Unless otherwise defined herein, capitalised terms used in this announcement shall have the same respective meanings as defined in the Prospectus.

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Transcription:

This announcement is for information purposes only and does not constitute an invitation or offer to acquire, purchase or subscribe for securities. Prospective investors should read the prospectus dated 28 June 2018 (the Prospectus ) issued by Hingtex Holdings Limited (the Company ) for detailed information about the Placing and the Public Offering (collectively, the Share Offer ) described below before deciding whether or not to invest in the Offer. 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. This announcement is not for release, publication, distribution, directly or indirectly, in or into the United States (including its territories, its possessions and all states subject to its jurisdiction). This announcement does not constitute or form a part of any offer or solicitation to purchase or subscribe for securities in the United States or any other jurisdictions. The Offer have not been, and will not be, registered under the United States Securities Act of 1933, as amended from time to time (the U.S. Securities Act ) or any state securities law of the United States. The securities may not be offered or sold in the United States except pursuant to registration or an exemption from, or in a transaction not subject to, the registration requirements of the U.S. Securities Act and any applicable state or local securities law. There will be no public offer of securities in the United States. The Offer are being offered and sold outside the United States as offshore transactions in accordance with Regulation S under the U.S. Securities Act. In connection with the Share Offer, Shenwan Hongyuan Capital (H.K.) Limited, as the stabilising manager (the Stabilising Manager ), its affiliates or any person acting for it, on behalf of the Underwriters, may effect transactions with a view to stabilising or supporting the market price of the at a level higher than that which might otherwise prevail in an open market for a limited period after the Listing Date. However, there is no obligation on the Stabilising Manager, its affiliates or any person acting for it, to conduct any such stabilising action, which, if commenced, will be conducted at the sole and absolute discretion of the Stabilising Manager, its affiliates or any person acting for it, 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 date for the lodging of applications under the Public Offering. Any market purchases of will be effected in compliance with all applicable laws and regulatory requirement. Such stabilisation action, if commenced, may be effected in all jurisdictions where it is permissible to do so, in each case in compliance with all applicable laws, rules and regulatory requirements, including the Securities and Futures (Price Stabilizing) Rules, as amended, made under the Securities and Futures Ordinance (Cap. 571 of the Laws of Hong Kong). Potential investors should be aware that stabilising action cannot be taken to support the price of the for longer than the stabilisation period which begins on the Listing Date and is expected to expire on Friday, 3 August 2018, being the 30th day after the last date for lodging of applications under the Public Offering. After this date, no further stabilising action may be taken, demand for and the price of the, could fall. Unless otherwise defined herein, capitalised terms used in this announcement shall have the same respective meanings as defined in the Prospectus. 1

HINGTEX HOLDINGS LIMITED 興紡控股有限公司 (Incorporated in the Cayman Islands with limited liability) SHARE OFFER Number of Offer : 160,000,000 Number of Public Offer : 16,000,000 Number of Placing : 144,000,000 Final Offer Price : HK$1.12 per Offer Share (exclusive of brokerage of 1%, SFC transaction levy of 0.0027% and Stock Exchange trading fee of 0.005%) Nominal Value : HK$0.01 per Share Stock Code : 1968 Sole Sponsor and Sole Global Coordinator Joint Bookrunners and Joint Lead Managers 2

ANNOUNCEMENT OF OFFER PRICE AND ALLOTMENT RESULTS SUMMARY Offer Price and Net Proceeds. The Offer Price has been determined at HK$1.12 per Offer Share (exclusive of brokerage of 1%, SFC transaction levy of 0.0027% and the Stock Exchange trading fee of 0.005%).. Based on the Offer Price of HK$1.12 per Offer Share and 160,000,000 Offer, the net proceeds from the Share Offer to be received by the Company after deducting underwriting fees and estimated expenses in connection with the Share Offer, are estimated to be approximately HK$147.0 million. The Company intends to apply such net proceeds in the manner set out in the paragraph headed Net Proceeds from the Share Offer below in this announcement. Applications under the Public Offering. A total of 6,052 valid applications have been received pursuant to the Public Offering on WHITE and YELLOW Application Forms and through giving electronic application instructions to HKSCC via CCASS for a total of 231,772,000 Public Offer, representing approximately 14.5 times of the 16,000,000 Public Offer initially available for subscription under the Public Offering.. As the over-subscription in the Public Offering is less than 15 times of the total number of Offer initially available under the Public Offering, no reallocation procedure as described in the section headed Structure and Conditions of the Share Offer The Public Offering Reallocation in the Prospectus has been applied and no Offer under the Placing have been reallocated to the Public Offering. The final number of Offer under the Public Offering is 16,000,000, representing 10% of the total number of Offer initially available under the Share Offer. Placing and Over-allotment Option. The Offer initially offered under the Placing have been slightly oversubscribed. The final number of Offer under the Placing is 144,000,000, representing 90% of the Offer initially available under the Share Offer.. A total of 166 placees have been the Placing, comprising (i) 145 placees each of whom have been 1,000,000 Placing or less, representing 41.2% of the total number of Placing in aggregate; and (ii) 21 placees each of whom have been over 1,000,000 Placing, representing 58.8% of the total number of Placing in aggregate. 3

