2.1 |
*Statement for month and year Appendix 4A should be provided within 5 business days of the calendar month end, regardless of whether there is a change or not. |
Month: December Year: 2019 |
2.2 |
*Number and class of all ASX-quoted CDIs on issue: Repeat the following information for each class of CDIs quoted on ASX
ASX security code: KP2 |
Security description: CHESS DEPOSITARY INTERESTS 1:1 |
CDI ratio: 1:1 |
Total number of CDIs quoted on ASX at end of statement month (A): 209,314,480 |
Total number of CDIs quoted on ASX at end of previous month (B): 211,475,463 |
Net difference (A-B): -2,160,983 |
Reason for change: Net transfers of securities between CDIs and ordinary shares as quoted / held on AIM and JSE. |
If the total number of CDIs quoted on ASX at the end of the statement month (A), is greater than the total number of CDIs for which the entity has previously paid an initial listing fee or an additional listing fee under Table 1A and 1C of Guidance Note 15A (C), the entity hereby applies for +quotation of the difference (A - C) and agrees to the matters set out in Appendix 2A of the ASX Listing Rules. |
2.3 |
*Number and class of all issued securities not represented by CDIs quoted on ASX: Repeat the following table for each class of issued securities not represented (in whole or in part) by CDIs quoted on ASX
ASX security code: KP2AA |
Security description: ORDINARY FULLY PAID |
Total number of securities at end of statement month (A): 1,328,126,686 |
Total number of securities at end of previous month (B): 1,303,965,703 |
Net difference (A-B): 24,160,983 |
Reason for change: Issue of 22,000,000 ordinary shares on AIM and the net transfers of securities between CDIs quoted on ASX and ordinary shares quoted on AIM and JSE. |
ASX security code: KP2AB |
Security description: OPTION EXPIRING VARIOUS DATES EX VARIOUS PRICES |
Total number of securities at end of statement month (A): 30,900,000 |
Total number of securities at end of previous month (B): 30,900,000 |
Net difference (A-B): 0 |
Reason for change: Not applicable |
ASX security code: KP2AC |
Security description: PERFORMANCE RIGHTS |
Total number of securities at end of statement month (A): 28,183,108 |
Total number of securities at end of previous month (B): 28,183,108 |
Net difference (A-B): 0 |
Reason for change: Not applicable |
ASX security code: KP2AE |
Security description: WARRANTS |
Total number of securities at end of statement month (A): 13,144,659 |
Total number of securities at end of previous month (B): 13,144,659 |
Net difference (A-B): 0 |
Reason for change: Not applicable |
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