Prospectus Company Stock Exchange HKSCC

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1 Unless otherwise defined herein, terms used in this announcement shall have the same meanings as those defined in the prospectus dated 13th January, 2014 (the Prospectus ) issued by Magnum Entertainment Group Holdings Limited (the Company ). This announcement is for information purposes only and does not constitute an invitation or offer or an invitation to induce an offer by any person to acquire, purchase or subscribe for securities. 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 Offer. This announcement is not an offer of securities for sale in the United States. Securities may not be offered or sold in the United States except pursuant to registration or an exemption from registration requirements under the United States Securities Act of 1933, as amended. There will not and is not currently intended to be any public offering of securities in the United States. 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. In connection with the Global Offering, the Sole Global Coordinator, as stabilising manager, or any person acting for it (on behalf of the Underwriters and not as agent for the Company) may, to the extent permitted by applicable laws of Hong Kong or elsewhere, over-allocate or effect any other transactions with a view to stabilising or maintaining the market price of the at a level higher than that which might otherwise prevail in the open market for a limited period after the Listing Date. Any market purchases of will be effected in compliance with all applicable laws and regulatory requirements (including the Securities and Futures (Price Stabilising) Rules made under the Securities and Futures Ordinance (Cap. 571 of the Laws of Hong Kong)). However, there is no obligation on the stabilising manager or any person acting for it to conduct any such stabilising activity, which if commenced, will be done at the absolute discretion of the stabilising manager and may be discontinued at any time. Any such stabilising activity is required to be brought to an end on the 30th day after the last day for the lodging of Application Forms under the Hong Kong Public Offer. The details of the intended stabilization and how it will be regulated under the Securities and Futures Ordinance are set out in the section headed Structure of the Global Offering in the Prospectus. The number of being offered in the Global Offering will be increased by 12,600,000 additional (representing 15% of the Offer initially available under the Global Offering) if the Over-allotment Option granted to the International Underwriters by the Company exercisable by the Sole Global Coordinator on behalf of the International Underwriters to cover, over-allocations in the International Placing, which option is exercisable up to (and including) the date which is the 30th day from the last day for lodging applications under the Hong Kong Public Offer is fully exercised. In the event that such Over-allotment Option is exercised, an announcement will be made. Prospective investors of the Global Offering should note that the Sole Global Coordinator (on behalf of the Underwriters) is entitled to terminate the Underwriting Agreements upon the occurrence of any of the events set out in the sections headed Underwriting Underwriting Arrangements and Expenses Grounds for termination in the Prospectus, at any time prior to 8:00 a.m. (Hong Kong time) on the Listing Date (which is currently expected to be on Thursday, 23rd January, 2014). 1

2 Magnum Entertainment Group Holdings Limited (Incorporated in the Cayman Islands with limited liability) (Stock Code: 2080) GLOBAL OFFERING Number of Offer : 84,000,000 (subject to the Over-allotment Option) Number of Hong Kong Offer : 42,000,000 (as adjusted after reallocation) Number of International Placing : 42,000,000 (as adjusted after reallocation and subject to the Over-allotment Option) Offer Price : HK$1.50 per Offer Share plus brokerage of 1%, SFC transaction levy of 0.003% and Stock Exchange trading fee of 0.005% Nominal value : HK$0.01 per Share Stock code : 2080 Sole Sponsor Sole Global Coordinator and Sole Bookrunner Joint Lead Managers 2