. None of the Sole Sponsor, the Sole Global Coordinator, the Joint Bookrunners, the Joint Lead Managers and their respective affiliates, companies and connected clients of the lead broker or of any distributors (as defined in Appendix 6 to the Listing Rules) has taken up any Offer for its own benefit under the Share Offer.. The Directors confirm that no Offer Share under the Placing has been allocated to applicants who are (i) core connected persons of the Company, (ii) directors or existing shareholders or existing beneficial owners of the Company and/or any of the Company s subsidiaries or (iii) the respective close associates of (i) and/or (ii) above (whether in their own names or through nominees) within the meaning of the Listing Rules. The Placing is in compliance with the placing guidelines for equity securities as set out in Appendix 6 to the Listing Rules. The Directors confirm that no placee will, individually, be placed more than 10% of the enlarged issued share capital of the Company immediately after the Share Offer. The Directors confirm that none of the placees under the Placing will become a substantial shareholder (as defined under the Listing Rules) of the Company immediately after the Placing and the number of to be held by the public will satisfy the minimum percentage prescribed by Rule 8.08(1) of the Listing Rules. The Directors further confirm that there will be at least 300 Shareholders at the time of the Listing in compliance with Rule 8.08(2) of the Listing Rules; and that the three largest public shareholders of the Company do not hold more than 50% of the held in public hands at the time of the Listing in compliance with Rules 8.08(3) and 8.24 of the Listing Rules.. In connection with the Share Offer, the Company has granted the Over-allotment Option to the Placing Underwriters, which is exercisable by the Sole Global Coordinator (on behalf of the Placing Underwriters) until 30 days from the last day for lodging applications under the Public Offering (i.e. 3 August 2018), to require the Company to issue and allot up to an aggregate of 24,000,000 additional, representing 15% of the Offer initially available under the Share Offer, at the Offer Price to cover over-allocation in the Placing, if any. In the event that the Overallotment Option is exercised, an announcement will be made. The Sole Global Coordinator has confirmed to the Company that there has been no over-allocation of in the Placing. As at the date of this announcement, no Share has been borrowed by the Stabilising Manager under the Stock Borrowing Agreement and the Over-allotment Option will not be exercised. Results of Allocations In relation to the Public Offering, the Company announces that the results of allocations which will include the Hong Kong identity card/passport/hong Kong business registration numbers of successful applicants (where supplied) under the Public Offering 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 www.hwtextiles.com.hk and the Stock Exchange s website at www.hkexnews.hk by no later than 8:00 a.m. on Friday, 13 July 2018; 4

. from the designated results of allocations website at www.tricor.com.hk/ipo/result with a search by ID function on a 24-hour basis from 8:00 a.m. on Friday, 13 July 2018 to 12:00 midnight on Thursday, 19 July 2018;. by telephone enquiry line by calling 3691 8488 between 9:00 a.m. and 6:00 p.m. from Friday, 13 July 2018 to Wednesday, 18 July 2018 (excluding Saturday and Sunday); and. in the special allocation results booklets which will be available for inspection during opening hours from Friday, 13 July 2018 to Tuesday, 17 July 2018 at all designated branches of the receiving bank. Despatch/Collection of Share Certificates and Refund Monies. Applicants who have applied for 1,000,000 Public Offer or more on WHITE Application Forms and have provided all information required by their Application Forms, may collect their share certificate(s) in person from Tricor Investor Services Limited, at Level 22, Hopewell Centre, 183 Queen s Road East, Hong Kong, between 9:00 a.m. and 1:00 p.m. on Friday, 13 July 2018 or such other date as notified by the Company in the newspapers.. Share certificates for Public Offer to applicants using WHITE Application Forms which have applied for less than 1,000,000 Public Offer, are expected to be despatched to those entitled to the address specified in the relevant WHITE Application Forms by ordinary post at their own risk on or before Friday, 13 July 2018.. Wholly or partially successful applicants on YELLOW Application Forms will have their share certificate(s) issued in the name of HKSCC Nominees and deposited directly into CCASS for credit to their CCASS Investor Participant stock accounts or their designated CCASS Participant s stock accounts as instructed by the applicants in the YELLOW Application Forms on Friday, 13 July 2018 or upon contingency, on any other date determined by HKSCC or HKSCC Nominees.. Share certificates for Public Offer to applicants giving electronic application instructions to HKSCC via CCASS will be issued in the name of HKSCC Nominees and deposited into CCASS for credit to their CCASS Investor Participant stock accounts or their designated CCASS Participant s stock accounts as instructed by them electronically, on Friday, 13 July 2018, or upon contingency, on any other date determined by HKSCC or HKSCC Nominees.. Applicants applying through a designated CCASS Participant (other than a CCASS Investor Participant) using YELLOW Application Forms and by giving electronic application instructions to HKSCC via CCASS should check the number of Public Offer allocated to them and the amount of refund monies (if any) payable (if they applied by giving electronic application instructions to HKSCC via CCASS) with that CCASS Participant. 5

. Applicants on WHITE or YELLOW Application Forms who have applied for 1,000,000 Public Offer or more and have provided all information required by their WHITE or YELLOW Application Forms, may collect their refund cheque(s) (where applicable) in person from Tricor Investor Services Limited, at Level 22, Hopewell Centre, 183 Queen s Road East, Hong Kong between 9:00 a.m. and 1:00 p.m. on Friday, 13 July 2018.. Refund cheques for wholly or partially successful or unsuccessful applicants on WHITE or YELLOW Application Forms who have applied for less than 1,000,000 Public Offer, are expected to be despatched by ordinary post to the address specified on their Application Forms at their own risk on or before Friday, 13 July 2018.. For applicants who have applied by giving electronic application instructions to HKSCC to apply on their behalf, all refunds (if any) are expected to be credited to their designated bank accounts (if the applicants have applied as a CCASS Investor Participant) or the designated bank account of their broker or custodian on Friday, 13 July 2018.. Share certificates for the Offer will only become valid certificates of title at 8:00 a.m. on Monday, 16 July 2018, provided that (i) the Share Offer has become unconditional in all respects; and (ii) the right of termination as described in Underwriting Underwriting arrangements and expenses Public Offering Grounds for termination of the Prospectus has not been exercised.. The Company will not issue any temporary s of title in respect of the Offer or any receipt for sums paid on application for the Offer. Commencement of Dealings Assuming that the Share Offer becomes unconditional in all aspects at 8:00 a.m. on Monday, 16 July 2018, dealings in the on the Stock Exchange are expected to commence at 9:00 a.m. on Monday, 16 July 2018. The will be traded in board lots of 4,000 each. The stock code of the is 1968. OFFER PRICE The Offer Price has been determined at HK$1.12 per Offer Share (excluding brokerage of 1%, SFC transaction levy of 0.0027% and Stock Exchange trading fee of 0.005%). 6

