FF301

Monthly Return for Equity Issuer and Hong Kong Depositary Receipts listed under Chapter 19B of the Exchange Listing Rules on Movements in Securities

For the month ended:

30 November 2021

Status: New Submission

To : Hong Kong Exchanges and Clearing Limited

Name of Issuer:

Guoan International Limited

Date Submitted:

01 December 2021

I. Movements in Authorised / Registered Share Capital

1. Type of shares

Ordinary shares

Class of shares

Not applicable

Listed on SEHK (Note 1)

Yes

Stock code

00143

Description

Number of authorised/registered shares

Par value

Authorised/registered share capital

Balance at close of preceding month

20,000,000,000

HKD

0.01

HKD

200,000,000

Increase / decrease (-)

HKD

Balance at close of the month

20,000,000,000

HKD

0.01

HKD

200,000,000

Total authorised/registered share capital at the end of the month:

HKD

200,000,000

Page 1 of 7

v 1.0.1

FF301

II. Movements in Issued Shares

1. Type of shares

Ordinary shares

Class of shares

Not applicable

Listed on SEHK (Note 1)

Yes

Stock code

00143

Description

Balance at close of preceding month

7,748,960,899

Increase / decrease (-)

Balance at close of the month

7,748,960,899

Page 2 of 7

v 1.0.1

FF301

III. Details of Movements in Issued Shares

(A). Share Options (under Share Option Schemes of the Issuer) Not applicable

(B). Warrants to Issue Shares of the Issuer which are to be Listed

Not applicable

(C). Convertibles (i.e. Convertible into Issue Shares of the Issuer which are to be Listed)

1. Type of shares issuable

Ordinary shares

Class of shares

Not applicable

Shares issuable to be listed on SEHK (Note 1)

Yes

Stock code of shares issuable (if listed on SEHK) (Note 1)

00143

No. of new shares of

No. of new shares of

Description of the Convertibles

Currency

Amount at close of

Movement during the month

Amount at close of the

issuer issued during the

issuer which may be

preceding month

month

month pursuant thereto

issued pursuant thereto

(C)

as at close of the month

1).

Convertible Bond

HKD

100,000,000

100,000,000

0

384,615,384

Type of convertibles

Bond/Notes

Stock code of the Convertibles

(if listed on SEHK) (Note 1)

Subscription/Conversion price

HKD

0.26

General Meeting approval date

14 June 2018

(if applicable)

Total C (Ordinary shares):

0

Remarks:

Please refer to the Company's announcements dated 28 February 2020, 30 November 2020, 2 December 2020, 24 December 2020, 22 January 2021, 28 February 2021, 1 March 2021, 29 March 2021, 27 April 2021, 14 May 2021, 26 May 2021, 10 June 2021, 17 June 2021, 18 June 2021, 22 June 2021, 29 June 2021, 4 July 2021, 5 July 2021, 11 July 2021, 13 July 2021, 16 July 2021, 20 August 2021, 5 September 2021, 10 September 2021, 14 September 2021, 29 September 2021, 6 October 2021, 8 October 2021, 15 October 2021, 18 October 2021, 21 October 2021, 28 October 2021 and 19 November 2021 respectively.

(D). Any other Agreements or Arrangements to Issue Shares of the Issuer which are to be listed, including Options (other than Share Options Schemes) Not applicable

Page 3 of 7

v 1.0.1

FF301

(E). Other Movements in Issued Share Not applicable

Total increase / decrease (-) in Ordinary shares during the month (i.e. Total of A to E)

0

Page 4 of 7

v 1.0.1

FF301

IV. Information about Hong Kong Depositary Receipt (HDR) Not applicable

Page 5 of 7

v 1.0.1

This is an excerpt of the original content. To continue reading it, access the original document here.

Attachments

  • Original Link
  • Original Document
  • Permalink

Disclaimer

Guoan International Limited published this content on 01 December 2021 and is solely responsible for the information contained therein. Distributed by Public, unedited and unaltered, on 01 December 2021 10:00:11 UTC.