3 ANNOUNCEMENT OF OFFER PRICE AND ALLOTMENT RESULTS SUMMARY The Offer Price has been determined at HK$1.50 per Offer Share (excluding brokerage of 1%, SFC transaction levy of 0.003% and the Stock Exchange trading fee of 0.005%). Based on the final Offer Price of HK$1.50 per Offer Share, the net proceeds from the Global Offering to be received by the Company are estimated to be approximately HK$99.7 million after deducting the underwriting fees and other expected expenses payable by the Company in relation to the Global Offering and assuming no exercise of the Over-allotment Option. A total of 104,578 valid applications were received for a total of 29,896,994,000 Hong Kong Offer, representing approximately 3,559.2 times of the total number of 8,400,000 Hong Kong Offer initially available under the Hong Kong Public Offer. Accordingly, the reallocation procedures as described in the section headed Structure of the Global Offering - Basis of Allocation of the Offer apply. As the number of validly applied for under the Hong Kong Public Offer is more than 100 times of the initial number of the Hong Kong Offer, a total of 33,600,000 Offer initially available under the International Placing have been reallocated to the Hong Kong Public Offer, so that the final number of under the Hong Kong Public Offer has been increased to 42,000,000, representing 50% of the Offer available under the Global Offering (before the exercise of the Over-allotment Option). The offered under the International Placing have been very significantly over-subscribed. As a result of the reallocation, the final number of under the International Placing is 42,000,000, representing 50% of the Offer available under the Global Offering (before the exercise of the Over-allotment Option). There has been a full over-allocation of 12,600,000 in the International Placing and such over-allocation is covered through the share lending arrangement under the Stock Borrowing Agreement between Rainbow Key and the Sole Global Coordinator. The settlement of such over-allocation will be effected by exercising the Over-allotment Option, which will be exercisable by the stabilising manager on behalf of the International Underwriters, or by making purchases in the secondary market at prices that do not exceed the Offer Price or a combination of these means. In the event the Over-allotment Option is exercised, an announcement will be made on the website of the Stock Exchange at and the Company s website at As at the date of this announcement, the Over-allotment Option has not been exercised. 3

4 The final Offer Price, the level of applications under the Hong Kong Public Offer and basis of allocation and the indication of the level of interest in the International Placing, will also be published on Wednesday, 22nd January, 2014 on the website of the Company at and the website of the Stock Exchange at and in the Hong Kong Economic Times (in Chinese). The Company announces that the results of allocations with the Hong Kong identity card/passport/hong Kong business registration numbers (where applicable) of wholly successful applicants and the number of the Hong Kong Offer successfully applied for under WHITE and YELLOW Application Forms or by applying online through the HK eipo White Form service or by giving electronic application instructions to HKSCC via CCASS will be 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 9:00 a.m. on Wednesday, 22nd January, 2014; from the designated results of allocations website at with a search by ID function on a 24-hour basis from 8:00 a.m. on Wednesday, 22nd January, 2014 to 12:00 midnight on Tuesday, 28th January, 2014; by telephone enquiry line by calling between 9:00 a.m. and 6:00 p.m. from Wednesday, 22nd January, 2014 to Monday, 27th January, 2014 (excluding Saturday and Sunday); and in the special allocation results booklets which will be available for inspection during opening hours from Wednesday, 22nd January, 2014 to Friday, 24th January, 2014 at all the receiving bank branches at the addresses as set out in the paragraph headed Results of allocations of this announcement. Share certificates (if applicable) and/or refund cheques/e-auto Refund payment instructions of application monies will be despatched on Wednesday, 22nd January, The despatch and collection of share certificates (if applicable) and/or refund cheques of application monies will be available at the times and dates and in the manner specified in the paragraph headed Despatch/collection of share certificates and refund of application monies of this announcement. 4

5 The Company will not issue any temporary s of title. No receipts will be issued for application monies paid. Share certificates will only become valid certificates of title, provided that the Global Offering has become unconditional in all respects and neither of the Underwriting Agreements has been terminated in accordance with its terms. For further information, please refer to the section headed Underwriting Underwriting Arrangements and Expenses Grounds for termination of the Prospectus. Assuming that the Global Offering becomes unconditional in all aspects at 8:00 a.m. on Thursday, 23rd January, 2014, dealings in the on the Stock Exchange are expected to commence at 9:00 a.m. on Thursday, 23rd January, will be traded in board lots of 2,000. The stock code of the is DETERMINATION OF THE OFFER PRICE The Offer Price has been determined at HK$1.50 per Offer Share (exclusive of brokerage of 1%, SFC transaction levy of 0.003% and the Stock Exchange trading fee of 0.005%). NET PROCEEDS OF THE GLOBAL OFFERING Based on the final Offer Price of HK$1.50 per Offer Share, the net proceeds from the Global Offering to be received by the Company are estimated to be approximately HK$99.7 million after deducting the underwriting fees and other expected expenses payable by the Company in relation to the Global Offering and assuming no exercise of the Over-allotment Option. The Company currently intends to use the net proceeds from the Global Offering as follows: Use of proceeds Approximate percentage of net proceeds in millions of HK$ Opening costs of Zentral 50% 49.9 Marketing purposes 20% 19.9 Researching of expansion plan in regions other than Hong Kong, including China and Southeast Asia regions 20% 19.9 Working capital and other general corporate purposes 10%