NET PROCEEDS FROM THE SHARE OFFER Based on the Offer Price of HK$1.12 per Offer Share and 160,000,000 Offer, the net proceeds from the Share Offer to be received by the Company after deducting underwriting fees and estimated expenses in connection with the Share Offer (the Net Proceeds ), is estimated to be approximately HK$147.0 million. The Company intends to use the Net Proceeds from the Share Offer as follows: (i) approximately 95.3% or HK$140.1 million will be used to purchase production machinery and equipment including (i) weaving, slasher dyeing and shrinking lines for increasing our production capacity and efficiency; and (ii) ozone bleaching and washing machineries for enhancing our product development capability; (ii) approximately 2.2% or HK$3.2 million will be used to attend overseas and PRC fabric exhibitions for enhancing our market penetration and expanding our customer base; and (iii) approximately 2.5% or HK$3.7 million, will be used for general working capital and other general corporate purposes. Please refer to Future plans and use of proceeds of the Prospectus for more details of the Company s intended use of the net proceeds from the Share Offer. APPLICATIONS UNDER THE PUBLIC OFFERING The Offer initially offered under the Public Offering have been over-subscribed. At the close of the application lists at 12:00 noon on Wednesday, 4 July 2018, a total of 6,052 valid applications pursuant to the Public Offering on (i) WHITE and YELLOW Application Forms, and (ii) through giving electronic application instructions to HKSCC via CCASS, for a total of 231,772,000 Public Offer were received, representing approximately 14.5 times of 16,000,000 Public Offer initially available for subscription under the Public Offering. Out of the 6,052 valid applications for a total of 231,772,000 Public Offer, there were:. 6,024 valid applications for a total of 89,272,000 Public Offer with an aggregate subscription amount based on the maximum Offer Price of HK$1.40 (excluding brokerage of 1%, SFC transaction levy of 0.0027% and Stock Exchange trading fee of 0.005%) of HK$5 million or less (equivalent to approximately 11.2 times of the 8,000,000 Offer initially available for allocation in pool A of the Public Offering); and. 28 valid applications for a total of 142,500,000 Public Offer with an aggregate subscription amount based on the maximum Offer Price of HK$1.40 (excluding brokerage of 1%, SFC transaction levy of 0.0027% and Stock Exchange trading fee of 0.005%) of more than HK$5 million (equivalent to approximately 17.8 times of the 8,000,000 Offer initially available for allocation in pool B of the Public Offering). 7

One application has been rejected due to bounced cheque. No invalid application has been identified for not having been completed in accordance with the instructions on the Application Forms. Four multiple applications or suspected multiple applications have been identified. There was no application for more than 8,000,000 Public Offer (being 50% of the 16,000,000 Public Offer initially available under the Public Offering). As the over-subscription in the Public Offering is less than 15 times of the total number of Offer initially available under the Public Offering, no reallocation procedure as described in the section headed Structure and Conditions of the Share Offer The Public Offering Reallocation in the Prospectus has been applied and no Offer under the Placing have been reallocated to the Public Offering. The final number of Offer under the Public Offering is 16,000,000, representing 10% of the total number of Offer initially available under the Share Offer. The Offer offered in the Public Offering were conditionally allocated on the basis set forth in the paragraph headed Basis of Allotment under the Public Offering below in this announcement. PLACING AND OVER-ALLOTMENT OPTION The Offer initially offered under the Placing have been slightly over-subscribed. The final number of Offer under the Placing is 144,000,000, representing 90% of the total number of the Offer available under the Share Offer. A total of 166 placees have been the Placing, comprising (i) 145 placees each of whom have been 1,000,000 Placing or less, representing 41.2% of the total number of Placing in aggregate; and (ii) 21 placees each of whom have been over 1,000,000 Placing, representing 58.8% of the total number of Placing in aggregate. None of the Sole Sponsor, the Sole Global Coordinator, the Joint Bookrunners, the Joint Lead Managers and their respective affiliates, companies and connected clients of the lead broker or of any distributors (as defined in Appendix 6 to the Listing Rules) has taken up any Offer for its own benefit under the Share Offer. The Directors confirm that no Offer Share under the Placing has been allocated to applicants who are (i) core connected persons of the Company, (ii) directors or existing shareholders or existing beneficial owners of the Company and/or any of the Company s subsidiaries or (iii) the respective close associates of (i) and/or (ii) above (whether in their own names or through nominees) within the meaning of the Listing Rules. The Placing is in compliance with the placing guidelines for equity securities as set out in Appendix 6 to the Listing Rules (the Placing Guidelines ) and no Offer placed by or through the Sole Global Coordinator and the Underwriters under the Share Offer have been placed with any core connected person (as such term is defined in the Listing Rules) of the Company or persons set out in paragraph 5 of the Placing Guidelines, whether in their own names or through nominees. No placee will, individually, be placed with more than 10% of the enlarged issued share capital of the Company immediately after the Share Offer. None of the placees under the Placing will become a substantial shareholder (as defined in the Listing Rules) of the Company after the Placing and the number of to be held by the public will satisfy the minimum percentage prescribed by Rule 8.08(1) of the Listing Rules. The Directors confirm that the three largest public shareholders of the Company do not hold more than 50% of the 8

held in public hands at the time of the Listing in compliance with Rules 8.08(3) and 8.24 of the Listing Rules. The Directors confirm that there will be at least 300 Shareholders at the time of the Listing in compliance with Rule 8.08(2) of the Listing Rules. In connection with the Share Offer, the Company has granted the Over-allotment Option to the Placing Underwriters, which is exercisable by the Sole Global Coordinator (on behalf of the Placing Underwriters) until 30 days from the last day for lodging applications under the Public Offering (i.e. 3 August 2018), to require the Company to issue and allot up to an aggregate of 24,000,000 additional, representing 15% of the Offer initially available under the Share Offer, at the Offer Price to cover over-allocation in the Placing, if any. In the event that the Over-allotment Option is exercised, an announcement will be made. The Sole Global Coordinator has confirmed to the Company that there has been no over-allocation of in the Placing. As at the date of this announcement, no Share has been borrowed by the Stabilising Manager under the Stock Borrowing Agreement and the Over-allotment Option will not be exercised. BASIS OF ALLOTMENT UNDER THE PUBLIC OFFERING Subject to the satisfaction of the conditions set out in Structure and Conditions of the Share Offer Conditions of the Share Offer of the Prospectus, valid applications made on WHITE and YELLOW Application Forms and through giving electronic application instructions to HKSCC via CCASS will be conditionally allocated on the basis set out below: Pool A Number of Public Offer applied for Number of valid applications Basis of allocation/ballot Approximate percentage allocated of the total number of Public Offer applied for 4,000 4,763 953 out of 4,763 applicants to receive 4,000 20.01% 8,000 181 60 out of 181 applicants to receive 4,000 16.57% 12,000 74 34 out of 74 applicants to receive 4,000 15.32% 16,000 85 42 out of 85 applicants to receive 4,000 12.35% 20,000 600 342 out of 600 applicants to receive 4,000 11.40% 24,000 12 8 out of 12 applicants to receive 4,000 11.11% 28,000 8 6 out of 8 applicants to receive 4,000 10.71% 32,000 51 39 out of 51 applicants to receive 4,000 9.56% 36,000 10 8 out of 10 applicants to receive 4,000 8.89% 40,000 63 51 out of 63 applicants to receive 4,000 8.10% 60,000 44 4,000 plus 1 out of 44 applicants to receive an 6.82% additional 4,000 80,000 27 4,000 plus 7 out of 27 applicants to receive an additional 4,000 6.30% 9

