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3C.5e | | *Please state the extent to which the +securities do not rank equally: • in relation to the next dividend, distribution or interest payment; or • for any other reason | | |
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| | Answer this question if your response to Q3C.5a is “No”. | | |
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| | For example, the securities may not rank at all, or may rank proportionately based on the percentage of the period in question they have been on issue, for the next dividend, distribution or interest payment; or they may not be entitled to participate in some other event, such as an entitlement issue. | | |
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3C.6 | | Please attach a document or provide a URL link for a document lodged with ASX setting out the material terms of the +securities to be quoted | | |
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| | You may cross-reference a disclosure document, PDS, information memorandum, investor presentation or other announcement with this information provided it has been released to the ASX Market Announcements Platform. | | |
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3C.7 | | *Have you received confirmation from ASX that the terms of the +securities are appropriate and equitable under listing rule 6.1? | | |
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| | Answer this question only if you are an ASX Listing. (ASX Foreign Exempt Listings and ASX Debt Listings do not have to answer this question). | | |
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| | If your response is “No” and the securities have any unusual terms, you should approach ASX as soon as possible for confirmation under listing rule 6.1 that the terms are appropriate and equitable. | | |
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3C.8 | | *Provide a distribution schedule for the new +securities according to the categories set out in the left hand column – including the number of recipients and the total percentage of the new +securities held by the recipients in each category. |
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| | Number of +securities held | | Number of holders | | Total percentage of +securities held |
| | 1 – 1,000 | | | | |
| | 1,001 – 5,000 | | | | |
| | 5,001 – 10,000 | | | | |
| | 10,001 – 100,000 | | | | |
| | 100,001 and over | | | | |
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| | Answer this question only if you are an ASX Listing (ASX Foreign Exempt Listings and ASX Debt Listings do not have to answer this question) and the securities to be quoted have already been issued. Note: if the securities to be quoted have not yet been issued, under listing rule 3.10.5, you will need to provide to ASX a list of the 20 largest recipients of the new +securities, and the number and percentage of the new +securities received by each of those recipients, and a distribution schedule for the securities when they are issued. |
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3C.9a | | Ordinary fully or partly paid shares/units details |
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| | Answer the questions in this section if you selected this security type in your response to Question 3C.2. |
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| | *+Security currency | | |
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| | This is the currency in which the face amount of an issue is denominated. It will also typically be the currency in which distributions are declared. | | |
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| | *Will there be CDIs issued over the +securities? | | |