TIDMESG
RNS Number : 5639X
eServGlobal Limited
11 February 2013
Rule 2.7, 3.10.3, 3.10.4, 3.10.5
Appendix 3B
New issue announcement,
application for quotation of additional securities
and agreement
Information or documents not available now must be given to ASX
as soon as available. Information and documents given to ASX become
ASX's property and may be made public.
Introduced 01/07/96 Origin: Appendix 5 Amended 01/07/98,
01/09/99, 01/07/00, 30/09/01, 11/03/02, 01/01/03, 24/10/05,
01/08/12
Name of entity
eServGlobal Limited
--------------------------
ABN
59 052 947 743
----------------------
We (the entity) give ASX the following information.
Part 1 -- All issues
You must complete the relevant sections (attach sheets if there
is not enough space).
1 +Class of +securities Options
issued or to be
issued
Number of +securities
issued or to be
issued (if known)
or maximum number
2 which may be issued 1,600,000
3 Principal terms Exercise Price: 36 cents
of the +securities Exercise Date: 21 December
(eg, if options, 2014
exercise price Expiry Date: 21 December
and expiry date; 2017
if partly paid Issued under the Employee
+securities, the Share Option Plan approved
amount outstanding by shareholders on 28
and due dates March 2012 (ESOP)
for payment; if
+convertible securities,
the conversion
price and dates
for conversion)
----------------------------------
4 Do the +securities No.
rank equally in
all respects from
the date of allotment
with an existing
+class of quoted
+securities? The Options do not participate
in dividends or have
If the additional voting rights.
securities do
not rank equally,
please state:
* the date from which they do
* the extent to which they participate for the next
dividend, (in the case of a trust, distribution) or
interest payment
* the extent to which they do not rank equally, other
than in relation to the next dividend, distribution
or interest payment
----------------------------------
5 Issue price or Nil
consideration
----------------------------------
Purpose of the Issued under ESOP
issue
6 (If issued as
consideration
for the acquisition
of assets, clearly
identify those
assets)
-----------------------------------------------------
Is the entity No
an +eligible entity
6a that has obtained
security holder
approval under
rule 7.1A?
If Yes, complete
sections 6b -
6h in relation
to the +securities
the subject of
this Appendix
3B, and comply
with section 6i
-----------------------------------------------------
The date the security N/A
holder resolution
6b under rule 7.1A
was passed
-----------------------------------------------------
Number of +securities N/A
issued without
6c security holder
approval under
rule 7.1
-----------------------------------------------------
Number of +securities N/A
issued with security
6d holder approval
under rule 7.1A
-----------------------------------------------------
Number of +securities N/A
issued with security
6e holder approval
under rule 7.3,
or another specific
security holder
approval (specify
date of meeting)
-----------------------------------------------------
Number of securities N/A
issued under an
6f exception in rule
7.2
-----------------------------------------------------
If securities N/A
issued under rule
6g 7.1A, was issue
price at least
75% of 15 day
VWAP as calculated
under rule 7.1A.3?
Include the issue
date and both
values. Include
the source of
the VWAP calculation.
-----------------------------------------------------
If securities N/A
were issued under
6h rule 7.1A for
non-cash consideration,
state date on
which valuation
of consideration
was released to
ASX Market Announcements
-----------------------------------------------------
Calculate the N/A
entity's remaining
6i issue capacity
under rule 7.1
and rule 7.1A
- complete Annexure
1 and release
to ASX Market
Announcements
-----------------------------------------------------
7 Dates of entering 11 February 2013
+securities into
uncertificated
holdings or despatch
of certificates
Number +Class
-------------------------------- -------------------
Number and +class
of all +securities
quoted on ASX
(including the
securities in Fully Paid
8 section 2 if applicable) 249,045,997 Ordinary Shares
-------------------------------- -------------------
Number +Class
----------- ------------------
Options issued
under the
ESOP exercisable
for $0.36
on or after
14 May 2014
expiring 14
May 2017
Options issued
9,200,000 under the
Number and +class ESOP exercisable
of all +securities for $0.36
not quoted on on or after
ASX (including 21 December
the securities 2014 expiring
in section 2 if 21 December
9 applicable) 1,600,000 2017
----------- ------------------
10 Dividend policy N/A
(in the case of
a trust, distribution
policy) on the
increased capital
(interests)
-------------------------------
Part 2 -- Bonus issue or pro rata issue
Items 11 to 33 are not applicable
11 Is security holder
approval required?
12 Is the issue renounceable
or non-renounceable?