Number of Public Offer applied for Number of valid applications Basis of allocation/ballot Approximate percentage allocated of the total number of Public Offer applied for 100,000 11 4,000 plus 6 out of 11 applicants to receive an 6.18% additional 4,000 120,000 4 4,000 plus 3 out of 4 applicants to receive an 5.83% additional 4,000 140,000 40 4,000 plus 35 out of 40 applicants to receive an 5.36% additional 4,000 160,000 4 8,000 5.00% 180,000 1 8,000 4.44% 200,000 7 8,000 plus 1 out of 7 applicants to receive an 4.29% additional 4,000 300,000 8 12,000 plus 1 out of 8 applicants to receive an 4.17% additional 4,000 400,000 5 16,000 4.00% 500,000 4 16,000 plus 3 out of 4 applicants to receive an 3.80% additional 4,000 700,000 1 24,000 3.43% 800,000 5 24,000 plus 2 out of 5 applicants to receive an 3.20% additional 4,000 900,000 3 28,000 3.11% 1,000,000 7 28,000 plus 2 out of 7 applicants to receive an 2.91% additional 4,000 1,500,000 1 40,000 2.67% 2,000,000 1 48,000 2.40% 2,500,000 2 56,000 2.24% 3,000,000 2 60,000 2.00% TOTAL 6,024 10

Pool B Number of Public Offer applied for Number of valid applications Basis of allocation/ballot Approximate percentage allocated of the total number of Public Offer applied for 4,000,000 7 280,000 7.00% 4,500,000 3 280,000 6.22% 5,000,000 14 280,000 5.60% 7,000,000 1 296,000 4.23% 8,000,000 3 328,000 4.10% TOTAL 28 The final number of Public Offer available under the Public Offering is 16,000,000, representing 10% of the total number of the Offer available under the Share Offer. The final number of Placing available under the Placing is 144,000,000, representing 90% of the total number of the Offer available under the Share Offer. RESULTS OF ALLOCATIONS In relation to the Public Offering, the Company announces that the results of allocations which will include the Hong Kong identity card/passport/hong Kong business registration numbers of successful applicants (where supplied) under the Public Offering 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 www.hwtextiles.com.hk and the Stock Exchange s website at www.hkexnews.hk by no later than 8:00 a.m. on Friday, 13 July 2018;. from the designated results of allocations website at www.tricor.com.hk/ipo/result with a search by ID function on a 24-hour basis from 8:00 a.m. on Friday, 13 July 2018 to 12:00 midnight on Thursday, 19 July 2018;. by telephone enquiry line by calling 3691 8488 between 9:00 a.m. and 6:00 p.m. from Friday, 13 July 2018 to Wednesday, 18 July 2018 (excluding Saturday and Sunday); and 11

. in the special allocation results booklets which will be available for inspection during opening hours from Friday, 13 July 2018 to Tuesday, 17 July 2018 at the following branches of DBS Bank (Hong Kong) Limited, the receiving bank for the Public Offering: District Branch Name Address Hong Kong Island United Centre Branch Shops 1015 1018 on 1/F & Shops 2032 2034 on 2/F, United Centre, 95 Queensway, Admiralty Happy Valley Branch Kowloon Kowloon Bay SME Banking Centre G/F, 18A 22 King Kwong Street, Happy Valley Shop 6, G/F, Chevalier Commercial Centre, 8 Wang Hoi Road, Kowloon Bay, Kowloon New Territories Ma On Shan Branch Shops 205 206, Level 2, Ma On Shan Plaza, Ma On Shan Yuen Long Branch G/F, 1 5 Tai Tong Road, Yuen Long Applicants applying through their designated CCASS Participants (other than CCASS Investor Participants) can arrange with their designated CCASS Participants to advise them of the number of Offer allocated under their applications. Successful CCASS Investor Participants can check the number of Offer allocated to them via the CCASS Phone System and CCASS Internet System on Friday, 13 July 2018 or from the activity statement that will be made available by HKSCC to them showing the number of Public Offer credited to their CCASS Investor Participant stock accounts. The Company has announced the final Offer Price, the level of indication of interest in the Placing, the level of application in the Public Offering and the basis of allocation of the Public Offer on Friday, 13 July 2018 on the Stock Exchange s website at www.hkexnews.hk and the Company s website at www.hwtextiles.com.hk. 12

Results of Applications Made by WHITE Application Forms The followings are the identification numbers (where supplied) of wholly or partially successful applicants using WHITE Application Forms and the number of Public Offer conditionally to them. Applicants who have not provided their identification numbers are not shown. 以白色申請表格提出申請的配發結果以下為使用白色申請表格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公開發售股份數目 如申請人未有提供, 其結果將不會顯示 63933179 4,000 63933179 4,000 63933179 4,000 63933179 4,000 63933179 4,000 63933179 4,000 63933179 4,000 A9370644 8,000 C2347561 8,000 C4723234 4,000 D5175810 4,000 E4651344 4,000 E9101865 4,000 G3704431 4,000 G4226134 4,000 K4911431 4,000 L0056297 12,000 Z3109896 4,000 1

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 Public 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公開發售股份數目 如申請人未有提供, 其結果將不會顯示 E7137587 4,000 H3079556 4,000 K3486222 4,000 Z6153829 4,000 Z7560487 4,000 1