6 HONG KONG PUBLIC OFFER At the close of the applications lists at 12:00 noon on Thursday, 16th January, 2014, a total of 104,578 valid applications (taking into account all valid applications received pursuant to the Hong Kong Public Offer on WHITE and YELLOW Application Forms and through giving electronic application instructions to HKSCC via CCASS and HK eipo White Form Service Provider) were received for a total of 29,896,994,000 Hong Kong Offer, representing approximately 3,559.2 times of the total number of 8,400,000 Hong Kong Offer initially available under the Hong Kong Public Offer. As the number of validly applied for under the Hong Kong Public Offer is more than 100 times of the initial number of the Hong Kong Offer, a total of 33,600,000 Offer initially available under the International Placing have been reallocated to the Hong Kong Public Offer, so that the final number of under the Hong Kong Public Offer has been increased to 42,000,000, representing approximately 50% of the Offer available under the Global Offering (before the exercise of the Over-allotment Option). Of the 104,578 valid applications for a total of 29,896,994,000 Hong Kong Offer : a total of 100,908 valid applications for a total of 14,695,894,000 were for Hong Kong Offer with an aggregate subscription amount based on the maximum Offer Price of HK$1.50 per Offer Share (excluding brokerage of 1%, SFC transaction levy of 0.003% and Stock Exchange trading fee of 0.005%) of HK$5,000,000 or less (equivalent to approximately 3,499 times of the total number of 4,200,000 initially available for allocation in pool A of the Hong Kong Public Offer); and a total of 3,670 valid applications for a total of 15,201,100,000 were for Hong Kong Offer with an aggregate subscription amount based on the maximum Offer Price of HK$1.50 per Offer Share (excluding brokerage of 1%, SFC transaction levy of 0.003% and Stock Exchange trading fee of 0.005%) of more than HK$5,000,000 (equivalent to approximately 3,619.3 times of the total number of 4,200,000 initially available for allocation in pool B of the Hong Kong Public Offer). 55 applications have not been completed in accordance with the instructions on the Application Forms and have been rejected. 163 multiple application or suspected multiple application have been identified and have therefore been rejected. 91 6

7 applications were rejected due to bounced cheques or rejection of electronic payment instructions. No application for more than 50% of the Hong Kong Offer initially available for subscription under the Hong Kong Public Offer (that is more than 4,200,000 ) was identified. The Hong Kong Offer available for subscription and validly applied for were conditionally allocated on the basis set out the in paragraph Basis of allocation under the Hong Kong Public Offer below. INTERNATIONAL PLACING AND OVER-ALLOTMENT OPTION The offered under the International Placing have been very significantly over-subscribed. As a result of the reallocation, the final number of under the International Placing is 42,000,000, representing approximately 50% of the Offer available under the Global Offering (before the exercise of the Over-allotment Option). There has been an over-allocation of 12,600,000 in the International Placing and such over-allocation is covered through the share lending arrangement under the Stock Borrowing Agreement between Rainbow Key and the Sole Global Coordinator. The settlement of such over-allocation will be effected by exercising the Over-allotment Option, which will be exercisable by the stabilising manager on behalf of the International Underwriters, or by making purchases in the secondary market at prices that do not exceed the Offer Price or a combination of these means. In connection with the Global Offering, the Company has granted the Over-allotment Option to the International Underwriters, exercisable at the discretion of the Sole Global Coordinator within 30 days from the last day for the lodging of Application Forms under the Hong Kong Public Offer to require the Company to allot and issue up to an aggregate of 12,600,000 additional, representing 15% of the initial number of Offer, at the Offer Price. In the event the Over-allotment Option is exercised, an announcement will be made on the website of the Stock Exchange at and the Company s website at As at the date of this announcement, the Over-allotment Option has not been exercised. The Directors confirm that no Offer have been allocated to applicants who are: (i) Directors or existing beneficial owners of the Company and/or any of its subsidiaries; (ii) connected persons of the Company; or (iii) the associates of (i) or (ii) whether in their own name or through nominees. None of the Sole Sponsor, Underwriters and their respective affiliated companies and connected clients (as set out in Appendix 6 to the Listing Rules) has taken up any for its own benefit under the International Placing. 7

