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TL NATURAL GAS:截至二零二三年十二月三十一日止月份之股份發行人的證券變動月報表

TL NATURAL GAS: Monthly Return of Equity Issuer on Movements in Securities for the month ended 31 December 2023

香港交易所 ·  Jan 2 03:58
Summary by Moomoo AI
TL Natural Gas Holdings Limited(「本公司」)於2024年1月2日向香港交易及結算所有限公司提交了截至2023年12月31日的證券變動月報表。報告顯示,本公司的法定/註冊股本及已發行股份在該月份內無變動,維持在2,500,000,000股,每股面值0.04港元,總額100,000,000港元。此外,本公司於2023年12月15日與中國北方證券集團有限公司簽訂配售協議,條件同意通過配售代理向獨立第三方配售最多35,451,000股股份,每股股份0.638港元。該配售計劃將於2023年6月16日完成。本公司確認,所有發行的證券均已獲董事會授權,並符合香港聯合交易所有限公司證券上市規則的相關要求。
TL Natural Gas Holdings Limited(「本公司」)於2024年1月2日向香港交易及結算所有限公司提交了截至2023年12月31日的證券變動月報表。報告顯示,本公司的法定/註冊股本及已發行股份在該月份內無變動,維持在2,500,000,000股,每股面值0.04港元,總額100,000,000港元。此外,本公司於2023年12月15日與中國北方證券集團有限公司簽訂配售協議,條件同意通過配售代理向獨立第三方配售最多35,451,000股股份,每股股份0.638港元。該配售計劃將於2023年6月16日完成。本公司確認,所有發行的證券均已獲董事會授權,並符合香港聯合交易所有限公司證券上市規則的相關要求。
TL Natural Gas Holdings Limited (the “Company”) filed with Hong Kong Trading and Settlement Limited on January 2, 2024 the Statement of Changes in Securities for the month ended December 31, 2023. The report shows that the Company's regulated/registered share capital and issued shares remained unchanged during the month at 2,500,000,000 shares with a face value of HK$0.04 per share for a total of HK$100,000,000. In addition, the Company entered into a distribution agreement with China Northern Securities Group Limited on 15 December 2023, subject to the agreement to distribute a maximum of 35,451,000 shares to an independent third party through a distribution agent at HK$0.638 per share. The allotment plan will be completed on 16 June 2023. The Company confirms that all securities issued have been authorized by the Board of Directors and comply with the relevant requirements of the Securities Listing Rules of the Hong Kong Stock Exchange Limited.
TL Natural Gas Holdings Limited (the “Company”) filed with Hong Kong Trading and Settlement Limited on January 2, 2024 the Statement of Changes in Securities for the month ended December 31, 2023. The report shows that the Company's regulated/registered share capital and issued shares remained unchanged during the month at 2,500,000,000 shares with a face value of HK$0.04 per share for a total of HK$100,000,000. In addition, the Company entered into a distribution agreement with China Northern Securities Group Limited on 15 December 2023, subject to the agreement to distribute a maximum of 35,451,000 shares to an independent third party through a distribution agent at HK$0.638 per share. The allotment plan will be completed on 16 June 2023. The Company confirms that all securities issued have been authorized by the Board of Directors and comply with the relevant requirements of the Securities Listing Rules of the Hong Kong Stock Exchange Limited.
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