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 Public 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公開發售股份數目 如申請人未有提供, 其結果將不會顯示 00107148X 4,000 001161527 4,000 001225548 4,000 001251021 4,000 002071554 4,000 00209151X 4,000 002153121 4,000 002172116 4,000 002174520 4,000 003064114 4,000 003444000 8,000 004121738 4,000 004140710 4,000 005070152 4,000 005131212 4,000 005190473 4,000 005246723 4,000 005252530 4,000 005302213 4,000 006054536 4,000 006055935 4,000 00627005X 4,000 006294338 4,000 007121804 4,000 007240410 4,000 007294869 4,000 008183610 4,000 008265751 4,000 009080917 4,000 009091031 4,000 009243014 4,000 009252918 4,000 010048935 4,000 010102345 4,000 010123242 4,000 010123816 4,000 010191284 4,000 01027062X 4,000 01027627 4,000 01036410 4,000 01061008 4,000 011094230 4,000 01124152X 4,000 01125259 4,000 011293025 4,000 01153361 4,000 01153386 4,000 01191619 4,000 01192241 4,000 012100415 4,000 012129010 4,000 012186120 4,000 01222110X 4,000 012224215 4,000 01241029 4,000 01243352 4,000 01251765 4,000 01291831 4,000 019680002 4,000 02016031 4,000 02171718 4,000 02191242 4,000 02203527 4,000 0221303X 4,000 0300538 4,000 03061213 4,000 03103622 4,000 03122420 4,000 03128219 4,000 03234442 4,000 03242110 4,000 03250447 4,000 04010053 4,000 0405281X 4,000 04085213 4,000 0409231X 4,000 05 208319 8,000 05100068 4,000 05144141 4,000 05310017 4,000 06040016 4,000 06097528 4,000 06106715 4,000 06155817 4,000 06273224 4,000 06280021 4,000 06290968 4,000 06301226 4,000 0688943 4,000 07010027 4,000 07084062 4,000 07101516 4,000 07130499 4,000 0718401X 4,000 07200034 4,000 07210501 4,000 07220529 4,000 07225019 4,000 07260328 4,000 07301020 4,000 08152214 4,000 08163048 4,000 08172907 4,000 08244316 4,000 08263040 4,000 08282554 4,000 09 10832X 28,000 09016251 4,000 0912104X 4,000 09143523 4,000 09155333 4,000 09200018 4,000 09251832 4,000 09270014 4,000 09270070 4,000 09280513 4,000 10036022 4,000 101035915 4,000 1 101052029 4,000 10111232 4,000 101180520 4,000 1016101X 4,000 102061175 4,000 10210627 4,000 102241630 4,000 102274414 4,000 103026275 4,000 103115023 4,000 10313142X 4,000 103283247 4,000 105070305 4,000 105136120 4,000 106022048 4,000 106061718 4,000 106081718 4,000 106204260 4,000 10628005X 4,000 106302748 4,000 107053931 4,000 107096019 4,000 108013521 4,000 10824022X 4,000 108282016 4,000 109010419 4,000 109053013 4,000 109135076 4,000 109151528 4,000 109185960 4,000 109264120 4,000 110045527 4,000 110076237 4,000 11010519 280,000 11021110 4,000 11041815 4,000 11090045 4,000 111011597 4,000 11120018 4,000 11132028 4,000 11162667 4,000 11206121X 8,000 11208501X 4,000 112120443 4,000 11214152X 4,000 112302634 4,000 11242415 4,000 11295621 4,000 12 180040 4,000 12010044 4,000 12053817 4,000 12060076 4,000 12073021 4,000 12090419 4,000 12136423 4,000 12162026 4,000 121806733 4,000 12183917 4,000 12260126 4,000 12265225 4,000 12295512 4,000 13028119 4,000 13063619 4,000 13063619 4,000 13243719 4,000 13280119 4,000 14272919 4,000 15010519 4,000 15012119 4,000 15280119 4,000 15282219 4,000 201210039 4,000 201250285 4,000 202051018 4,000 202090425 4,000 202151063 4,000 202241014 4,000 203151454 4,000 20405281X 4,000 204060647 4,000 205240422 4,000 205245221 4,000 205295055 8,000 206033312 4,000 206200031 4,000 207140581 4,000 207182143 4,000 207210012 4,000 207285-S 4,000 207286-S 4,000 208034860 4,000 208062529 4,000 208110979 4,000 208180018 4,000 209010025 4,000 209104822 4,000 209115626 4,000 209171262 4,000 209276517 4,000 210033061 4,000 210200200 4,000 210245617 4,000 21028631 8,000 210503198 4,000 211020430 4,000 211073761 4,000 211136836 4,000 211209078 4,000 211252072 4,000 212096670 4,000 212182419 4,000 212235332 4,000 212244012 4,000 212262814 4,000 22010419 8,000 230102198 4,000 23102619 4,000 23102719 4,000

