 回 審 閱 ( 契 約 審 閱 期 間 至 少 為 五 日 ) 甲 方 ( 消 費 者 ) 姓 名 : 甲 方 ( 未 滿 18 歲 代 理 人 ) 姓 名 : 國 民 身 分 證 : 國 民 身 分 證 : 電 話 : 電 話 : 住 居 所 : 住

More information

This interim report ( Interim Report ) (in both English and Chinese versions) has been posted on the Company s website at Shareholders w

This interim report ( Interim Report ) (in both English and Chinese versions) has been posted on the Company s website at   Shareholders w This interim report ( Interim Report ) (in both English and Chinese versions) has been posted on the Company s website at www.sino.com. Shareholders who have chosen to rely on copies of the Corporate Communications

More information

MDP2016_hk_class2_preview

MDP2016_hk_class2_preview 2016 ManuLeader Development Program 2016 (Hong Kong) Class 2 2016 7 8 19 223-231 www.manuleader.com.hk 2016 6 302016 2012 ManuLeader Development ProgramMDP 500 MDP MDP 7 8 105 30 FR M PRMCFA 7 9 95 30

More information

2

2 40 2 3 4 5 ^ ^ 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 PLEASE AFFIX STAMP HERE Diabetes Hongkong Unit 1802, 18/F., Tung Hip Commercial Bldg., 244-252 Des Voeux Rd C, HK. Diabetes Hongkong membership

More information

ch_code_infoaccess

ch_code_infoaccess 地 產 代 理 監 管 局 公 開 資 料 守 則 2014 年 5 月 目 錄 引 言 第 1 部 段 數 適 用 範 圍 1.1-1.2 監 管 局 部 門 1.1 紀 律 研 訊 1.2 提 供 資 料 1.3-1.6 按 慣 例 公 布 或 供 查 閱 的 資 料 1.3-1.4 應 要 求 提 供 的 資 料 1.5 法 定 義 務 及 限 制 1.6 程 序 1.7-1.19 公 開 資

More information

國 立 政 治 大 學 教 育 學 系 2016 新 生 入 學 手 冊 目 錄 表 11 國 立 政 治 大 學 教 育 學 系 博 士 班 資 格 考 試 抵 免 申 請 表... 46 論 文 題 目 申 報 暨 指 導 教 授... 47 表 12 國 立 政 治 大 學 碩 博 士 班 論

國 立 政 治 大 學 教 育 學 系 2016 新 生 入 學 手 冊 目 錄 表 11 國 立 政 治 大 學 教 育 學 系 博 士 班 資 格 考 試 抵 免 申 請 表... 46 論 文 題 目 申 報 暨 指 導 教 授... 47 表 12 國 立 政 治 大 學 碩 博 士 班 論 國 立 政 治 大 學 教 育 學 系 2016 新 生 入 學 手 冊 目 錄 一 教 育 學 系 簡 介... 1 ( 一 ) 成 立 時 間... 1 ( 二 ) 教 育 目 標 與 發 展 方 向... 1 ( 三 ) 授 課 師 資... 2 ( 四 ) 行 政 人 員... 3 ( 五 ) 核 心 能 力 與 課 程 規 劃... 3 ( 六 ) 空 間 環 境... 12 ( 七 )

More information

99學年度第1學期外國學生入學申請簡章

99學年度第1學期外國學生入學申請簡章 104 學 年 度 第 2 學 期 外 國 學 生 入 學 申 請 簡 章 申 請 作 業 期 程 日 期 工 作 項 目 9/3-10/31 網 路 申 請 與 郵 寄 審 查 資 料 2015 11/1-11/30 系 所 審 查 12/2 公 告 錄 取 名 單 12/4 寄 發 錄 取 通 知 2016 2/15-2/16 錄 取 生 報 到 本 簡 章 中 英 文 版 本 敘 述 如 有

