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SO4 Salt Lake Potash Limited

2.45
0.00 (0.00%)
Last Updated: 01:00:00
Delayed by 15 minutes
Share Name Share Symbol Market Type Share ISIN Share Description
Salt Lake Potash Limited LSE:SO4 London Ordinary Share AU000000SO44 ORD NPV (DI)
  Price Change % Change Share Price Bid Price Offer Price High Price Low Price Open Price Shares Traded Last Trade
  0.00 0.00% 2.45 0.00 01:00:00
Industry Sector Turnover Profit EPS - Basic PE Ratio Market Cap
0 0 N/A 0

Salt Lake Potash Limited Appendix 3B and Issue of Placement Shares (2907C)

14/06/2019 7:27am

UK Regulatory


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TIDMSO4

RNS Number : 2907C

Salt Lake Potash Limited

14 June 2019

 
 14 June 2019   AIM/ASX Code: SO4 
 
 
  SALT LAKE POTASH LIMITED 
         APPIX 3B 
  ISSUE OF PLACEMENT SHARES 
--------------------------- 
 

Salt Lake Potash Limited (the Company) has today released the following information on the Australian Securities Exchange (ASX), in accordance with the ASX Listing Rules.

The 25,476,000 ordinary shares of no par value (Ordinary Shares) represent the first tranche of the placement of 37.5 million Ordinary Shares (Placement) that was announced on 6 June 2019.

The balance of 12,024,000 Ordinary Shares are expected to be admitted to ASX and the full number of the Placement shares admitted to AIM on 18 June 2019.

Total Voting Rights

For the purposes of the Financial Conduct Authority's Disclosure Guidance and Transparency Rules (DTRs), following issue of the 25,476,000 Ordinary Shares, the Company will have 232,496,581 Ordinary Shares in issue with voting rights attached. The Company holds no shares in treasury. This figure of 232,496,581 may be used by shareholders in the Company as the denominator for the calculations by which they will determine if they are required to notify their interest in, or a change to their interest in the Company, under the ASX Listing Rules or the DTRs.

For further information please visit www.so4.com.au or contact:

 
 Tony Swiericzuk / Clint McGhie   Salt Lake Potash Limited   Tel: +61 8 6559 5800 
 Jo Battershill                   Salt Lake Potash Limited   Tel: +44 7540 366000 
 Colin Aaronson / Richard         Grant Thornton UK          Tel: +44 (0) 20 7383 
  Tonthat / Ben Roberts            LLP                        5100 
                                   (Nominated Adviser) 
 Derrick Lee / Beth McKiernan     Cenkos Securities          Tel: +44 (0) 131 220 
                                   plc (Joint Broker)         6939 
 Rupert Fane / Ingo Hofmaier      Hannam & Partners          Tel: +44 (0) 20 7907 
  / Ernest Bell                    (Joint Broker)             8500 
 

Important Information

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 
 SALT LAKE POTASH LIMITED 
 
 
ABN 
 98 117 085 748 
 

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                                       Ordinary Shares 
        issued or to be issued 
 
       Number of +securities 
        issued or to be issued 
        (if known) or maximum 
        number which may be 
 2      issued                                                     25,476,000 
 
 3     Principal terms of                                          Fully paid ordinary shares 
        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) 
 
 4     Do the +securities                                                       Yes 
       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 
 
 5     Issue price or consideration                                $0.54 
 
  6    Purpose of the issue                                                     Proceeds from the issue will 
        (If issued as consideration                                              be used to fund ongoing construction 
        for the acquisition                                                      of the Lake Way Project, including 
        of assets, clearly                                                       the development of on-lake infrastructure, 
        identify those assets)                                                   the payment of deposits on certain 
                                                                                 process plant long-lead items, 
                                                                                 completion of feasibility studies, 
                                                                                 and general working capital. 
                                                                  ---------------------------------------------------------------- 
 
  6a   Is the entity an +eligible                                               Yes 
        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 
 
  6b   The date the security                                       30 November 2018 
        holder resolution 
        under rule 7.1A was 
        passed 
 