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 Public 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公開發售股份數目 如申請人未有提供, 其結果將不會顯示 23102719 4,000 254398936 4,000 255160020 4,000 262065001 4,000 262065002 8,000 262065003 4,000 262065004 4,000 262065005 4,000 262065006 4,000 262065007 4,000 262065008 28,000 262065009 32,000 262065010 56,000 262065011 56,000 264475153 4,000 267280758 4,000 290471804 4,000 291798C 4,000 293259C 16,000 293542C 4,000 294192C 4,000 294845C 4,000 296506C 4,000 301012014 4,000 30123344X 4,000 301266829 4,000 302044363 4,000 302221021 4,000 302230011 4,000 303303968 4,000 303310016 4,000 303917622 4,000 304121844 4,000 30428196X 4,000 304305034 4,000 305080360 4,000 305200912 4,000 305201569 4,000 305203516 4,000 305234574 4,000 305246616 4,000 305301737 4,000 306061945 4,000 306280436 4,000 30668170 12,000 307117510 4,000 307215433 4,000 307250546 4,000 307301021 4,000 308060214 4,000 308122021 4,000 308153075 4,000 308220460 4,000 308272218 4,000 308311838 4,000 30905682X 4,000 30916001X 4,000 309182525 4,000 309270543 4,000 31001045X 4,000 310042230 4,000 31006203X 4,000 31010119 4,000 31010119 4,000 31010419 4,000 31010519 4,000 31010519 4,000 31010719 4,000 31010719 4,000 31010719 4,000 31010719 4,000 31010819 8,000 310206005 4,000 31022519 4,000 31022519 4,000 31022619 4,000 310298933 4,000 311301140 4,000 31213285 12,000 312146823 4,000 312239426 4,000 312271537 4,000 312293025 4,000 31404817 4,000 32010219 4,000 32052019 4,000 320623198 4,000 32072119 4,000 33012319 4,000 33022419 4,000 33022419 4,000 33022619 4,000 33022619 4,000 33022619 4,000 33022619 4,000 33028319 4,000 33028319 4,000 330302196 4,000 33032619 8,000 33032719 8,000 33038219 4,000 33082519 4,000 33082519 4,000 33082519 4,000 340702197 4,000 34110219 4,000 34240119 4,000 350103198 4,000 35012719 8,000 35058119 4,000 35260119 4,000 359294030 4,000 360306202 4,000 36042819 4,000 36233019 4,000 36233019 4,000 36233119 4,000 371033218 4,000 2 37112219 4,000 37150219 24,000 37230119 4,000 37230119 4,000 39310599 48,000 401142635 4,000 402031316 4,000 402100062 4,000 402194078 4,000 403035469 4,000 403036311 4,000 40406102X 4,000 40410176X 4,000 404212921 4,000 404250613 4,000 404301589 4,000 405054517 4,000 405074317 4,000 405180067 4,000 405220636 4,000 405261833 4,000 40601201X 4,000 406240411 4,000 407038114 4,000 407161546 4,000 40717101X 4,000 407222540 4,000 407260416 4,000 407281918 4,000 408116424 4,000 408145034 4,000 408210019 4,000 409102088 4,000 409130131 4,000 409242112 4,000 410082119 4,000 410091488 4,000 410152458 4,000 410172040 4,000 410191547 4,000 41021227X 4,000 410232769 4,000 410235012 4,000 410290525 4,000 411021510 4,000 411050422 4,000 41110201X 4,000 41128005X 4,000 412307574 4,000 41272719 4,000 412829198 4,000 42010219 4,000 42010619 12,000 42010719 4,000 42052119 4,000 42052119 4,000 42052119 4,000 42108319 4,000 42130219 4,000 42272119 4,000 42272119 4,000 42900619 4,000 43010519 8,000 43010519 8,000 43012319 4,000 43052119 4,000 43052219 4,000 440102195 4,000 44010319 4,000 44010419 4,000 440104195 4,000 44010519 4,000 44010519 4,000 44010519 4,000 44011119 4,000 44011119 4,000 44020419 16,000 44030119 8,000 440301198 4,000 44030719 4,000 440508198 4,000 440509199 4,000 440528197 4,000 44068219 4,000 44088119 4,000 44098119 4,000 441202198 4,000 44130219 4,000 44130219 4,000 44130219 4,000 44152219 4,000 44152219 4,000 44162119 8,000 44162219 4,000 44188119 4,000 44190019 4,000 441900198 4,000 44282719 4,000 44522219 4,000 44522219 4,000 44522268 8,000 445224199 4,000 445224199 4,000 44532319 4,000 450325198 4,000 452402198 4,000 452425198 4,000 452723197 4,000 469003199 4,000 50010719 4,000 50022419 4,000 50023119 4,000 501051193 4,000 501199010 4,000 502122024 4,000 502155116 4,000 502165362 4,000 502204999 4,000

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 Public 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公開發售股份數目 如申請人未有提供, 其結果將不會顯示 502285638 4,000 502286825 4,000 503133620 4,000 503271202 4,000 503286435 4,000 504011522 4,000 504080046 4,000 504121539 4,000 504231030 4,000 505060829 4,000 505196840 4,000 506091341 4,000 506141732 4,000 507172113 4,000 50719072X 4,000 507260327 4,000 507283025 4,000 507291017 4,000 508165923 4,000 508220020 4,000 508266871 4,000 509121886 4,000 509154241 4,000 509261550 4,000 51010219 8,000 51010619 8,000 510202321 4,000 510202335 4,000 51020319 8,000 51022719 4,000 510280072 4,000 510298272 4,000 510813551 4,000 511073634 4,000 51122912X 4,000 512121515 4,000 512126838 4,000 512326198 4,000 52210119 4,000 522627199 4,000 532128199 4,000 601113920 4,000 601141260 4,000 601791-M 4,000 602104073 4,000 602160426 4,000 60228824X 4,000 603071722 4,000 604191720 4,000 604230280 4,000 605183629 4,000 605196845 4,000 60526022X 4,000 606117011 4,000 606225027 4,000 606260521 4,000 607012513 4,000 607023085 4,000 607115625 4,000 607260281 4,000 607295027 4,000 607300026 4,000 608061720 4,000 608130020 4,000 608143024 4,000 608200029 4,000 609083218 4,000 609198234 4,000 609265016 4,000 609281317 4,000 61010319 4,000 610135710 4,000 610300787 4,000 611041554 4,000 611101767 4,000 611231950 4,000 61129502X 4,000 612166918 4,000 621015006 4,000 62232219 4,000 63010519 4,000 701052038 4,000 701304824 4,000 702010625 4,000 702050619 4,000 702076368 4,000 702140728 4,000 702280610 4,000 702282330 4,000 70305233X 4,000 703192544 4,000 704070521 4,000 704112524 4,000 705161816 4,000 705182022 4,000 705254822 4,000 705271865 4,000 706261519 4,000 707092416 4,000 70712243X 4,000 707200026 4,000 707201522 4,000 707231726 4,000 707253415 4,000 708056327 4,000 708063016 4,000 708067983 4,000 708073725 4,000 708101826 4,000 708272046 4,000 709165110 4,000 710091811 4,000 710275717 4,000 711130023 4,000 711173027 4,000 712070045 4,000 712101476 4,000 712107019 4,000 3 712250013 4,000 773039001 296,000 773039002 20,000 773039003 8,000 773039005 280,000 773039006 280,000 773039007 280,000 773039008 280,000 773039009 328,000 773039010 280,000 773039011 280,000 773039012 280,000 776232043 12,000 801093553 4,000 801102024 4,000 80210182X 4,000 802250015 4,000 802291C 4,000 803035961 4,000 803048280 4,000 803296328 4,000 804021621 4,000 80402274X 4,000 804166867 4,000 804202028 4,000 805095439 4,000 805216525 4,000 805247517 4,000 805250415 4,000 806053544 4,000 806186621 4,000 806272019 4,000 807026878 4,000 807040764 4,000 807102519 4,000 807155029 4,000 807272520 4,000 808050235 4,000 808084824 4,000 808099204 4,000 809025528 4,000 809060028 4,000 809111222 4,000 809133010 4,000 80918213X 4,000 810073316 4,000 810121758 4,000 811010284 4,000 811070676 4,000 811171609 4,000 81122169X 4,000 812050777 4,000 812251598 4,000 901050544 4,000 901090538 4,000 901150635 4,000 901201711 4,000 901206714 4,000 901293711 4,000 902055751 4,000 902090011 4,000 903085970 4,000 903121810 4,000 903224837 4,000 903238826 4,000 903311911 4,000 904160010 4,000 904171525 4,000 90502481X 4,000 90511501X 8,000 906192134 4,000 907070522 4,000 907182021 4,000 90726052X 4,000 908074213 4,000 908074221 4,000 908156882 4,000 908185729 4,000 908261286 4,000 908270912 4,000 909051725 4,000 909080848 4,000 909195951 4,000 909222818 4,000 909243326 4,000 909266636 4,000 910026811 4,000 910074094 4,000 910086887 4,000 911119014 4,000 911120018 4,000 911126835 4,000 911145010 4,000 911272127 4,000 911292278 4,000 911296819 4,000 912010024 4,000 912082705 4,000 912112767 4,000 9791206 4,000 A7745810 4,000 A817826A 4,000 A9654502 4,000 B12266639 4,000 B2551344 4,000 B8547152 28,000 C2154623 4,000 C2809212 4,000 C2988338 4,000 C3225184 4,000 C3849935 4,000 C42570073 4,000 C427433 4,000 C5513179 4,000 C5759763 4,000 C651974 4,000 D0139689 4,000 D0414515 8,000

