General Announcement::NOTICE TO CERTIFICATEHOLDERS
Issuer & Securities
Issuer/ Manager
CINDAI CAPITAL LTD
Securities
CINDAI US$320.8M ETC230208 - XS1758433707 - 8HGB
Stapled Security
No
Announcement Details
Announcement Title
General Announcement
Date &Time of Broadcast
24-Aug-2020 21:32:25
Status
New
Announcement Sub Title
NOTICE TO CERTIFICATEHOLDERS
Announcement Reference
SG200824OTHRTGAM
Submitted By (Co./ Ind. Name)
NG EU GIN
Designation
SVP, Khazanah Nasional Berhad
Effective Date and Time of the event
24/08/2020 21:30:00
Description (Please provide a detailed description of the event in the box below)
Adjustments made to Exchange Property in respect of the Cash-Settled Exchangeable Trust Certificates due 2023 referencing H-shares of par value of RMB1.00 each of CITIC Securities Co. Ltd. ( CITIC ) ("CITIC Shares") issued by Cindai Capital Ltd ("Cindai") (the "Certificates")
Khazanah Nasional Berhad ("Khazanah"), acting in its capacity as Wakeel, on behalf of Cindai gives notice to Certificateholders (pursuant to Condition 7(h) of the Conditions of the Certificates (the "Conditions")) of adjustments to be made to the Exchange Property pursuant to the payment of a Capital Distribution in the form of a cash dividend by CITIC, as further described below.
Final Cash Dividend
On 19 March 2020, CITIC declared its final dividend of HKD0.5469 per CITIC Share for the year ended 31 December 2019 (the "Dividend"). The Dividend was paid on 21 August 2020.
Adjustment to Exchange Property
Pursuant to Condition 7(g)(2) of the Conditions of the Certificates, the Capital Distribution by way of a cash dividend payment by CITIC of HKD0.5469 per CITIC Share constitutes a Relevant Event and, accordingly, the cash attributable to the Exchange Property, being HKD51,675,294.10, shall be included as part of the Exchange Property. Consequently, the Exchange Property has been adjusted to 94,494,683 CITIC Shares and HKD135,202,392.49 in cash effective from 21 August 2020. The pro rata share of the Exchange Property attributable to each U.S.$1,000 Nominal Value of Certificates for the calculation of the Cash Settlement Amount has been revised to 294.5594 CITIC Shares and HKD421.45 in cash.
All capitalized terms not otherwise defined herein have the same meanings given to them in the Conditions.
This notice should be read in conjunction with CITIC s announcement to the Hong Kong Stock Exchange in respect of the Dividend dated 19 March 2020, Announcement of Poll Results of the 2019 AGM and Payment of the 2019 Final Dividend and Appointments of Non-Executive Director and Supervisor dated 23 June 2020 and the Conditions set out in the Offering Circular dated 5 February 2018 relating to the Certificates.
Attachments
Cindai_Announcement Exchange Property.pdf
Total size =107K
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