Capital Change Notice – Employee Share Scheme Shares
CapitalChangeNotice
Section1:Issuerinformation
NameofissuerPaySauceLimited
NZXtickercodePYS
ClassoffinancialproductOrdinaryShares
ISIN(Ifunknown,checkonNZXwebsite)N/A
CurrencyNZD
Section2:Capitalchangedetails
Numberissued359,845
Nominalvalue(ifany)N/A
Issue/acquisition/redemptionpricepersecurity
352,103sharesissuedat
$0.2596,beingtheAverage
MarketPriceofaPYSshare
atthedateofallotmentofF23
ESS(31March2023)
7742sharesissuedat$0.2842
pershare(beingtheAverage
MarketPriceofaPYSshare
atthedateofallotmentFor
F22ESS(31March2022).
Natureofthepayment(forexample,cashorother
consideration)
Theshareswereissued
unpaidasEmployeeShare
Scheme(ESS)Shares.Some
ofthevestedshareshavenow
beenpaidupontheirbehalf
byPYSbywayofa
discretionarybonus.
352,103shares:F23ESS
Tranche1
3871shares:F22ESST1
3871Shares:F22ESST2
Amountpaidup(ifnotinfull)FullyPaid
PercentageoftotalclassofFinancialProducts
issued/acquired/redeemed/(calculatedonthenumberof
FinancialProductsoftheClass,excludinganyTreasuryStock,
inexistence)
0.3%
ForanissueofConvertibleFinancialProductsorOptions,the
principaltermsofConversion(forexampletheConversion
priceandConversiondateandtherankingoftheFinancial
ProductinrelationtootherClassesofFinancialProduct)or
theOption(forexample,theexercisepriceandexercisedate)
N/A
Reasonforissue/acquisition/redemptionandspecificauthority
forissue/acquisition/redemption/(thereasonforchangemust
beidentifiedhere)
352,103sharesaretheaward
issuedtostaffasthefirst
trancheoftheF23Employee
ShareScheme
7742sharesaretheaward
issuedtostaffasdiscretionary
bonustopayupremaining
sharesissuedunpaidinF22
ESSTranches1and2.
TotalnumberofFinancialProductsoftheClassafterthe
issue/acquisition/redemption/Conversion(excludingTreasury
Stock)andthetotalnumberofFinancialProductsoftheClass
heldasTreasuryStockaftertheissue/acquisition/redemption.
139,567,780
Inthecaseofanacquisitionofshares,whetherthoseshares
aretobeheldastreasurystock
N/A
Specificauthorityfortheissue,acquisition,orredemption,
includingareferencetotherulepursuanttowhichtheissue,
acquisition,orredemptionismade
ListingRule4.6andBoard
resolution.
Termsordetailsoftheissue,acquisition,orredemption(for
example:restrictions,escrowarrangements)
Oncefullypaidup,Employee
ShareSchemeShares
becomePaySauceOrdinary
Shares.
Dateofissue/acquisition/redemption31May2023
Section3:Authorityforthisannouncementandcontactperson
NameofpersonauthorisedtomakethisannouncementJaimeMonaghan
ContactpersonforthisannouncementJaimeMonaghan
Contactphonenumber0225246366
Contactemailaddressjaime@paysauce.com
DateofreleasethroughMAP31March2023
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.
Other issuers discussed similar conditions around this time
Matched by meaning across NZX announcement text, not keywords — based on our semantic index of announcement bodies.
- SML — Synlait Milk Limited: Notification of Lapse of Performance Share Rights2023-03-09
“Reason for issue/acquisition/redemption and specific authority for issue/acquisition/redemption/ (the reason for change must be identified here) Issue of PSRs under the SML Employee Share Scheme Total number of Financial Products of the Class after the issue/acquisition/red…”
- PFI — Property for Industry Limited: Capital Change Notice – 2023 LTI Scheme Grant2023-08-21
“accordance with the plan rules, ranking equally with all other PFI ordinary shares. The PSRs have a set exercise price of $0. Reason for issue/acquisition/redemption and specific authority for issue/acquisition/redemption/ (the reason for change must be identified here)…”
- FPH — Fisher & Paykel Healthcare Corporation Limited: Notification of Issue of Securities2023-08-08
“Capital Change Notice 8 August 2023 Issue of ordinary shares This notice is given under NZX Listing Rule 3.13.1 and relates to the issue of ordinary shares in Fisher & Paykel Healthcare Corporation Limited (“FPH”) in connection with one or more of FPH…”