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 Public 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公開發售股份數目 如申請人未有提供, 其結果將不會顯示 D045523 4,000 D0954609 4,000 D1899784 4,000 D1993748 4,000 D2306698 4,000 D2425905 280,000 D2783275 4,000 D3095208 8,000 D3133029 24,000 D3250211 4,000 D3387993 16,000 D3409881 4,000 D4336616 4,000 D4772890 4,000 D5014124 4,000 D5316171 4,000 D608771 4,000 D6645853 4,000 D6734228 4,000 D7511729 4,000 D8015768 4,000 D8104035 4,000 D8152633 4,000 D8283215 4,000 D8326348 4,000 E22142087 4,000 E22338153 4,000 E240451A 8,000 E3046021 4,000 E3529235 8,000 E4086116 4,000 E4171644 8,000 E4890373 4,000 E59576540 4,000 E6071302 4,000 E612317 4,000 E7440883 4,000 E8334238 4,000 E8716939 4,000 E8809449 4,000 E9056878 4,000 E9217456 4,000 E9240474 4,000 G028203A 8,000 G0633711 4,000 G1881441 4,000 G210693A 4,000 G2457015 4,000 G272045 8,000 G3297348 4,000 G3564893 4,000 G3613975 4,000 G364417A 4,000 G433607A 4,000 G44608899 4,000 G4538659 4,000 G4540580 20,000 G4650254 4,000 G4724258 4,000 G5112159 4,000 G5317109 4,000 G5580918 4,000 G5849461 4,000 G6053164 4,000 G645763A 4,000 G6556824 4,000 G6565297 4,000 G6579042 4,000 G6856305 4,000 GS058021B 4,000 GS090590B 4,000 GS090903B 4,000 GS125510B 4,000 H0909019 4,000 H1111304 4,000 H114458A 4,000 H135084 4,000 H3241310 4,000 H3311246 28,000 H340944 4,000 H3891110 4,000 H407273 4,000 HA1758162 8,000 IS1783094 4,000 IS1862027 4,000 IS1913427 4,000 IS1982230 4,000 IS2191687 8,000 IS2392391 4,000 IS2429533 4,000 IS2747099 4,000 IS2901284 4,000 IS3043586 4,000 IS3373953 4,000 IS3453705 4,000 IS4155351 4,000 IS4339786 4,000 IS5168305 4,000 IS5326246 4,000 IS5637845 4,000 IS5650824 4,000 IS5708702 4,000 IS5959365 4,000 IS6145882 4,000 IS6148383 24,000 IS6310074 4,000 IS6346364 4,000 IS6539026 4,000 IS6979496 16,000 IS7140133 4,000 IS7583654 4,000 IS8444248 4,000 IS8479324 4,000 IS9564024 4,000 IS9712153 4,000 IS9765903 4,000 IS9783933 4,000 IS9868131 4,000 4 K0406937 4,000 K0489292 4,000 K067589A 4,000 K1128787 4,000 K1133403 4,000 K1245406 4,000 K161018A 8,000 K2141094 4,000 K234356 4,000 K242067 4,000 K2493810 4,000 K2664259 4,000 K3064107 4,000 K3143279 4,000 K321898 4,000 K3245322 4,000 K350781 4,000 K3733602 4,000 K412127 4,000 K4505174 4,000 K467930A 4,000 K5491150 4,000 K5597420 8,000 K572708 4,000 K6173918 4,000 K6376657 4,000 K668181 4,000 K6876676 280,000 K6913873 8,000 K6985343 4,000 K7254946 4,000 K777367 4,000 K8304432 4,000 K8392218 4,000 K8486255 4,000 K853508 4,000 K899154 4,000 K9022929 4,000 K9208151 4,000 K9401075 4,000 K9483918 8,000 K9510311 4,000 K951919A 4,000 K9771549 4,000 M0518285 8,000 M1218633 4,000 M3217766 4,000 M4657239 4,000 M6098741 4,000 P004933A 8,000 P0780115 4,000 P090699 4,000 P1463911 4,000 P1673185 8,000 P1673215 4,000 P2907252 4,000 P3010213 4,000 P3638751 4,000 P3901444 4,000 P412459A 8,000 P4165652 8,000 P457567 4,000 P596088A 4,000 P6352565 4,000 P6601751 4,000 P7301360 4,000 P7418349 4,000 P7621551 4,000 P7896119 8,000 P8429964 4,000 PN29031 4,000 PN29033 4,000 PN35001 4,000 PN35065 4,000 PN39002 4,000 PN67105 4,000 PN83050 4,000 PN83114 4,000 PN83115 4,000 R0270554 4,000 R12457029 4,000 R163910 4,000 R3039578 60,000 R3115517 4,000 R3860697 4,000 R3927155 4,000 R4577034 60,000 R5302691 4,000 R551673A 4,000 R5727943 4,000 R5792176 4,000 R6270742 4,000 R6322920 8,000 R6533182 4,000 R7395549 4,000 R7563492 4,000 R8398649 4,000 R8638925 4,000 R875187A 4,000 R8889553 16,000 R894354 4,000 R9332315 4,000 S20020811 4,000 S22357349 4,000 V0315389 4,000 V0318485 8,000 V0335673 4,000 V048008 4,000 V0492639 4,000 V0492973 4,000 V055376A 280,000 V0569046 8,000 V0671223 4,000 V0749753 8,000 V0820598 4,000 V0823643 4,000 V0838152 4,000 V0913170 4,000