8 The Directors confirm that the International Placing is in compliance with the placing guidelines for equity securities as set out in Appendix 6 to the Listing Rules and no placee will, individually, be placed more than 10% of the enlarged issued share capital of the Company immediately after the Global Offering. As such, the Directors confirm that there will not be any new substantial Shareholder immediately after the Global Offering, and the number of in public hands will satisfy the minimum percentage prescribed by Rule 8.08 of the Listing Rules. BASIS OF ALLOCATION UNDER THE HONG KONG PUBLIC OFFER Subject to the satisfaction of the conditions set out in the section headed Structure of the Global Offering Conditions of the Hong Kong Public Offer of the Prospectus, valid applications made by the public on WHITE and YELLOW Application Forms and by electronic application instructions given to HKSCC via CCASS or HK eipo White Form Service Provider will be conditionally on the basis set out below: Pool A Number of applied for Number of valid applications Basis of allocation/ballot Approximate allocation percentage of the total number of applied for 2,000 21, out of 21,816 applicants to receive 2,000 shares 1.00% 4,000 6, out of 6,085 applicants to receive 2,000 shares 0.81% 6,000 4, out of 4,976 applicants to receive 2,000 shares 0.60% 8,000 2, out of 2,325 applicants to receive 2,000 shares 0.51% 10,000 6, out of 6,749 applicants to receive 2,000 shares 0.42% 12,000 1, out of 1,593 applicants to receive 2,000 shares 0.37% 14,000 1, out of 1,149 applicants to receive 2,000 shares 0.32% 16, out of 823 applicants to receive 2,000 shares 0.29% 18,000 1, out of 1,012 applicants to receive 2,000 shares 0.26% 20,000 8, out of 8,448 applicants to receive 2,000 shares 0.24% 30,000 3, out of 3,770 applicants to receive 2,000 shares 0.18% 40,000 3, out of 3,063 applicants to receive 2,000 shares 0.17% 50,000 2, out of 2,564 applicants to receive 2,000 shares 0.16% 60,000 2, out of 2,381 applicants to receive 2,000 shares 0.15% 70,000 1, out of 1,979 applicants to receive 2,000 shares 0.15% 80,000 1, out of 1,897 applicants to receive 2,000 shares 0.15% 90, out of 789 applicants to receive 2,000 shares 0.15% 100,000 6, out of 6,860 applicants to receive 2,000 shares 0.14% 150,000 3, out of 3,382 applicants to receive 2,000 shares 0.14% 200,000 4, out of 4,509 applicants to receive 2,000 shares 0.14% 8

