Monthly Return of Equity Issuer on Movements in Securities

For the month ended (dd/mm/yyyy) :

30/04/2019

To : Hong Kong Exchanges and Clearing Limited

Name of Issuer

Green International Holdings Limited

Date Submitted

03/05/2019

I. Movements in Authorised Share Capital

1. Ordinary Shares

(1) Stock code :

2700

Description :

Ordinary Shares

Par value

Authorised share

No. of ordinary

(State

capital

shares

currency)

(State currency)

Balance at close of preceding month

5,000,000,000*

HK$0.04

HK$200,000,000

Increase/(decrease)

Nil

Nil

Balance at close of the month

5,000,000,000

HK$0.04

HK$200,000,000

(2) Stock code :

N/A

Description :

Par value

Authorised share

No. of ordinary

(State

capital

shares

currency)

(State currency)

Balance at close of preceding month

Increase/(decrease)

Balance at close of the month

2. Preference Shares

Stock code :

N/A

Description :

Par value

Authorised share

No. of preference

(State

capital

shares

currency)

(State currency)

Balance at close of preceding month

Increase/(decrease)

Balance at close of the month

3. Other Classes of Shares

Stock code :

N/A

Description :

Par value

Authorised share

No. of other

(State

capital

classes of shares

currency)

(State currency)

Balance at close of preceding month

Increase/(decrease)

Balance at close of the month

Total authorised share capital at the end of the month (State

HK$200,000,000

currency) :

II. Movements in Issued Share Capital

No. of ordinary shares

No of preference

No. of other classes

(1)

(2)

shares

of shares

Balance at close of

718,549,164

shares of

preceding month

HK$0.04 each*

--

--

--

Increase/ (decrease)

754,716,981

Shares of

during the month

HK$0.04 each

--

--

Balance at close of the

1,473,266,145

shares of

month

HK$0.04 each

--

--

--

III. Details of Movements in Issued Share Capital

Share Options (under Share Option Schemes of the Issuer)

Particulars of share

No. of new shares of

No. of new shares of

option scheme

issuer issued during

issuer which may be

including EGM

the month pursuant

issued pursuant thereto

approval date

Movement during the month

thereto

as at close of the month

(dd/mm/yyyy) and

class of shares

issuable

Granted

Exercised

Cancelled

Lapsed

1.Share options

with exercise

price of

HK$1.28# eachgranted on 11

May 2012

under the shareoption scheme

adopted on

2September 2006 and refreshed on 4 September 2015

(04/09/2015 )

Ordinary shares

0

0

0

0

0

3,500,000

(Note 1)

2.

( / /

)

shares

(Note 1)

Total A.

(Ordinary shares)

N/A

(Preference shares)

N/A

(Other class)

N/A

Total funds raised during the month from exercise of

N/A

options (State currency)

Warrants to Issue Shares of the Issuer which are to be Listed

No. of new

No. of new

shares of

shares of

issuer issued

issuer which

during the

may be issued

month

pursuant

Currency of Nominal value at

Exercised

Nominal value

pursuant

thereto as at

Description of warrants

nominal

close of

during the

at close of the

thereto

close of the

(Date of expiry - dd/mm/yyyy)

value

preceding month

month

month

month

1. N/A

( / / ) Stock code (if listed) Class of shares issuable (Note 1) Subscription price EGM approval date (if applicable) (dd/mm/yyyy)

2.

( / / ) Stock code (if listed) Class of shares issuable (Note 1) Subscription price EGM approval date (if applicable) (dd/mm/yyyy)

3.

( / / ) Stock code (if listed) Class of shares issuable (Note 1) Subscription price EGM approval date (if applicable) (dd/mm/yyyy)

4.

( / / ) Stock code (if listed) Class of shares issuable (Note 1) Subscription price EGM approval date (if applicable) (dd/mm/yyyy)

(

/

/

)

(

/

/

)

(

/

/

)

(

/

/

)

Total B. (Ordinary shares)

N/A

(Preference shares)

N/A

(Other class)

N/A

Convertibles (i.e. Convertible into Shares of the Issuer which are to be Listed)

No. of new

No. of new

shares of

shares of

issuer issued

issuer which

during the

may be issued

month

pursuant

pursuant

thereto as at

Currency of

Amount at close

Converted

Amount at

thereto

close of the

amount

of preceding

during the

close of the

month

Class and description

outstanding

month

month

month

1.Convertible bonds which bear interest at 8% p.a., were issued on 15 April 2016 and

maturing on 15 April 2019

(Qianhai CB)

HK$

12,000,000

0

0

0

0

Stock code (if listed)

N/A

Class of shares

Ordinary

issuable (Note 1)

Subscription price

HK$1.20**

EGM approval date

(if applicable)

(dd/mm/yyyy))

( / /

)

2.Convertible bonds which bear no interest were issued on 31 January 2018 and

maturing on 30 April 2019

(2nd Ample Reach CB)

HK$

0

0

0

0

0

Stock code (if listed)

N/A

Class of shares

Ordinary

issuable (Note 1)

Subscription price

HK$0.70**

EGM approval date

(if applicable)

(dd/mm/yyyy)

(

/

/

)

3. Convertible bonds which

bear no interest were issued

on 31 January 2018 and

maturing on 30 September

2019

(3rd Ample Reach CB)

HK$

13,671,875

0

13,671,875

0

19,531,250

Stock code (if listed)

N/A

Class of shares

Ordinary

issuable (Note 1)

Subscription price

HK$0.70**

EGM approval date

(if applicable)

(dd/mm/yyyy)

(

/

/

)

4.Convertible bonds which bear interest at 3% p.a. were issued on 23 March 2018

and maturing on 23

March 2020

(HK Yinger CB)

HK$

120,000,000

0 120,000,000

0 176,470,588

Stock code (if listed)

N/A

Class of shares

Ordinary

issuable (Note 1)

Subscription price

HK$0.68**

EGM approval date

(if applicable)

(19/03/2018)

(dd/mm/yyyy)

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Green International Holdings Limited published this content on 05 May 2019 and is solely responsible for the information contained herein. Distributed by Public, unedited and unaltered, on 05 May 2019 12:02:02 UTC