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 Public 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公開發售股份數目 如申請人未有提供, 其結果將不會顯示 V0998796 4,000 V1068881 4,000 V1148443 4,000 W14977446 4,000 W20374996 4,000 W24460284 4,000 W27607655 4,000 W29899130 4,000 W38379724 4,000 W39108837 4,000 Y010940A 4,000 Y0185637 4,000 Y0216303 4,000 Y0451051 4,000 Y0684811 4,000 Y1168841 4,000 Y1322867 4,000 Y1490034 280,000 Y1550169 4,000 Y1962092 8,000 Y2371950 4,000 Y2545436 4,000 Y2563094 4,000 Y2747837 4,000 Y2934300 4,000 Y344918A 8,000 Y3636575 4,000 Y4038582 4,000 Y4947914 4,000 Y5016299 280,000 Y5027916 4,000 Y5338091 4,000 Y5364238 4,000 Y5463317 4,000 Y5536098 4,000 Y6249157 4,000 Z0208559 4,000 Z0371476 4,000 Z0641481 280,000 Z0989801 4,000 Z0997383 4,000 Z1103548 4,000 Z1124030 4,000 Z1202570 4,000 Z1435990 4,000 Z1686047 4,000 Z1760859 4,000 Z197798A 4,000 Z1984560 4,000 Z202112A 4,000 Z219900A 4,000 Z2280273 8,000 Z2385059 4,000 Z3016812 4,000 Z3024890 4,000 Z3149871 4,000 Z3425887 4,000 Z3549640 4,000 Z3572189 4,000 Z3699952 4,000 Z3791425 4,000 Z3872700 4,000 Z4278179 4,000 Z4349963 4,000 Z4367554 4,000 Z4662351 4,000 Z4872585 280,000 Z5100608 4,000 Z516865 4,000 Z5199302 4,000 Z5299897 16,000 Z5344256 4,000 Z5438862 4,000 Z615616A 4,000 Z6163484 4,000 Z6183248 4,000 Z6305696 4,000 Z6335471 4,000 Z7327774 4,000 Z763264A 8,000 Z7799161 4,000 Z7836601 4,000 Z8068314 4,000 Z807828A 4,000 Z812696 4,000 Z8196223 4,000 Z881363A 4,000 Z8828335 4,000 Z903219 4,000 Z9856081 4,000 5

DESPATCH/COLLECTION OF SHARE CERTIFICATES AND REFUND MONIES Applicants who have applied for 1,000,000 Public Offer or more on WHITE Application Forms and have provided all information required by their Application Forms, may collect their share certificate(s) in person from Tricor Investor Services Limited, at Level 22, Hopewell Centre, 183 Queen s Road East, Hong Kong, between 9:00 a.m. and 1:00 p.m. on Friday, 13 July 2018 or such other date as notified by the Company in the newspapers. If you do not collect your share certificate(s) personally within the time specified for collection, they will be despatched promptly to the address specified in your Application Form by ordinary post at your own risk. Share certificates for Public Offer to applicants using WHITE Application Forms, which have applied for less than 1,000,000 Public Offer are expected to be despatched to those entitled to the address specified in the relevant WHITE Application Forms by ordinary post at their own risk on or before Friday, 13 July 2018. Wholly or partially successful applicants on YELLOW Application Forms will have their share certificate(s) issued in the name of HKSCC Nominees and deposited directly into CCASS for credit to their CCASS Investor Participant stock accounts or their designated CCASS Participant s stock accounts as instructed by the applicants in the YELLOW Application Forms on Friday, 13 July 2018 or upon contingency, on any other date determined by HKSCC or HKSCC Nominees. Share certificates for Public Offer to applicants giving electronic application instructions to HKSCC via CCASS will be issued in the name of HKSCC Nominees and deposited into CCASS for credit to their CCASS Investor Participant stock accounts or their designated CCASS Participant s stock accounts as instructed by them electronically, on Friday, 13 July 2018, or upon contingency, on any other date determined by HKSCC or HKSCC Nominees. Applicants applying through a designated CCASS Participant (other than a CCASS Investor Participant) using YELLOW Application Forms and by giving electronic application instructions to HKSCC via CCASS should check the number of Public Offer allocated to them and the amount of refund monies (if any) payable (if they applied by giving electronic application instructions to HKSCC via CCASS) with that CCASS Participant. Applicants on WHITE or YELLOW Application Forms who have applied for 1,000,000 Public Offer or more and have provided all information required by their WHITE or YELLOW Application Forms, may collect their refund cheque(s) (where applicable) in person from Tricor Investor Services Limited, at Level 22, Hopewell Centre, 183 Queen s Road East, Hong Kong between 9:00 a.m. and 1:00 p.m. on Friday, 13 July 2018. Refund cheques for wholly or partially successful or unsuccessful applicants on WHITE or YELLOW Application Forms who have applied for less than 1,000,000 Public Offer, are expected to be despatched by ordinary post to the address specified on their Application Forms at their own risk on or before Friday, 13 July 2018. 13