编辑: 阿拉蕾 2018-05-19

20 December

2013 阁下获保证配发之发售股份数目 (须不迟於二零一三年十二月二十日 (星期五) 下午 四时正申请时缴足) HK$ 港元 Box A 甲栏 Box B 乙栏 Box C 丙栏 Box D 丁栏 Remittance enclosed 随附股款 HK$ 港元 Number of Offer Shares subscribed for 认购之发售股份数目 Global Energy Resources International Group Limited 环球能源资源国际集团有限公司 (continued in Bermuda with limited liability) (於百慕达存续之有限公司) (Stock code: 8192) (股份代号:8192) OPEN OFFER OF 627,400,000 OFFER SHARES ON THE BASIS OF ONE OFFER SHARE FOR EVERY TWO SHARES HELD ON THE RECORD DATE AT HK$0.07 PER OFFER SHARE 按於记录日期每持有两股股份获发一股发售股份之基准 按每股发售股份0.07港元公开发售627,400,000股发售股份 PAYABLE IN FULL UPON APPLICATION BY NO LATER THAN 4:00 P.M. ON FRIDAY,

20 DECEMBER

2013 股款须於申请时 (不得迟於二零一三年十二月二十日 (星期五) 下午四时正) 缴足 APPLICATION FORM 申请表格 Branch share registrar and transfer office in Hong Kong: 香港股份过户登记分处: Tricor Tengis Limited 26th Floor, Tesbury Centre

28 Queen'

s Road East Wanchai Hong Kong 卓佳登捷时有限公司 香港 湾仔 皇后大道东28号 金钟汇中心26楼Registered office: 注册办事处: Clarendon house

2 Church Street Hamilton HM

11 Bermuda Head office and principal place of business in Hong Kong: 总办事处及香港 主要营业地点: Unit 2803, 28th Floor Bank of America Tower

12 Harcourt Road, Central Hong Kong 香港 中环夏悫道12号 美国银行中心 28楼2803室6December

2013 二零一三年十二月六日 IMPORTANT 重要提示 THIS APPLICATION FORM IS VALUABLE BUT IS NOT TRANSFERABLE AND IS FOR THE USE OF THE QUALIFYING SHAREHOLDER(S) NAMED BELOW ONLY. NO APPLICATION CAN BE MADE AFTER 4:00 P.M. ON FRIDAY,

20 DECEMBER 2013. 本申请表格具有价值,但不可转让,并仅供下文列名之合资格股东使用.二零一三年十二月二十日(星期五)下午四时正后不得提出申请. IF YOU HAVE SOLD ALL OR PART OF YOUR SHARES OF GLOBAL ENERGY RESOURCES INTERNATIONAL GROUP LIMITED (THE COMPANY ), YOU SHOULD AT ONCE HAND THIS FORM TO THE PURCHASER OR TO THE BANK OF THE TRANSFEREE, THE LICENSED SECURITIES DEALER OR REGISTERED INSTITUTION IN SECURITIES OR OTHER AGENT THROUGH WHOM THE SALE OR TRANSFER WAS EFFECTED FOR TRANSMISSION TO THE PURCHASER OR THE TRANSFEREE. 阁下如已出售 阁下所持环球能源资源国际集团有限公司 ( 「本公司」 ) 全部或部份股份,应立即将本表格转交买主或承让人之银行或经手买卖或转让之持牌证券交易商或注册证券机构或其他代理商,以便转交买主或承让人. IF YOU ARE IN ANY DOUBT AS TO ANY ASPECT OF THIS APPLICATION FORM OR AS TO THE ACTION TO BE TAKEN, YOU SHOULD CONSULT A LICENSED SECURITIES DEALER, REGISTERED INSTITUTION IN SECURITIES, BANK MANAGER, SOLICITOR, PROFESSIONAL ACCOUNTANT OR OTHER PROFESSIONAL ADVISER. 阁下如对本申请表格之任何方面或应采取之行动有任何疑问,应谘询持牌证券交易商、注册证券机构、银行经理、律师、专业会计师或其他专业顾问. TERMS USED HEREIN SHALL HAVE THE SAME MEANINGS AS DEFINED IN THE PROSPECTUS OF THE COMPANY DATED

6 DECEMBER

2013 UNLESS THE CONTEXT OTHERWISE REQUIRES. 除文义另有所指外,本表格所用词汇与本公司日期为二零一三年十二月六日刊发之章程所界定者具有相同涵义. A copy of each of the Prospectus Documents, and having attached thereto the documents specified in the paragraph headed Documents delivered to the Registrar of Companies in Hong Kong in Appendix III to the Prospectus, has been registered with the Registrar of Companies in Hong Kong pursuant to Section 342C of the Companies Ordinance. The Securities and Futures Commission of Hong Kong and the Registrar of Companies in Hong Kong take no responsibility as to the contents of these documents. 各份章程文件连同章程附录三 「送呈香港公司注册处处长之文件」 一段订明之文件已根咎趵 342C 条向香港公司注册处登记.香港证券及期货事务监察委员会及香港公司注册处处长对任何该等文件之内容概不负责. Hong Kong Exchanges and Clearing Limited, the Stock Exchange and HKSCC take no responsibility for the contents of this Application Form, 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 Application Form. 香港交易及结算所有限公司、联交所及香港结算对本申请表格之内容概不负责,对其准确性或完整性亦不发表任何声明,并明确表示概不就因本申请表格全部或任何部分内容而产生或因依赖该等内容而引致之任何损失承担任何责任. Dealings in the Shares and the Offer Shares may be settled through CCASS and you should consult your licensed securities dealer, registered institution in securities, bank manager, solicitor, professional accountant or other professional adviser for details of the settlement arrangements and how such arrangements may affect your rights and interests. 股份及发售股份之买卖可以透过中央结算系统进行交收, 阁下应就该等交收安排之详情及该等安排可能对 阁下之权利及权益所构成之影响谘询 阁下之持牌证券交易商、注册证券机构、银行经理、律师、专业会计师或其他专业顾问. Subject to the granting of listing of, and permission to deal in, the Offer Shares on the Stock Exchange as well as compliance with the stock admission requirements of HKSCC, the Offer Shares will be accepted as eligible securities by HKSCC for deposit, clearance and settlement in CCASS with effect from the commencement date of dealings in the Offer Shares on the Stock Exchange or such other date as determined by HKSCC. Settlement of transactions between participants of the Stock Exchange on any trading day is required to take place in CCASS on the second trading day thereafter. All activities under CCASS are subject to the General Rules of CCASS and CCASS Operational Procedures in effect from time to time. 待发售股份获准於联交所上市及买卖,以及遵守香港结算之证券收纳规定后,发售股份将获香港结算接纳为合资格证券,可由发售股份开始在联交所买卖之日或香港结算厘定之有关其他日期起,於中央结算系统内寄存、结算及交收.联交所参与者之间於任何交易日之交易必须於其后第二个交 易日於中央结算系统内进行交收.於中央结算系统内进行之所有活动均须依皇庇行е醒虢崴阆低骋话愎嬖蚣爸醒虢崴阆低吃俗鞒绦蚬嬖蚪. Global Energy Resources International Group Limited 环球能源资源国际集团有限公司 (於百慕达存续之有限公司) (股份代号:8192) 条件 1. 不合资格股东不得认购任何发售股份. 2. 概不会就收到之申请认购款项发出收,惟预期申请获全数或部分接纳之任何发售股份股票将以平邮方式按表格所列地址寄交获配发人;

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