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Transcription:

THIS NOTICE IS IMPORTANT AND REQUIRES YOUR IMMEDIATE ATTENTION. If you are in any doubt as to the course of action to take, you should consult your stockbroker, solicitor, accountant, bank manager or other professional adviser immediately. Bursa Malaysia Securities Berhad ( Bursa Securities ) has not perused the contents of this Notice prior to its issuance. Bursa Securities takes no responsibility for the contents of this Notice, makes no representation as to its accuracy or completeness and expressly disclaims any liability whatsoever for any loss howsoever arising from or in reliance upon the whole or any part of the contents of this Notice. N O T I C E T O W A R R A N T H O L D E R S RELATING TO THE EXPIRY OF THE FOLLOWING: NON-COLLATERALISED EUROPEAN-STYLE CASH SETTLED CALL WARRANTS OVER ORDINARY SHARES OF MY E.G. SERVICES BERHAD ( MYEG ) ( MYEG-C7 OR SW ) Stock name Stock code MYEG-C7 0138C7 Issuer: (Company No. 19663-P) (A Participating Organisation of Bursa Malaysia Securities Berhad) IMPORTANT RELEVANT DATES Last date and time of trading of SW : Thursday, 17 August 2017 at 5.00 p.m. Date and time of suspension of SW : With effect from 9.00 a.m. on Friday, 18 August 2017 up to the Expiry Date Date and time the SW expire ( Expiry Date ) : Tuesday, 22 August 2017 at 9.01 a.m. Last date and time for transfer of SW into the Depositor s Securities Account : Tuesday, 22 August 2017 at 4.00 p.m. Date and time of delisting of SW : Wednesday, 23 August 2017 at 9.00 a.m. This Notice is dated 21 July 2017

DEFINITIONS The following references to our Company or the Company or the Issuer or Calculation Agent or RHBIB in this Notice are to RHB Investment Bank Berhad (19663-P), references to our Group or the Group are to our Company and our subsidiaries and references to we, us, our and ourselves are to our Company and, except where the context otherwise requires, our subsidiaries. Except where the context otherwise requires or where otherwise defined herein, the following definitions shall apply throughout this Notice pursuant thereof: Base Prospectus Bursa Securities Calculation Agent Conditions Deed Poll Exchange : The Base Prospectus dated 9 September 2016 relating to the offering of structured warrants issued by RHBIB, as supplemented from time to time : Bursa Malaysia Securities Berhad (635998-W) : The Issuer or any other person as may be appointed by the Issuer : The terms and conditions applicable thereto as set out in Annexure of the Base Prospectus and the Second Schedule of the Deed Poll as may be modified from time to time in accordance with the provisions set out in the Deed Poll : The Deed Poll dated 30 August 2016 constituting the SW : Bursa Securities or such other bourse where the underlying securities are traded or constituted Expiry Date : The day the SW expire, which is 22 August 2017 First Supplementary Base Prospectus First Supplemental Deed Poll Holders : The First Supplementary Base Prospectus dated 18 January 2017 relating to the offering of structured warrants issued by RHBIB, as supplemented from time to time : The First Supplemental Deed Poll dated 12 January 2017 constituting the SW : The persons for the time being registered in the Register as the holder(s) of any SW (except Bursa Malaysia Depository Sdn Bhd), including Depositors whose names appear on the Record of Depositors Market Day : (a) for the purpose of determining the Issue Price, Expiry Date and Settlement Price, and in reference to the trading of the underlying securities, a day on which the bourse of the country in which the underlying securities is traded and is open for dealings and which is not affected by any Market Disruption Event (as defined in Section 3 of this Notice), and the banks of the same country are open for business, (including dealings in foreign exchange and foreign currency deposits); and (b) for any other purposes, including reference to the Settlement Date and the trading of the SW, a day (excluding Saturday and Sunday) on which Bursa Securities is open for dealings and banks in Kuala Lumpur are open for business RHBIB : RHB Investment Bank Berhad (19663-P) Reference Currency : : The currency of trading for the underlying securities, as specified by the Issuer in the relevant Term Sheets dated 23 November 2016 ii

DEFINITIONS Second Supplementary Base Prospectus Second Supplemental Deed Poll Settlement Currency SW : The Second Supplementary Base Prospectus dated 2 June 2017 relating to the offering of structured warrants issued by RHBIB, as supplemented from time to time : The Second Supplemental Deed Poll dated 30 May 2017 constituting the SW : Ringgit Malaysia (RM) : MYEG-C7 SW MYEG : My E.G. Services Berhad MYEG-C7 or SW : Non-collateralised European-style cash settled call warrants over ordinary shares of MYEG, with an exercise ratio of 2.6667 MYEG-C7 : 1 MYEG Share MYEG Share : Ordinary shares in MYEG Currency RM : Ringgit Malaysia Words denoting the singular shall, where applicable, include the plural and vice versa. Words denoting the masculine gender shall, where applicable, include the feminine and neuter genders and vice versa. Any reference to persons shall include corporations, unless otherwise specified. Any reference in this Notice to any enactment is a reference to that enactment as for the time being amended or re-enacted. Any reference to a time of day in this Notice shall be a reference to Malaysia time, unless otherwise specified. THE REST OF THIS PAGE IS INTENTIONALLY LEFT BLANK iii

TABLE OF CONTENTS 1. SUSPENSION OF TRADING, LAST DAY FOR TRADING, TRANSFER AND DELISTING... 1 2. EXERCISE PRICE AND EXERCISE RATIO... 1 3. MODE OF SETTLEMENT... 1 4. AUTOMATIC EXERCISE... 2 5. CONTACT DETAILS FOR ENQUIRIES... 3 6. DIRECTORS RESPONSIBILITY STATEMENT... 3 THE REST OF THIS PAGE IS INTENTIONALLY LEFT BLANK iv