More information

216 年 8 月 市 场 概 述 216 年 月 日, 通 州 出 台 了 商 住 限 购 新 政, 规 定 新 建 商 业 办 公 项 目 应 当 按 照 规 划 用 途 销 售, 并 只 能 出 售 给 企 事 业 单 位 或 社 会 组 织, 且 上 述 单 位 购 买 后 再 出 售 时,

216 年 8 月 市 场 概 述 216 年 月 日, 通 州 出 台 了 商 住 限 购 新 政, 规 定 新 建 商 业 办 公 项 目 应 当 按 照 规 划 用 途 销 售, 并 只 能 出 售 给 企 事 业 单 位 或 社 会 组 织, 且 上 述 单 位 购 买 后 再 出 售 时, Savills World Research Beijing 市 场 简 报 销 售 及 投 资 216 年 8 月 概 述 总 体 来 看, 本 季 度 北 京 物 业 市 场 投 资 热 度 不 减 图 片 : 空 港 国 际, 顺 义 区 大 宗 整 售 市 场 本 季 度 见 证 两 宗 整 售 交 易, 成 交 总 金 额 达 48. 亿 元 人 民 币 截 至 目 前,216 年 大 宗

More information

Microsoft Word - 中級會計學--試題.doc

Microsoft Word - 中級會計學--試題.doc 國 立 高 雄 應 用 科 技 大 學 100 學 年 度 碩 士 班 招 生 考 試 會 計 系 准 考 證 號 碼 ( 考 生 必 須 填 寫 ) 中 級 會 計 學 試 題 共 5 頁, 第 1 頁 注 意 :a. 本 試 題 共 題, 每 題 分, 共 100 分 b. 作 答 時 不 必 抄 題 c. 考 生 作 答 前 請 詳 閱 答 案 卷 之 考 生 注 意 事 項 ㄧ 選 擇 題

More information

Microsoft PowerPoint - IAS 21 - IFRS宣導會.pptx

Microsoft PowerPoint - IAS 21 - IFRS宣導會.pptx IAS 21 Nov 19, 2010 Agenda Page 1 1 2 4 3 11 4 17 5 IFRS 23 Section 1 Section 1 WHY IAS 21? IAS 21 2 Section 1 Determination Functional Currency Presentation Currency First Time Adoption IFRS IAS 21 2

More information

Microsoft PowerPoint - ~6631638.ppt

Microsoft PowerPoint - ~6631638.ppt Fixed Income 1 Why Investing in bonds? 2 CPY Fixed Income Department Overview Professional and experienced team Top-notch client-focused services Offering diversified fixed income products Unique short

More information

Computershare Investor Services Pty Limited GPO Box 52 Melbourne Victoria 3001 Australia 1208 MMG ,645,034,944 CDI

Computershare Investor Services Pty Limited GPO Box 52 Melbourne Victoria 3001 Australia 1208 MMG ,645,034,944 CDI Excess Application Form No. Registrar: Hong Kong Computershare Hong Kong Investor Services Limited Shops 1712-1716 17/F, Hopewell Centre 183 Queen s Road East Wan Chai, Hong Kong Australia: Computershare

More information

Microsoft Word - Atmel-45136A-Pick-Best-Microcontroller-Strom-Eiland-Flodell_Article_CS

Microsoft Word - Atmel-45136A-Pick-Best-Microcontroller-Strom-Eiland-Flodell_Article_CS 如 何 为 您 的 下 一 款 设 计 选 出 最 好 的 8 位 或 32 位 微 控 制 器 作 者 : Atmel 产 品 营 销 高 级 总 监 Oyvind Strom Atmel 产 品 营 销 总 监 Andreas Eieland Atmel 研 发 工 具 部 门 高 级 产 品 营 销 经 理 Henrik Flodell 不 久 之 前, 嵌 入 式 系 统 还 是 既 昂 贵

More information

Microsoft PowerPoint - FY Q Results.ppt [互換モード]