13 Ratio in which
the +securities
will be offered
14 +Class of +securities
to which the offer
relates
15 +Record date to
determine entitlements
16 Will holdings
on different registers
(or subregisters)
be aggregated
for calculating
entitlements?
17 Policy for deciding
entitlements in
relation to fractions
18 Names of countries
in which the entity
has +security
holders who will
not be sent new
issue documents
Note: Security
holders must be
told how their
entitlements are
to be dealt with.
Cross reference:
rule 7.7.
19 Closing date for
receipt of acceptances
or renunciations
20 Names of any underwriters
21 Amount of any
underwriting fee
or commission
22 Names of any brokers
to the issue
23 Fee or commission
payable to the
broker to the
issue
24 Amount of any
handling fee payable
to brokers who
lodge acceptances
or renunciations
on behalf of +security
holders
25 If the issue is
contingent on
+security holders'
approval, the
date of the meeting
26 Date entitlement
and acceptance
form and prospectus
or Product Disclosure
Statement will
be sent to persons
entitled
27 If the entity
has issued options,
and the terms
entitle option
holders to participate
on exercise, the
date on which
notices will be
sent to option
holders
28 Date rights trading
will begin (if
applicable)
29 Date rights trading
will end (if applicable)
30 How do +security
holders sell their
entitlements in
full through a
broker?
31 How do +security
holders sell part
of their entitlements
through a broker
and accept for
the balance?
32 How do +security
holders dispose
of their entitlements
(except by sale
through a broker)?
33 +Despatch date
Part 3 -- Quotation of securities
You need only complete this section if you are applying for
quotation of securities
34 Type of securities
(tick one)
(a) þ Securities described in Part 1
(b) All other securities
Example: restricted securities at the
end of the escrowed period, partly
paid securities that become fully paid,
employee incentive share securities
when restriction ends, securities issued
on expiry or conversion of convertible
securities
Entities that have ticked box 34(a)
Additional securities forming a new class of securities
Items 35 to 42 are not applicable
Tick to indicate you
are providing the information
or documents
35 If the +securities are +equity securities,
the names of the 20 largest holders
of the additional +securities, and
the number and percentage of additional
+securities held by those holders
36 If the +securities are +equity securities,
a distribution schedule of the additional
+securities setting out the number
of holders in the categories
1 - 1,000
1,001 - 5,000
5,001 - 10,000
10,001 - 100,000
100,001 and over
37 A copy of any trust deed for the additional
+securities
Entities that have ticked box 34(b)
38 Number of securities
for which +quotation
is sought
39 Class of +securities
for which quotation
is sought
---------
40 Do the +securities
rank equally in
all respects from
the date of allotment
with an existing
+class of quoted
+securities?
If the additional
securities do
not rank equally,
please state:
* the date from which they do
* the extent to which they participate for the next
dividend, (in the case of a trust, distribution) or
interest payment
* the extent to which they do not rank equally, other
than in relation to the next dividend, distribution
or interest payment
41 Reason for request
for quotation
now
Example: In the
case of restricted
securities, end
of restriction
period
(if issued upon
conversion of
another security,
clearly identify
that other security)
---------
Number +Class
------- ---------
42 Number and +class
of all +securities
quoted on ASX
(including the
securities in
clause 38)
------- ---------
Quotation agreement
1 +Quotation of our additional +securities is in ASX's absolute
discretion. ASX may quote the +securities on any conditions it
decides.
2 We warrant the following to ASX.
-- The issue of the +securities to be quoted complies with the
law and is not for an illegal purpose.
-- There is no reason why those +securities should not be granted +quotation.
-- An offer of the (+) securities for sale within 12 months
after their issue will not require disclosure under section 707(3)
or section 1012C(6) of the Corporations Act.
Note: An entity may need to obtain appropriate warranties from
subscribers for the securities in order to be able to give this
warranty
-- Section 724 or section 1016E of the Corporations Act does not
apply to any applications received by us in relation to any
+securities to be quoted and that no-one has any right to return
any +securities to be quoted under sections 737, 738 or 1016F of
the Corporations Act at the time that we request that the
+securities be quoted.
-- If we are a trust, we warrant that no person has the right to
return the +securities to be quoted under section 1019B of the
Corporations Act at the time that we request that the +securities
be quoted.
3 We will indemnify ASX to the fullest extent permitted by law
in respect of any claim, action or expense arising from or
connected with any breach of the warranties in this agreement.
4 We give ASX the information and documents required by this
form. If any information or document not available now, will give
it to ASX before +quotation of the +securities begins. We
acknowledge that ASX is relying on the information and documents.
We warrant that they are (will be) true and complete.
