PaySauce Implements Share Consolidation
Template
Corporate Action Notice
(Other than for a Distribution)
Updated as at 8 May 2019
Section 1: issuer information (mandatory)
Name of issuer PaySauce Limited
Class of Financial ProductOrdinary Shares
NZX ticker codePYS
ISIN (If unknown, check on NZX website)NZMADE0001S4
Name of RegistryLink Market Services Limited
Type of corporate action
(Please mark with an X in the relevant
box/es)
Share purchase
plan
Renounceable
Rights issue
Capital
reconstruction
X
Non
Renounceable
Rights issue
CallBonus issue
Record date 12/07/2019
Ex-Date (one business day before the
Record Date)
11/07/2019
CurrencyN/A
Section 5: Capital reconstruction (delete if not applicable)
Nature of capital reconstruction
(Please mark with an X in
applicable box)
Financial Product
Split
Financial
Product
Consolidation
X
OtherAmalgamation
Ratio (for example 1 for 2)New1Existing50
Treatment of fractions
Fractional entitlements rounded to the nearest whole
number, with fractional entitlements to half a share
rounded up
Number of Financial Products to be
issued/ redeemed
N/A
Per Financial Product amount (if
cash reconstruction)
N/A
Payment date (if cash
reconstruction)
N/A
Allotment date16/07/2019
Section 7: Authority for this announcement (mandatory)
Name of person authorised to make this
announcement
Logan Tyson
Contact person for this announcementLogan Tyson
Page ! of !12
Contact phone number021 580 108
Contact email addresslogan@paysauce.com
Date of release through MAP28/06/2019
! of !22
Data sourced from publicly available filings. Our datasets may not be complete. Automated analysis can produce errors. If you believe any data on this page is incorrect, please contact us at hello@nzxplorer.co.nz. For informational purposes only. Not investment advice.
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