Microsoft PowerPoint - FY Q Results.ppt [互換モード] FY3-2012 3 rd Quarter Results Tokyo Stock Exchange / Nagoya Stock Exchange 8593 Results announcement date : February 3, 2012 Inquiries: Corporate Communications Department Tel 81+3-6865-3002, Fax: 81+3-6895-5306

More information

Simulation_Non_finance_2013.indd

Simulation_Non_finance_2013.indd Board Simulation: Financial Management for Non-Finance Managers Trainer Johnson Chen Contracted Trainer, PEO Training 广 州 2013 年 4 月 23-24 日 ( 两 天 ) 9:00am - 5:30pm 普 通 话, 中 文 教 材 BACKGROUND 公 司 发 展 越

More information

Layout 1

Layout 1 Celebrating The First Decade 风 雨 十 年 铸 就 辉 煌 Brooklands new Media Premier Corporate Publishers 布 鲁 克 蓝 新 媒 体 公 司 出 版 并 与 新 华 通 讯 社 协 诚 合 作 A Brooklands New Media Publication In Association With Xinhua

More information

教區禮儀委員會

教區禮儀委員會 2003 1 20 ... 1... 2... 3 1.1 (1963)...3 1.2 (1992)...4...5...6...7...8 1.3.1 (1983)...9 1.3.2...10... 12 2.1...12 2.2...13 2.3...14 2.4...15... 16 3.1...16 3.2...17 3.3...18 3.4...19 3.5.1...20 3.5.2...21...

More information

2005 5,,,,,,,,,,,,,,,,, , , 2174, 7014 %, % 4, 1961, ,30, 30,, 4,1976,627,,,,, 3 (1993,12 ),, 2

2005 5,,,,,,,,,,,,,,,,, , , 2174, 7014 %, % 4, 1961, ,30, 30,, 4,1976,627,,,,, 3 (1993,12 ),, 2 3,,,,,, 1872,,,, 3 2004 ( 04BZS030),, 1 2005 5,,,,,,,,,,,,,,,,, 1928 716,1935 6 2682 1928 2 1935 6 1966, 2174, 7014 %, 94137 % 4, 1961, 59 1929,30, 30,, 4,1976,627,,,,, 3 (1993,12 ),, 2 , :,,,, :,,,,,,

More information

Background 2006 年 2 月 我 国 新 企 业 会 计 准 则 的 颁 布, 标 志 着 与 国 际 惯 例 趋 同 的 中 国 新 会 计 准 则 体 系 的 建 立, 自 2007 年 1 月 1 日 起 首 先 在 境 内 上 市 的 公 司 施 行, 自 2008 年 1 月

Background 2006 年 2 月 我 国 新 企 业 会 计 准 则 的 颁 布, 标 志 着 与 国 际 惯 例 趋 同 的 中 国 新 会 计 准 则 体 系 的 建 立, 自 2007 年 1 月 1 日 起 首 先 在 境 内 上 市 的 公 司 施 行, 自 2008 年 1 月 The Analysis and Application of CAS & U.S. GAAP & IFRS Jeremy Zhang ( 章 晓 虎 ) PEO Contracted Trainer 深 圳 2013 年 7 月 18-19 日 ( 周 四 / 五 ) 9:00am - 5:00pm 普 通 话, 中 文 教 材 Background 2006 年 2 月 我 国 新 企 业 会

More information

自然辩证法索引

自然辩证法索引 自 然 与 科 学 技 术 哲 学 名 词 索 引 上 海 交 通 大 学 可 信 任 数 字 技 术 实 验 室 制 Copyright 2009 Trust Digital Technology Laboratory, Shanghai Jiao Tong University. Permission is hereby granted, free of charge, to any person

More information

China Securities Depository and Clearing Corporation Limited CONTENTS Summary for Securities Depository and Clearing 2004 OVERVIEW

China Securities Depository and Clearing Corporation Limited CONTENTS Summary for Securities Depository and Clearing 2004 OVERVIEW CHINA SECURITIES REGISTRATION AND SETTLEMENT STATISTICAL YEARBOOK 2004 Edited by China Securities Depository and Clearing Corporation Limited China Securities Depository and Clearing Corporation Limited

