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ikeGPS Capital Change notice

Capital Change16 March 2020IKEMaterials

Capital Change Notice





Section 1: Issuer information

Name of issuer ikeGPS Group Limited

NZX ticker code IKE

Class of financial product Ordinary shares

ISIN (If unknown, check on NZX website) NZIKEE0001S9

Currency NZD

Section 2: Capital change details

Number issued/acquired/redeemed 126,007

Nominal value (if any) N/A

Issue/acquisition/redemption price per security $0.73, $0.70 $0.80 & $0.81 (Being the

volume weighted average price used to

calculate the net settlement amount)

Nature of the payment (for example, cash or other

consideration)

Net settlement of unlisted share options.

Amount paid up (if not in full) N/A

Percentage of total class of Financial Products

issued/acquired/redeemed/ (calculated on the

number of Financial Products of the Class,

excluding any Treasury Stock, in existence)

1


0.12%

For an issue of Convertible Financial Products or

Options, the principal terms of Conversion (for

example the Conversion price and Conversion

date and the ranking of the Financial Product in

relation to other Classes of Financial Product) or

the Option (for example, the exercise price and

exercise date)

Exercise date: Between 3 March 2020 & 11

March 2020

Exercise price: $0.40

Net settlement of 252,087 unlisted options.

Reason for issue/acquisition/redemption and

specific authority for issue/acquisition/redemption/

(the reason for change must be identified here)

Net settlement of options under ikeGPS

Group Limited’s employee share option

plan

Total number of Financial Products of the Class

after the issue/acquisition/redemption/Conversion

(excluding Treasury Stock) and the total number

of Financial Products of the Class held as

Treasury Stock after the

issue/acquisition/redemption.

102,169,048

In the case of an acquisition of shares, whether

those shares are to be held as treasury stock

N/A

Specific authority for the issue, acquisition, or

redemption, including a reference to the rule

Directors’ resolution dated 5 September

2017


1

The percentage is to be calculated immediately before the issue, acquisition, redemption or Conversion.



pursuant to which the issue, acquisition, or

redemption is made

Terms or details of the issue, acquisition, or

redemption (for example: restrictions, escrow

arrangements)

The shares were issued with identical

rights, privileges, limitations and conditions

as, and rank equally with, the existing

ordinary shares.

Date of issue/acquisition/redemption

2

16 March 2020

Section 3: Authority for this announcement and contact person

Name of person


authorised to make this

announcement

Chris Birkett

Contact person for this announcement Chris Birkett

Contact phone number +64 4 382 8064

Contact email address Chris.birkett@ikegps.com

Date of release through MAP


16/3/2020





2

Continuous issuers using this form in reliance on Rule 3.13.2, please indicate the period during which the relevant

issue/acquisition/redemptions were made (for example, 1 January 2019 to 31 January 2019).

---

Appendix 3B
New issue announcement




+ See chapter 19 for defined terms.


04/03/2013 Appendix 3B Page 1

Rule 2.7, 3.10.3, 3.10.4, 3.10.5

Appendix 3B


New issue announcement,

application for quotation of additional securities

and agreement


Information or documents not available now must be given to ASX as soon as available. Information and

documents given to ASX become ASX’s property and may be made public.

Introduced 01/07/96 Origin: Appendix 5 Amended 01/07/98, 01/09/99, 01/07/00, 30/09/01, 11/03/02, 01/01/03, 24/10/05,

01/08/12, 04/03/13



Name of entity

ikeGPS Group Limited


ABN

615 503 145


We (the entity) give ASX the following information.



Part 1 - All issues

You must complete the relevant sections (attach sheets if there is not enough space).


1

+

Class of

+

securities issued or to

be issued


Ordinary shares (Shares)



2 Number of

+

securities issued or

to be issued (if known) or

maximum number which may be

issued


126,007 Shares



3 Principal terms of the

+

securities

(e.g. if options, exercise price

and expiry date; if partly paid

+

securities, the amount

outstanding and due dates for

payment; if

+

convertible

securities, the conversion price

and dates for conversion)

The new Shares will be on the same terms as

existing Shares on issue.

Appendix 3B
New issue announcement




+ See chapter 19 for defined terms.


Appendix 3B Page 2 04/03/2013



4 Do the

+

securities rank equally

in all respects from the

+

issue

date with an existing

+

class of

quoted

+

securities?