9 Number of applied for Number of valid applications Basis of allocation/ballot Approximate allocation percentage of the total number of applied for 250,000 1, out of 1,166 applicants to receive 2,000 shares 0.14% 300,000 2, out of 2,228 applicants to receive 2,000 shares 0.14% 350, out of 829 applicants to receive 2,000 shares 0.14% 400,000 1, out of 1,275 applicants to receive 2,000 shares 0.14% 450, out of 400 applicants to receive 2,000 shares 0.14% 500,000 1, out of 1,771 applicants to receive 2,000 shares 0.14% 600,000 1, out of 1,059 applicants to receive 2,000 shares 0.14% 700,000 1, out of 1,025 applicants to receive 2,000 shares 0.14% 800, out of 596 applicants to receive 2,000 shares 0.14% 900, out of 324 applicants to receive 2,000 shares 0.14% 1,000,000 1,886 1,311 out of 1,886 applicants to receive 2,000 shares 0.14% 1,500, ,000 shares plus 29 out of 805 applicants to receive 0.14% an additional 2,000 shares 2,000, ,000 shares plus 134 out of 743 applicants to receive 0.12% an additional 2,000 shares 2,500, ,000 shares plus 59 out of 212 applicants to receive 0.10% an additional 2,000 shares 3,000, ,000 shares plus 217 out of 419 applicants to receive an additional 2,000 shares 0.10% TOTAL 100,908 Pool B Number of applied for Number of valid applications Basis of allocation/ballot Approximate allocation percentage of the total number of applied for 3,500, ,000 shares plus 105 out of 251 applicants to receive an additional 2,000 shares 4,000, ,000 shares plus 142 out of 186 applicants to receive an additional 2,000 shares 4,200,000 3,233 4,000 shares plus 2,913 out of 3,233 applicants to receive an additional 2,000 shares 0.14% 0.14% 0.14% TOTAL 3,670 9

10 RESULTS OF ALLOCATIONS The final Offer Price, the level of applications under the Hong Kong Public Offer and basis of allocation and the indication of the level of interest in the International Placing, will also be published on Wednesday, 22nd January, 2014 on the website of the Company at and the website of the Stock Exchange at and the Hong Kong Economic Times (in Chinese). The Company announces that the results of allocations with the Hong Kong identity card/passport/hong Kong business registration numbers (where applicable) of wholly successful applicants and the number of the Hong Kong Offer successfully applied for under WHITE and YELLOW Application Forms or by applying online through the HK eipo White Form service or by giving electronic application instructions to HKSCC via CCASS will be 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 9:00 a.m. on Wednesday, 22nd January, 2014; from the designated results of allocations website at result with a search by ID function on a 24-hour basis from 8:00 a.m. on Wednesday, 22nd January, 2014 to 12:00 midnight on Tuesday, 28th January, 2014; by telephone enquiry line by calling between 9:00 a.m. and 6:00 p.m. from Wednesday, 22nd January, 2014 to Monday, 27th January, 2014 (excluding Saturday and Sunday); 10

11 in the special allocation results booklets which will be available for inspection during opening hours from Wednesday, 22nd January, 2014 to Friday, 24th January, 2014 at all the receiving bank branches at the addresses as set out below: Bank of Communications Co., Ltd. Hong Kong Branch District Branch Name Address Hong Kong Island Hong Kong Branch King s Road Sub-Branch North Point Sub-Branch 20 Pedder Street, Central King s Road King s Road, North Point Kowloon Mongkok Sub-Branch Shops A & B, G/F., Hua Chiao Commercial Centre, 678 Nathan Road Jordan Road Sub-Branch 1/F., Booman Building, 37U Jordan Road New Territories Yuen Long Sub-Branch Shop B-F, G/F., 2-14 Tai Fung Street The Bank of East Asia, Limited District Branch Name Address Hong Kong Island Main Branch Causeway Bay Branch Queen s Road East Branch 10 Des Voeux Road Central, Hong Kong 46 Yee Wo Street Ground Floor Shop B & C, 228 Queen s Road East, Wanchai Kowloon Prince Edward Branch G/F, Hanley House, Nathan Road Kwun Tong Branch East Tsim Sha Tsui Branch 7 Hong Ning Road Shop G3 - G5, G/F, East Ocean Centre, 98 Granville Road, Tsim Sha Tsui New Territories Tsuen Wan Branch Sha Tsui Road Shatin Plaza Branch Shop 3-4,Level 1, Shatin Plaza 11