More information

會訊2014.indd

會訊2014.indd The Association of Licentiates of Medical Council of Hong Kong Newsletter September 2014 二 零 一 四 年 九 月 第 六 十 四 期 和 平 保 普 選, 努 力 為 香 港 甘 肅 省 七 天 之 旅 熱 鬧 的 七 一 散 文 二 詩 醫 委 會 專 業 資 格 引 用 指 引 日 本 旅 遊 雜 感 風

More information

BOARD OF DIRECTORS (CONTINUED) The directors who held office 30 September 2013 and up to the date of this report were: EXECUTIVE DIRECTORS Dr

BOARD OF DIRECTORS (CONTINUED) The directors who held office 30 September 2013 and up to the date of this report were: EXECUTIVE DIRECTORS Dr INTERIM DIVIDEND AND SPECIAL DIVIDEND The Board resolved to declare an interim dividend of 4.5 HK cents (2012: 2.5 HK cents) per share and a special dividend of 4.5 HK cents (2012: 4.5 HK cents) per share

More information

PowerPoint Presentation

PowerPoint Presentation Decision analysis 量化決策分析方法專論 2011/5/26 1 Problem formulation- states of nature In the decision analysis, decision alternatives are referred to as chance events. The possible outcomes for a chance event

More information

Chn 116 Neh.d.01.nis

Chn 116 Neh.d.01.nis 31 尼 希 米 书 尼 希 米 的 祷 告 以 下 是 哈 迦 利 亚 的 儿 子 尼 希 米 所 1 说 的 话 亚 达 薛 西 王 朝 二 十 年 基 斯 流 月 *, 我 住 在 京 城 书 珊 城 里 2 我 的 兄 弟 哈 拿 尼 和 其 他 一 些 人 从 犹 大 来 到 书 珊 城 我 向 他 们 打 听 那 些 劫 后 幸 存 的 犹 太 人 家 族 和 耶 路 撒 冷 的 情 形

More information

A68b v13 PFL0116 066 CO

A68b v13 PFL0116 066 CO 火 險 保 單 請 詳 細 參 閱 本 保 單 閣 下 有 權 改 變 主 意 15 行 使 取 消 保 單 權 益 須 遵 守 以 下 規 定 : 15 (852) 2867 8678 安 盛 保 險 有 限 公 司 90918 (852) 2867 8678 收 集 個 人 資 料 的 聲 明 本 公 司 486 條 例 目 的 : 有 關 目 的 1. 安 盛 關 聯 方 在 直 接 促 銷

More information

背 景 资 料 对 于 在 华 经 营 的 企 业 里, 人 力 资 源 管 理 绝 不 是 一 件 轻 松 的 工 作 HR 从 业 者 除 了 要 具 备 猎 人 的 眼 光 心 理 学 家 的 耐 心 谈 判 专 家 的 口 才, 更 为 重 要 的 是, 还 需 要 具 备 专 业 的 法

背 景 资 料 对 于 在 华 经 营 的 企 业 里, 人 力 资 源 管 理 绝 不 是 一 件 轻 松 的 工 作 HR 从 业 者 除 了 要 具 备 猎 人 的 眼 光 心 理 学 家 的 耐 心 谈 判 专 家 的 口 才, 更 为 重 要 的 是, 还 需 要 具 备 专 业 的 法 R Professional Information for You 人 力 资 源 法 务 合 规 系 列 Human Resource Legal Compliance Management Series 深 圳 Shenzhen Putonghua / 普 通 话 9:00am-5:30pm 系 列 一 : 人 力 资 源 合 规 风 险 分 析 与 员 工 关 系 管 理 2013 年 11

More information

untitled

untitled Safe Harbor This presentation contains statements of a forward-looking nature. These statements are made under the safe harbor provisions of the U.S. Private Securities Litigation Reform Act of 1995. You

