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Capital Change Notice

Capital Change25 August 2022NTLIndustrials

Capital Change Notice



Section 1: Issuer information

Name of issuer New Talisman Gold Mines

Limited

NZX ticker code NTL

Class of financial product Convertible Debt Securities

ISIN (If unknown, check on NZX website) N/A

Currency NZD

Section 2: Capital change details

Number issued 1,000,000 Convertible Debt

Securities of $1.00 principal

amount

Nominal value (if any) NZ$1.00 each

Issue price per security


Each Convertible Debt Security

has the following terms:

• Term, 18 months from

drawdown,

• Drawdown of the

Convertible Debt

Security will be in one

tranche,

• Annual Interest rate of

9.5%, payable quarterly

in cash, there is no

option to settle interest

by any other means.

• Conversion to ordinary

shares at the 18 month

anniversary of

drawdown at a 15%

discount to the

preceding 20 day

VWAP of the ordinary

shares of the Company,

or at the discretion of

the Company repaid in

cash on the 18 month

anniversary of

drawdown, with no

additional fees.

• The Convertible Debt

Security will be

unsecured and rank

pari-passu with

unsecured trade
creditors

Nature of the payment (for example, cash or other

consideration)

Cash

Amount paid up (if not in full) Paid in full

Percentage of total class of Financial Products issued

(calculated on the number of Financial Products of the Class,

excluding any Treasury Stock, in existence)

100% of Convertible Debt

Securities

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)

Conversion to ordinary shares

at the 18 month anniversary of

drawdown at a 15% discount

to the preceding 20 day VWAP

of the ordinary shares of the

Company, or at the discretion

of the Company repaid in cash

on the 18 month anniversary of

drawdown, with no additional

fees.


Reason for issue and specific authority for issue (the reason

for change must be identified here)

The Convertible Debt

Securities were issued to

advance the Company’s

Strategic Plan

Total number of Financial Products of the Class after the issue

and the total number of Financial Products of the Class held as

Treasury Stock after the issue.

$1,000,000 Convertible Debt

Securities.


In the case of an acquisition of shares, whether those shares

are to be held as treasury stock

Not applicable

Specific authority for the issue, including a reference to the

rule pursuant to which the issue is made

Board resolution 30 May 2022

and Listing Rule 4.1.1 & 5.2.1

And Resolution at Special

Shareholder Meeting dated 29

June 2022

Terms or details of the issue (for example: restrictions, escrow

arrangements)

The Convertible Debt

Securities are unsecured and

rank pari-passu with

unsecured trade creditors

Date of issue 24 August 2022

Capital Change Notice



Section 3: Authority for this announcement and contact person

Name of person


authorised to make this announcement Jane Bell

Contact person for this announcement Jane Bell

Contact phone number +64 21 764 224

Contact email address jane@newtalisman.co.nz

Date of release through MAP


25 August 2022

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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