If the additional

+

securities do

not rank equally, please state:

• the date from which they do

• the extent to which they

participate for the next

dividend, (in the case of a

trust, distribution) or interest

payment

• the extent to which they do

not rank equally, other than

in relation to the next

dividend, distribution or

interest payment

Yes, the new Shares will rank equally in all

respects with existing fully paid Shares from

the issue date.



5 Issue price or consideration


$0.73, $0.70 $0.80 & $0.81 (Being the volume

weighted average price used to calculate the

net settlement amount)



6 Purpose of the issue

(If issued as consideration for

the acquisition of assets, clearly

identify those assets)







Net settlement of options under ikeGPS

Group Limited’s employee share option plan.



6a Is the entity an

+

eligible entity

that has obtained security holder

approval under rule 7.1A?


If Yes, complete sections 6b – 6h

in relation to the

+

securities the

subject of this Appendix 3B, and

comply with section 6i

N/A



6b The date the security holder

resolution under rule 7.1A was

passed

N/A



6c Number of

+

securities issued

without security holder approval

under rule 7.1

N/A



6d Number of

+

securities issued

with security holder approval

under rule 7.1A

N/A

Appendix 3B
New issue announcement




+ See chapter 19 for defined terms.


04/03/2013 Appendix 3B Page 3



6e Number of

+

securities issued

with security holder approval

under rule 7.3, or another

specific security holder approval

(specify date of meeting)


N/A



6f Number of

+

securities issued

under an exception in rule 7.2

N/A



6g If

+

securities issued under rule

7.1A, was issue price at least

75% of 15 day VWAP as

calculated under rule 7.1A.3?

Include the

+

issue date and both

values. Include the source of the

VWAP calculation.

N/A



6h If

+

securities were issued under

rule 7.1A for non-cash

consideration, state date on

which valuation of consideration

was released to ASX Market

Announcements

N/A



6i Calculate the entity’s remaining

issue capacity under rule 7.1 and

rule 7.1A – complete Annexure 1

and release to ASX Market

Announcements

N/A



7

+

Issue dates

Note: The issue date may be prescribed by ASX

(refer to the definition of issue date in rule

19.12). For example, the issue date for a pro

rata entitlement issue must comply with the

applicable timetable in Appendix 7A.

Cross reference: item 33 of Appendix 3B.

16 March 2020




Number

+

Class

8 Number and

+

class of all

+

securities quoted on ASX

(including the

+

securities in

section 2 if applicable)




102,169,048 Fully paid

ordinary

shares


Appendix 3B
New issue announcement




+ See chapter 19 for defined terms.


Appendix 3B Page 4 04/03/2013



Number

+

Class

9 Number and

+

class of all

+

securities not quoted on ASX

(including the

+

securities in

section 2 if applicable)




4,810,000 Unlisted Options



10 Dividend policy (in the case of a

trust, distribution policy) on the

increased capital (interests)

No change. Dividend policy same as for other

Shares.



Part 2 - Pro rata issue


11 Is security holder approval

required?


N/A



12 Is the issue renounceable or non-

renounceable?

N/A



13 Ratio in which the

+

securities will

be offered

N/A



14

+

Class of

+

securities to which the

offer relates

N/A



15

+

Record date to determine

entitlements

N/A




16 Will holdings on different

registers (or subregisters) be

aggregated for calculating

entitlements?

N/A



17 Policy for deciding entitlements

in relation to fractions


N/A



18 Names of countries in which the

entity has security holders who

will not be sent new offer

documents

Note: Security holders must be told how their

entitlements are to be dealt with.

Cross reference: rule 7.7.

N/A



19 Closing date for receipt of

acceptances or renunciations

N/A

Appendix 3B
New issue announcement




+ See chapter 19 for defined terms.


04/03/2013 Appendix 3B Page 5


20 Names of any underwriters



N/A



21 Amount of any underwriting fee

or commission

N/A



22 Names of any brokers to the issue



N/A



23 Fee or commission payable to the

broker to the issue

N/A



24 Amount of any handling fee

payable to brokers who lodge

acceptances or renunciations on

behalf of security holders

N/A



25 If the issue is contingent on

security holders’ approval, the

date of the meeting

N/A



26 Date entitlement and acceptance

form and offer documents will be

sent to persons entitled

N/A



27 If the entity has issued options,

and the terms entitle option

holders to participate on exercise,

the date on which notices will be

sent to option holders

N/A



28 Date rights trading will begin (if

applicable)

N/A



29 Date rights trading will end (if

applicable)



N/A



30 How do security holders sell their

entitlements in full through a

broker?