More information

2014 年 前 言 房 地 产 投 资 信 托 基 金 (Real Estate Investment Trusts,REITs) 在 海 外 早 已 发 展 成 熟, 而 香 港 政 府 去 年 也 进 一 步 准 备 放 宽 房 托 限 制, 相 比 之 下, 中 国 已 经 改 革 开 放

2014 年 前 言 房 地 产 投 资 信 托 基 金 (Real Estate Investment Trusts,REITs) 在 海 外 早 已 发 展 成 熟, 而 香 港 政 府 去 年 也 进 一 步 准 备 放 宽 房 托 限 制, 相 比 之 下, 中 国 已 经 改 革 开 放 研 究 报 告 REITs 中 国 路 2014 年 2014 年 前 言 房 地 产 投 资 信 托 基 金 (Real Estate Investment Trusts,REITs) 在 海 外 早 已 发 展 成 熟, 而 香 港 政 府 去 年 也 进 一 步 准 备 放 宽 房 托 限 制, 相 比 之 下, 中 国 已 经 改 革 开 放 三 十 年, 对 房 托 发 展 至 今 还 未

More information

表 13 沪 港 两 所 交 易 机 制 比 较 项 目 沪 市 港 市 沪 股 通 港 股 通 1 交 易 时 间 周 一 至 周 五 ( 国 家 法 定 假 日 和 本 周 一 至 周 五 ( 公 众 假 期 除 外 ) 只 在 上 交 所 和 港 交 所 只 在 上 交 所 和 港 交 所 所

表 13 沪 港 两 所 交 易 机 制 比 较 项 目 沪 市 港 市 沪 股 通 港 股 通 1 交 易 时 间 周 一 至 周 五 ( 国 家 法 定 假 日 和 本 周 一 至 周 五 ( 公 众 假 期 除 外 ) 只 在 上 交 所 和 港 交 所 只 在 上 交 所 和 港 交 所 所 沪 港 交 易 机 制 比 较 本 章 我 们 首 先 对 沪 港 两 市 基 本 交 易 机 制 进 行 对 比, 并 分 析 其 差 异, 其 次 主 要 针 对 沪 港 通 的 特 殊 交 易 机 制 进 行 梳 理 ( 一 ) 沪 港 市 场 交 易 机 制 对 比 表 13 列 明 并 对 比 沪 港 两 市 的 基 本 交 易 机 制, 以 及 沪 港 通 交 易 机 制 的 特 殊 安

More information

國立中山大學學位論文典藏.PDF

國立中山大學學位論文典藏.PDF I II III The Study of Factors to the Failure or Success of Applying to Holding International Sport Games Abstract For years, holding international sport games has been Taiwan s goal and we are on the way

More information

2015 Chinese FL Written examination

2015 Chinese FL Written examination Victorian Certificate of Education 2015 SUPERVISOR TO ATTACH PROCESSING LABEL HERE Letter STUDENT NUMBER CHINESE FIRST LANGUAGE Written examination Monday 16 November 2015 Reading time: 11.45 am to 12.00

More information

目 录 释 义... 1 公 司 声 明... 4 交 易 对 方 声 明... 5 相 关 证 券 服 务 机 构 声 明... 7 重 大 事 项 提 示... 8 重 大 风 险 提 示... 18 第 一 节 本 次 交 易 概 述... 22 一 本 次 交 易 背 景 和 目 的 二 本

目 录 释 义... 1 公 司 声 明... 4 交 易 对 方 声 明... 5 相 关 证 券 服 务 机 构 声 明... 7 重 大 事 项 提 示... 8 重 大 风 险 提 示... 18 第 一 节 本 次 交 易 概 述... 22 一 本 次 交 易 背 景 和 目 的 二 本 股 票 代 码 :600978 股 票 简 称 : 宜 华 木 业 上 市 地 : 上 海 证 券 交 易 所 广 东 省 宜 华 木 业 股 份 有 限 公 司 重 大 资 产 购 买 预 案 主 要 交 易 对 方 名 称 住 所 与 通 讯 地 址 BEM Holdings Pte Ltd. 11, Gul Circle, Singapore (629567) 独 立 财 务 顾 问 二 〇