       Number of +securities 
        issued without security 
        holder approval under 
  6c    rule 7.1                                                      4,822,231 
 
       Number of +securities 
        issued with security 
        holder approval under 
  6d    rule 7.1A                                                  20,653,769 
 
  6e   Number of +securities                                          Nil 
        issued with security 
        holder approval under 
        rule 7.3, or another 
        specific security 
        holder approval (specify 
        date of meeting) 
 
  6f   Number of +securities                                       Nil 
        issued under an exception 
        in rule 7.2 
 
  6g   If +securities issued                                                    Yes 
        under rule 7.1A, was 
        issue price at least                                                     Issue date: 14 June 2019 
        75% of 15 day VWAP                                                       Issue price: $0.54 
        as calculated under                                                      15 day VWAP: $0.6144 
        rule 7.1A.3? Include 
        the +issue date and 
        both values. Include 
        the source of the 
        VWAP calculation. 
 
  6h   If +securities were                                         Not Applicable 
        issued under rule 
        7.1A for non-cash 
        consideration, state 
        date on which valuation 
        of consideration was 
        released to ASX Market 
        Announcements 
 
  6i   Calculate the entity's                                      7.1 - 11,201,537 
        remaining issue capacity 
        under rule 7.1 and 
        rule 7.1A - complete 
        Annexure 1 and release 
        to ASX Market Announcements 
                                                                    7.1A - Nil 
 
 7                    +Issue dates                                 14 June 2019 
                       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. 
 
                                                                   Number                                        +Class 
         Number and +class 
          of all +securities 
          quoted on ASX (including 
          the +securities in 
 8        section 2 if applicable)                                 232,496,581                                   Ordinary Shares 
                                                                                                                ------------------ 
 
 
 
                                     Number                     +Class 
                                                                             Class B Performance 
                                                                              Shares 
 
                                                                              Class C Performance 
                                                                              Shares 
 
                                                                              Incentive Options 
                                                                              exercise price $0.50, 
                                                                              expiry date 29 April 
                                                                              2020 
 
                                                                              Incentive Options 
                                                                              exercise price $0.60, 
                                                                              expiry date 29 April 
                                                                              2021 
 
                                                                              Incentive Options 
                                                                              exercise price $0.40, 
                                                                              expiry date 30 June 
                                                                              2021 
 
                                                                              Incentive Options 
                                                                              exercise price $0.50, 
                                                                              expiry date 30 June 
                                                                              2021 
                                                  7,500,000 
                                                                              Incentive Options 
                                                   10,000,000                 exercise price $0.60, 
                                                                              expiry date 30 June 
                                                   750,000                    2021 
 
                                                                              Incentive Options 
                                                   1,000,000                  exercise price $0.70, 
                                                                              expiry date 30 June 
                                                                              2021 
                                                   250,000 
                                                                              Incentive Options 
                                                                              exercise price $0.60, 
                                                   500,000                    expiry date 1 November 
                                                                              2023 
 
                                                   750,000                    Incentive Options 
                                                                              exercise price $1.00, 
                                                                              expiry date 1 November 
                                                   400,000                    2023 
 
                                                                              Incentive Options 
                                                   1,700,000                  exercise price $1.20, 
                                                                              expiry date 1 November 
                                                                              2023 
 
                                                   2,750,000                  Performance rights 
                                                                              which are subject 
                                                                              to various performance 
                                                                              conditions to be 
      Number and +class                            3,000,000                  satisfied prior to 
       of all +securities                                                     the relevant expiry 
       not quoted on ASX                                                      dates between 31 
       (including the +securities                                             December 2018 and 
 9     in section 2 if applicable)                 21,095,016                 1 November 2023 
                                                               ------------------------------------- 
 
 10   Dividend policy (in            Not Applicable 
       the case of a trust, 
       distribution policy) 
       on the increased capital 
       (interests) 
 

Part 2 -- Pro rata issue

 
 11   Is security holder                     Not Applicable 
       approval required? 
 
 12   Is the issue renounceable              Not Applicable 
       or non-renounceable? 
 
 13   Ratio in which the                     Not Applicable 
       +securities will be 
       offered 
 
 14   +Class of +securities                  Not Applicable 
       to which the offer 
       relates 
 
 15   +Record date to determine              Not Applicable 
       entitlements 
 
 16   Will holdings on different             Not Applicable 
       registers (or subregisters) 
       be aggregated for calculating 
       entitlements? 
 