12 Industrial and Commercial Bank of China (Asia) Limited District Branch Name Address Hong Kong Sheung Wan Branch Shop F, G/F, Kai Tak Commercial Building, Des Voeux Road Central, Sheung Wan Kowloon Mongkok Branch G/F., Belgian Bank Building, Nathan Road, Mongkok Tsim Sha Tsui Branch Shop 1&2, G/F, No Hankow Road, Tsimshatsui Ngau Tau Kok Branch Mei Foo Branch Shop Nos. G , G/F, Phase II, Amoy Plaza, 77 Ngau Tau Kok Road Branch Shop N95A, 1/F, Mount Sterling Mall, Mei Foo Sun Chuen New Territories Tai Po Branch Shop F, G/F, Mee Fat Building, No Tai Wing Lane, Tai Po 12

13 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 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 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 C ,000 C282498A 2,000 C ,000 C ,000 C ,000 C ,000 C ,000 C557058A 2,000 C ,000 C ,000 C ,000 CI ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D180483A 2,000 D206760A 2,000 D ,000 D ,000 D ,000 D261368A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D448965A 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 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 E829564A 2,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 G ,000 G ,000 G ,000 1 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 G611306A 2,000 G ,000 G ,000 G ,000 G701152A 2,000 G ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 H ,000 K ,000 K019753A 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 K374731A 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 K990378A 2,000 P ,000 P ,000 P320154A 2,000 P ,000 P ,000 P ,000 P542144A 2,000 P ,000 P ,000 R ,000 R ,000 R ,000 Y002594A 2,000 Y ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z325120A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z689067A 2,000 Z ,000 Z759697A 2,000 Z ,000 Z ,000 Z ,000

14 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 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 / G A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A ,000 A831421A 2,000 A ,000 A ,000 A ,000 A931454A 2,000 A ,000 A998281A 2,000 A ,000 B ,000 B ,000 B ,000 B ,000 B ,000 BA ,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 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 D443216A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D681552A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E310692A 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 E831864A 2,000 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 G103966A 2,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G ,000 G362912A 2,000 G ,000 G ,000 G ,000 1 G ,000 G ,000 G459687A 2,000 G ,000 G ,000 G ,000 G ,000 G548532A 2,000 G ,000 G ,000 G627473A 2,000 G ,000 G ,000 G ,000 G ,000 H ,000 H ,000 H ,000 H ,000 H394723A 2,000 H ,000 K ,000 K ,000 K044152A 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 M156048A 2,000 P ,000 P ,000 P ,000 P ,000 P ,000 R ,000 R ,000 V ,000 V ,000 XD829999A 2,000 Y ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z376617A 2,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000 Z ,000

15 Results of Applications Made by Giving Electronic Application Instructions To HKSCC via CCASS 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, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , ,000

16 Results of Applications Made by Giving Electronic Application Instructions To HKSCC via CCASS 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 2, C 2, C 2, C 2, C 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , X 2, , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , , ,000

17 Results of Applications Made by Giving Electronic Application Instructions To HKSCC via CCASS 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, , , ,000 A ,000 A ,000 A ,000 A ,000 A ,000 3 A ,000 / K A ,000 A ,000 A265658/D 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 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 ,000 A ,000 A866098(3 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 A ,000 A954975A 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 A ,000 AUAA063 2,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B ,000 B497032/E 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 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 C385050A 2,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C ,000 C480658A 2,000 C ,000 C ,000 C502707A 2,000 C ,000 C ,000

18 Results of Applications Made by Giving Electronic Application Instructions To HKSCC via CCASS 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 CI: ,000 CT ,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 D169080A 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 D359051(9 2,000 D ,000 D363222A 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 D ,000 D ,000 D ,000 D ,000 D575859A 2,000 D ,000 D597179A 2,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D ,000 D804380A 2,000 D ,000 D A 2,000 D ,000 D ,000 D ,000 D859234A 2,000 D ,000 E ,000 E ,000 E ,000 E ,000 E119970A 2,000 E ,000 E142844A 2,000 E ,000 E ,000 E ,000 / E307825A E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 4 E ,000 E ,000 E ,000 E ,000 E255837(1 2,000 E ,000 E263289A 2,000 E275152A 2,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E ,000 E366745A 6,000 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 E628070A 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 B 2,000 E ,000 E831363A 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 E895774A 2,000 E ,000 E ,000 E ,000 E A 2,000 E ,000 E ,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 G056163A 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 G253883A 2,000 G ,000

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