More information

모집요강(중문)[2013후기외국인]04.26.hwp

모집요강(중문)[2013후기외국인]04.26.hwp 2013 弘 益 大 学 后 期 外 国 人 特 别 招 生 简 章 弘 益 大 学 http://ibsi.hongik.ac.kr 目 次 I 招 生 日 程 3 II 招 生 单 位 4 III 报 名 资 格 及 提 交 材 料 5 IV 录 取 方 法 8 V 报 名 程 序 9 VI 注 册 指 南 11 VII 其 它 12 附 录 提 交 材 料 表 格 外 国 人 入 学 申 请

More information

第一章 出口退税制改革的内容

第一章  出口退税制改革的内容 密 级 学 号 2 0 0 1 0 3 2 9 毕 业 设 计 ( 论 文 ) 出 口 退 税 制 改 革 对 我 国 出 口 的 影 响 院 ( 系 部 ): 经 济 管 理 学 院 姓 名 : 王 晓 年 级 : 2001 级 专 业 : 国 际 经 济 与 贸 易 指 导 教 师 : 杜 秀 芳 教 师 职 称 : 讲 师 2005 年 6 月 10 日 北 京 北 京 石 油 化 工 学 院

More information

IBM 全 球 企 业 咨 询 服 务 部 中 国 五 矿 筑 起 人 力 资 源 信 息 大 厦 2 回 顾 篇 慎 选 巧 选 软 件 平 台 由 于 五 矿 集 团 下 属 的 很 多 公 司 是 最 近 几 年 才 加 盟 的 新 成 员 企 业, 这 些 公 司 所 应 用 的 人 力 资

IBM 全 球 企 业 咨 询 服 务 部 中 国 五 矿 筑 起 人 力 资 源 信 息 大 厦 2 回 顾 篇 慎 选 巧 选 软 件 平 台 由 于 五 矿 集 团 下 属 的 很 多 公 司 是 最 近 几 年 才 加 盟 的 新 成 员 企 业, 这 些 公 司 所 应 用 的 人 力 资 IBM 全 球 企 业 咨 询 服 务 部 IBM 商 业 价 值 研 究 院 案 例 研 究 中 国 五 矿 筑 起 人 力 资 源 信 息 大 厦 中 国 五 矿 集 团 公 司 ( 以 下 简 称 五 矿 集 团 ) 人 力 资 源 系 统 就 像 一 座 虚 拟 的 人 力 资 源 大 厦, 它 帮 助 五 矿 集 团 创 建 了 一 套 人 力 资 源 的 信 息 标 准, 形 成 了 一

More information

Applied Biosystems StepOne™ Real-Time PCR System Quick Reference Card for Installation

Applied Biosystems StepOne™ Real-Time PCR System Quick Reference Card for Installation Applied Biosystems StepOne Real-Time PCR System StepOne 系统安装 快速参考卡 本文档提供在并置布局中安装 StepOne 系统的简明指导 有关 完整步骤或独立安装步骤 请参阅 Applied Biosystems StepOne Real-Time PCR System 安装 联网和维护指南 目录 1. 安装准备........................................

More information

Preface This guide is intended to standardize the use of the WeChat brand and ensure the brand's integrity and consistency. The guide applies to all d

Preface This guide is intended to standardize the use of the WeChat brand and ensure the brand's integrity and consistency. The guide applies to all d WeChat Search Visual Identity Guidelines WEDESIGN 2018. 04 Preface This guide is intended to standardize the use of the WeChat brand and ensure the brand's integrity and consistency. The guide applies