 17   Policy for deciding                    Not Applicable 
       entitlements in relation 
       to fractions 
 
 18                Names of countries        Not Applicable 
                    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. 
 
 19   Closing date for receipt               Not Applicable 
       of acceptances or renunciations 
 
 
 
 20   Names of any underwriters      Not Applicable 
 
 21   Amount of any underwriting     Not Applicable 
       fee or commission 
 
 22   Names of any brokers           Not Applicable 
       to the issue 
 
 23   Fee or commission payable      Not Applicable 
       to the broker to the 
       issue 
 
 24   Amount of any handling         Not Applicable 
       fee payable to brokers 
       who lodge acceptances 
       or renunciations on 
       behalf of security 
       holders 
 
 25   If the issue is contingent     Not Applicable 
       on security holders' 
       approval, the date 
       of the meeting 
 
 26   Date entitlement and           Not Applicable 
       acceptance form and 
       offer documents will 
       be sent to persons 
       entitled 
 
 27   If the entity has issued       Not Applicable 
       options, and the terms 
       entitle option holders 
       to participate on exercise, 
       the date on which notices 
       will be sent to option 
       holders 
 
 28   Date rights trading            Not Applicable 
       will begin (if applicable) 
 
 29   Date rights trading            Not Applicable 
       will end (if applicable) 
 
 30   How do security holders        Not Applicable 
       sell their entitlements 
       in full through a broker? 
 
 31   How do security holders        Not Applicable 
       sell part of their 
       entitlements through 
       a broker and accept 
       for the balance? 
 
 
 
 32   How do security holders          Not Applicable 
       dispose of their entitlements 
       (except by sale through 
       a broker)? 
 
 33   +Issue date                      Not Applicable 
 

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 
 

Entities that have ticked box 34(b)

 
 38   Number of +securities                                        Not Applicable 
       for which +quotation 
       is sought 
 
 39   +Class of +securities                                        Not Applicable 
       for which quotation 
       is sought 
 
 40   Do the +securities                                           Not Applicable 
       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 
 
 41                Reason for request                              Not Applicable 
                    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) 
 
                                                                   Number           +Class 
 42   Number and +class of 
       all +securities quoted 
       on ASX (including the 
       +securities in clause 
       38) 
                                                                                   --------- 
 
 

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: 14 June 2019

(Director/Company secretary)

   Print name:         Clint McGhie 

== == == == ==

Notice Under Section 708A

Salt Lake Potash Limited (the Company) has today issued 25,476,000 fully paid ordinary shares. The issued shares are part of a class of securities quoted on Australian Securities Exchange ("ASX").

The Company hereby notifies ASX under paragraph 708A(5)(e) of the Corporations Act 2001 (Cwth) (the "Act") that:

1. the Company issued the securities without disclosure to investors under Part 6D.2 of the Act;

2. as at the date of this notice, the Company has complied with the provisions of Chapter 2M of the Corporations Act as they apply to the Company, and section 674 of the Act; and

3. as at the date of this notice, there is no information that is "excluded information" within the meaning of sections 708A(7) and (8) of the Act.

This information is provided by RNS, the news service of the London Stock Exchange. RNS is approved by the Financial Conduct Authority to act as a Primary Information Provider in the United Kingdom. Terms and conditions relating to the use and distribution of this information may apply. For further information, please contact rns@lseg.com or visit www.rns.com.

END

MSCUSUNRKOANARR

(END) Dow Jones Newswires

June 14, 2019 02:27 ET (06:27 GMT)

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