Sign here:
............................................................Date:
11 February 2013
Company secretary
Print name: Tom Rowe
== == == == ==
Appendix 3B - Annexure 1
Calculation of placement capacity under rule 7.1 and rule 7.1A
for (+) eligible entities
Introduced 01/08/12
This annexure is not applicable
Part 1
Rule 7.1 - Issues exceeding 15% of capital
-------------------------------------------------------------
Step 1: Calculate "A", the base figure from
which the placement capacity is calculated
-------------------------------------------------------------
Insert number of fully
paid ordinary securities
on issue 12 months
before date of issue
or agreement to issue
-------------------------------------------------------------
Add the following:
* Number of fully paid ordinary securities issued in
that 12 month period under an exception in rule 7.2
* Number of fully paid ordinary securities issued in
that 12 month period with shareholder approval
* Number of partly paid ordinary securities that became
fully paid in that 12 month period
Note:
* Include only ordinary securities here - other classes
of equity securities cannot be added
* Include here (if applicable) the securities the
subject of the Appendix 3B to which this form is
annexed
* It may be useful to set out issues of securities on
different dates as separate line items
-------------------------------------------------------------
Subtract the number
of fully paid ordinary
securities cancelled
during that 12 month
period
-------------------------------------------------------------
"A"
-------------------------------------------------------------
Step 2: Calculate 15% of "A"
----------------------------------------------------------------------------------------
"B" 0.15
[Note: this value cannot
be changed]
------------------------------------------------------------ --------------------------
Multiply "A" by 0.15
------------------------------------------------------------ --------------------------
Step 3: Calculate "C", the amount of placement
capacity under rule 7.1 that has already
been used
----------------------------------------------------------------------------------------
Insert number of equity
securities issued or
agreed to be issued
in that 12 month period
not counting those
issued:
* Under an exception in rule 7.2
* Under rule 7.1A
* With security holder approval under rule 7.1 or rule
7.4
Note:
* This applies to equity securities, unless
specifically excluded - not just ordinary securities
* Include here (if applicable ) the securities the
subject of the Appendix 3B to which this form is
annexed
* It may be useful to set out issues of securities on
different dates as separate line items
------------------------------------------------------------ --------------------------
"C"
------------------------------------------------------------ --------------------------
Step 4: Subtract "C" from ["A" x "B"] to
calculate remaining placement capacity under
rule 7.1
----------------------------------------------------------------------------------------
"A" x 0.15
Note: number must be
same as shown in Step
2
------------------------------------------------------------ --------------------------
Subtract "C"
Note: number must be
same as shown in Step
3
------------------------------------------------------------ --------------------------
Total ["A" x 0.15]
- "C" [Note: this is the
remaining placement
capacity under rule
7.1]
------------------------------------------------------------ --------------------------
Part 2
Rule 7.1A - Additional placement capacity
for eligible entities
----------------------------------------------------------------------------------------
Step 1: Calculate "A", the base figure from
which the placement capacity is calculated
----------------------------------------------------------------------------------------
"A"
Note: number must be
same as shown in Step
1 of Part 1
------------------------------------------------------------- -------------------------
Step 2: Calculate 10% of "A"
----------------------------------------------------------------------------------------
"D" 0.10
Note: this value cannot
be changed
------------------------------------------------------------- -------------------------
Multiply "A" by 0.10
------------------------------------------------------------- -------------------------
Step 3: Calculate "E", the amount of placement
capacity under rule 7.1A that has already
been used
----------------------------------------------------------------------------------------
Insert number of equity
securities issued or
agreed to be issued
in that 12 month period
under rule 7.1A
Notes:
* This applies to equity securities - not just ordinary
securities
* Include here - if applicable - the securities the
subject of the Appendix 3B to which this form is
annexed
* Do not include equity securities issued under rule
7.1 (they must be dealt with in Part 1), or for which
specific security holder approval has been obtained
* It may be useful to set out issues of securities on
different dates as separate line items
------------------------------------------------------------- -------------------------
"E"
------------------------------------------------------------- -------------------------
Step 4: Subtract "E" from ["A" x "D"] to
calculate remaining placement capacity under
rule 7.1A
-------------------------------------------------------
"A" x 0.10
Note: number must be
same as shown in Step
2
----------------------- ------------------------------
Subtract "E"
Note: number must be
same as shown in Step
3
----------------------- ------------------------------
Total ["A" x 0.10]
- "E" Note: this is the remaining
placement capacity
under rule 7.1A
----------------------- ------------------------------
This information is provided by RNS
The company news service from the London Stock Exchange
END
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