NOTICE TO HOLDERS RELATING TO THE EXPIRY OF THE SW NOTICE IS HEREBY GIVEN THAT, pursuant to the Conditions stipulated in the Base Prospectus, the First Supplementary Base Prospectus and the Term Sheets governing the terms and conditions of the SW dated 23 November 2016 the SW will expire on the Expiry Date. You should note that the SW are cash-settled call warrants which entitle you to the Cash Settlement Amount (as defined in Section 3 below) if the Cash Settlement Amount is positive, in accordance with the terms and conditions of the SW. SW WILL BE AUTOMATICALLY EXERCISED ON THE EXPIRY DATE AS SET OUT IN SECTION 4 BELOW. ACCORDINGLY, THE SW WILL BE REMOVED FROM THE OFFICIAL LIST OF BURSA SECURITIES WITH EFFECT FROM THE DATE AND TIME AS SET OUT IN SECTION 1 BELOW. Holders are therefore advised to carefully read the procedures as set out below: 1. SUSPENSION OF TRADING, LAST DAY FOR TRADING, TRANSFER AND DELISTING Last date and time of trading of SW : Thursday, 17 August 2017 at 5.00 p.m. Date and time of suspension of SW : With effect from 9.00 a.m. on Friday, 18 August 2017 up to the Expiry Date Last date and time for transfer of SW into the Depositor s Securities Account : Tuesday, 22 August 2017 at 4.00 p.m. Date and time of delisting of SW : Wednesday, 23 August 2017 at 9.00 a.m. 2. EXERCISE PRICE AND EXERCISE RATIO MYEG-C7 Exercise Price RM 1.8667 Exercise Ratio 2.6667 MYEG-C7: 1 MYEG Share 3. MODE OF SETTLEMENT Cash settlement only. Upon the automatic exercise of the SW, the Issuer shall pay the Cash Settlement Amount for every SW which shall be determined as follows: Settlement Price Exercise Price Exercise Ratio Exercise Expenses * *The Exercise Expenses are subject to 6% GST If the Cash Settlement Amount is positive after deducting all Exercise Expenses as determined by the Issuer and verified by the Calculation Agent, payment of the Cash Settlement Amount will be made in the Settlement Currency prior to settlement in favour of the Holder using the Reference Rate. 1

Where the Settlement Price will be an amount in the Reference Currency that equals to the arithmetic mean of the underlying securities on the Exchange for the five (5) scheduled Valuation Dates, as determined by the Issuer and verified by the Calculation Agent, subject to adjustments in accordance with the Conditions and without regard to any subsequently published correction. AND where Valuation Date(s) means in relation to the exercise of SW on the Expiry Date, each of the five (5) schedule Market Days prior to and including the Market Day immediately before the Expiry Date, and subject to the following Market Disruption Event provisions: (a) (b) If a Market Disruption Event occurs on any of the five (5) scheduled Market Days prior to and including the Market Day immediately before the Expiry Date, then the Valuation Date(s) shall include such number of succeeding Market Days where the Market Disruption Event does not occur, for up to the eighth (8 th ) Market Day from and including the Expiry Date (which shall be referred to as the Last Valuation Date ), so that in no event shall there be less than five (5) closing prices, to determine the Settlement Price; or If there are insufficient number of Market Days leading up to and including the Last Valuation Date that are not affected by the Market Disruption Event, such that there are less than five (5) Market Days to determine the five (5) closing prices, then: (i) (ii) firstly, the Issuer shall determine the closing price, at its absolute discretion and on the basis of the Issuer s good faith estimate of such price that would have prevailed on the Last Valuation Date but for the Market Disruption Event, and secondly, the closing price on the Last Valuation Date as determined by the Issuer may be referenced more than once to ensure that there are five (5) closing prices (by the Last Valuation Date) to determine the Settlement Price. AND where Exercise Expenses mean any charges or expenses, including any brokerage commission, transfer fees, stamping fees and taxes or duties which are incurred in respect of the exercise of the SW. 4. AUTOMATIC EXERCISE On Expiry Date, the SW shall be treated in the following manner: (a) if the Cash Settlement Amount is positive, all SW shall be automatically exercised (without any exercise notice being delivered by the Holders and without notice of automatic exercise being given by the Issuer to the Holders). The relevant Holder shall be deemed to have issued an exercise notice in respect of such SW; or (b) if the Cash Settlement Amount is zero (0) or negative, all SW will expire immediately at 9.01 a.m. (Malaysia time) on the Expiry Date and thereafter lapse and cease to be valid for any purpose, and all obligations of the Issuer in respect of the SW shall terminate absolutely. RHBIB shall pay the Holders the Cash Settlement Amount within seven (7) Market Days following the Expiry Date. 2

5. CONTACT DETAILS FOR ENQUIRIES All enquiries concerning this Notice or the SW should be addressed to RHBIB as follows: RHB Investment Bank Berhad Equity Derivatives & Structured Products Level 3A, Tower One, RHB Centre Jalan Tun Razak 50400 Kuala Lumpur Telephone no. : (603) 9200 2185 Facsimile no. : (603) 9280 8967 6. DIRECTORS RESPONSIBILITY STATEMENT This Notice has been seen and approved by the Directors of RHBIB and they collectively and individually accept full responsibility for the accuracy of the information contained in this Notice and confirm, having made all reasonable enquiries, that to the best of their knowledge and belief, there is no false or misleading statement or other fact, the omission of which would make any statement in this Notice false or misleading. THE REST OF THIS PAGE IS INTENTIONALLY LEFT BLANK 3