More information

Microsoft Word - ??????.doc

Microsoft Word - ??????.doc 船 舶 买 卖 实 务 1. 选 船 1.1 财 政 预 算 其 实 买 船 如 其 它 投 资 一 样, 买 船 前 买 家 一 般 会 计 算 该 投 资 价 值 以 前, 当 航 运 市 场 平 静 时, 船 一 般 都 需 要 十 多 年 才 可 回 本 近 年, 航 运 市 场 畅 旺, 船 回 本 所 需 年 份 相 对 减 少, 有 些 夸 张 的 更 说 3 年 多 就 可 以 回

More information

Chinese oil import policies and reforms 随 着 经 济 的 发 展, 目 前 中 国 石 油 消 费 总 量 已 经 跃 居 世 界 第 二 作 为 一 个 负 责 任 的 大 国, 中 国 正 在 积 极 推 进 能 源 进 口 多 元 化, 鼓 励 替 代

Chinese oil import policies and reforms 随 着 经 济 的 发 展, 目 前 中 国 石 油 消 费 总 量 已 经 跃 居 世 界 第 二 作 为 一 个 负 责 任 的 大 国, 中 国 正 在 积 极 推 进 能 源 进 口 多 元 化, 鼓 励 替 代 Chinese oil import policies and reforms SINOPEC EDRI 2014.8 Chinese oil import policies and reforms 随 着 经 济 的 发 展, 目 前 中 国 石 油 消 费 总 量 已 经 跃 居 世 界 第 二 作 为 一 个 负 责 任 的 大 国, 中 国 正 在 积 极 推 进 能 源 进 口 多 元 化,

More information

PART 3. CONTACT INFORMATION 第 三 部 分, 联 系 方 式 Correspondence Address in English 英 文 通 讯 地 址 Postal Code 邮 编 Correspondence Address in Chinese (Only for

PART 3. CONTACT INFORMATION 第 三 部 分, 联 系 方 式 Correspondence Address in English 英 文 通 讯 地 址 Postal Code 邮 编 Correspondence Address in Chinese (Only for STUDENT S APPLICATION FORM 学 生 申 请 表 NATIONALITY 国 籍 Singapore 新 加 坡 Malaysia 马 来 西 亚 China 中 国 Others 其 他 : FOR OFFICIAL USE ONLY 学 院 内 部 填 写 Student ID No. 学 生 证 号 Date Received 收 到 日 期 Intake 入 学 时

More information

Mobvista Inc. 匯量科技有限公司 於開曼群島註冊成立的有限公司 全球發售 全球發售項下的發售股份數目 : 318,867,000 股 股 份 視 乎 超 額 配 股 權 行 使 情況而定 香港發售股份數目 : 31,888,000 股股份 國際發售股份數目 : 286,979,000 股

Mobvista Inc. 匯量科技有限公司 於開曼群島註冊成立的有限公司 全球發售 全球發售項下的發售股份數目 : 318,867,000 股 股 份 視 乎 超 額 配 股 權 行 使 情況而定 香港發售股份數目 : 31,888,000 股股份 國際發售股份數目 : 286,979,000 股 UBS AG 30 571 30 1 Mobvista Inc. 匯量科技有限公司 於開曼群島註冊成立的有限公司 全球發售 全球發售項下的發售股份數目 : 318,867,000 股 股 份 視 乎 超 額 配 股 權 行 使 情況而定 香港發售股份數目 : 31,888,000 股股份 國際發售股份數目 : 286,979,000 股 股 份 視 乎 超 額 配 股 權 行 使 情況而定 最終發售價

More information

K301Q-D VRT中英文说明书141009

K301Q-D VRT中英文说明书141009 THE INSTALLING INSTRUCTION FOR CONCEALED TANK Important instuction:.. Please confirm the structure and shape before installing the toilet bowl. Meanwhile measure the exact size H between outfall and infall

More information

MPF Privilege Flyer_2012_issue4_online_ver_R2

MPF Privilege Flyer_2012_issue4_online_ver_R2 Privileges for the clients of BOCI-Prudential Asset Management You may at anytime choose not to receive any marketing mailings from BOCI-Prudential Asset Management Limited. To make such arrangement, please

More information