N/A



31 How do security holders sell part

of their entitlements through a

broker and accept for the

balance?

N/A


Appendix 3B
New issue announcement




+ See chapter 19 for defined terms.


Appendix 3B Page 6 04/03/2013


32 How do security holders dispose

of their entitlements (except by

sale through a broker)?

N/A



33

+

Issue date



N/A



Part 3 - Quotation of securities

You need only complete this section if you are applying for quotation of securities


34 Type of

+

securities

(tick one)


(a)


+

Securities described in Part 1



(b)


All other

+

securities

Example: restricted securities at the end of the escrowed period, partly paid securities that become fully paid,

employee incentive share securities when restriction ends, securities issued on expiry or conversion of convertible

securities


Entities that have ticked box 34(a)


Additional securities forming a new class of securities



Tick to indicate you are providing the information or

documents



35


If the

+

securities are

+

equity securities, the names of the 20 largest holders of the

additional

+

securities, and the number and percentage of additional

+

securities

held by those holders



36


If the

+

securities are

+

equity securities, a distribution schedule of the additional

+

securities setting out the number of holders in the categories

1 - 1,000

1,001 - 5,000

5,001 - 10,000

10,001 - 100,000

100,001 and over



37


A copy of any trust deed for the additional

+

securities

Appendix 3B
New issue announcement




+ See chapter 19 for defined terms.


04/03/2013 Appendix 3B Page 7


Entities that have ticked box 34(b)


38 Number of

+

securities for which

+

quotation is sought


N/A




39

+

Class of

+

securities for which

quotation is sought


N/A



40 Do the

+

securities rank equally in

all respects from the

+

issue date

with an existing

+

class of quoted

+

securities?


If the additional

+

securities do not

rank equally, please state:

• the date from which they do

• the extent to which they

participate for the next

dividend, (in the case of a trust,

distribution) or interest

payment

• the extent to which they do not

rank equally, other than in

relation to the next dividend,

distribution or interest

payment

N/A



41 Reason for request for quotation

now

Example: In the case of restricted securities, end

of restriction period


(if issued upon conversion of

another

+

security, clearly identify

that other

+

security)


N/A




Number

+

Class

42 Number and

+

class of all

+

securities quoted on ASX

(including the

+

securities in clause

38)




N/A


Appendix 3B
New issue announcement




+ See chapter 19 for defined terms.


Appendix 3B Page 8 04/03/2013



Quotation agreement


1

+

Quotation of our additional

+

securities is in ASX’s absolute discretion. ASX

may quote the

+

securities on any conditions it decides.


2 We warrant the following to ASX.


• The issue of the

+

securities to be quoted complies with the law and is

not for an illegal purpose.


• There is no reason why those

+

securities should not be granted

+

quotation.


• An offer of the

+

securities for sale within 12 months after their issue

will not require disclosure under section 707(3) or section 1012C(6) of

the Corporations Act.

Note: An entity may need to obtain appropriate warranties from subscribers for the securities in order to be able

to give this warranty


• Section 724 or section 1016E of the Corporations Act does not apply to

any applications received by us in relation to any

+

securities to be

quoted and that no-one has any right to return any

+

securities to be

quoted under sections 737, 738 or 1016F of the Corporations Act at the

time that we request that the

+

securities be quoted.


• If we are a trust, we warrant that no person has the right to return the

+

securities to be quoted under section 1019B of the Corporations Act at

the time that we request that the

+

securities be quoted.


3 We will indemnify ASX to the fullest extent permitted by law in respect of any

claim, action or expense arising from or connected with any breach of the

warranties in this agreement.


4 We give ASX the information and documents required by this form. If any

information or document is not available now, we will give it to ASX before

+

quotation of the

+

securities begins. We acknowledge that ASX is relying on the

information and documents. We warrant that they are (will be) true and

complete.



Sign here: ............................................................ Date: 16 March 2020

(Company secretary)



Print name: ......Chris Birkett...........................................


== == == == ==

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