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Form Serial Number: |
CS20180927E00203 |
1.
Date of relevant event: |
14/09/2018 (dd/mm/yyyy)
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2.
Date when the substantial shareholder becomes aware of the relevant event / interest in the shares (if later): |
24/09/2018 (dd/mm/yyyy)
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3.
Stock code: |
01733 |
4.
Name of listed corporation: |
E-Commodities Holdings Limited |
5.
Class of shares: |
Ordinary Shares |
6.
Number of issued shares in class: |
3,121,874,356 |
7.
Name of substantial shareholder: |
Pacific Alliance Asia Opportunity Fund L.P. |
8.
Registered office: |
P.O. Box 472, 2nd Floor, Harbour Place, 103 South Church Street, George Town, Grand Cayman, KY1-1106, Cayman Islands |
9.
Principal place of business in Hong Kong: |
N/A |
15.
Exchange on which listed: |
N/A |
16.
Name of listed parent and exchange on which parent is listed: |
N/A |
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17.
Details of relevant event: |
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Brief description of relevant event
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Capacity in which shares were/are held
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Number of shares bought/sold or involved |
Currency of transaction |
On Exchange
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Off Exchange
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Before relevant event
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After relevant event
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Highest price (per share)
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Average price (per share)
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Average consideration (per share)
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Nature of consideration
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Long position |
1113 | The percentage level of your interest in the shares has increased because: any other event (you must briefly describe the relevant event in the Supplementary Information box) |
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2201 | Interest of corporation controlled by you |
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55,466,774 |
USD |
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Short position |
1403 | You came to have a short position of 1% or more in the shares, or the percentage level of your short position in such shares increased because: any other event (you must briefly describe the relevant event in the Supplementary Information box) | |
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2201 | Interest of corporation controlled by you | |
55,466,774 |
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18.
Total shares immediately before the relevant event: |
| Total number of shares | Percentage figure (%) |
Long position | 494,816,054 | 15.85 |
Short position | 494,816,054 | 15.85 |
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19.
Total shares immediately after the relevant event: |
| Total number of shares | Percentage figure (%) |
Long position | 550,282,828 | 17.63 |
Short position | 550,282,828 | 17.63 |
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20.
Capacity in which interests disclosed in Box 19 are held: |
Capacity code | Number of shares |
2201 | Interest of corporation controlled by you |
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2201 | Interest of corporation controlled by you |
| Long position | 0 | Short position | 550,282,828 |
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21.
Further information in respect of derivative interests: |
Derivatives code | Number of shares |
4107 | Unlisted derivatives - Convertible instruments |
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4107 | Unlisted derivatives - Convertible instruments |
| Short position | 550,282,828 |
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22.
Further information in relation to interests of corporations controlled by substantial shareholder: |
Name of controlled corporation | Address and place of incorporation | Name of controlling person | % control | Direct interest (Y/N) | Number of shares |
Lord Central Opportunity VII Limited | Commence Chambers, P.O. Box 2208, Road Town, Tortola, British Virgin Islands/ British Virgin Islands | Pacific Alliance Asia Opportunity Fund L.P. | 85.71 | Y | Long position | 550,282,828 | Short position | 550,282,828 |
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23.
Further information in relation to interests held by substantial shareholder jointly with another person: |
Name of joint shareholder | Address | Number of shares |
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24.
Further information from a trustee, a beneficiary of a trust, or a person who set up a discretionary trust: |
Names of trust | Address | Status code | Number of shares |
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25.
Further information from a party to an agreement under Section 317 (Please see Notes for further information required): |
Names of other parties | Address | Number of shares |
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Total number of shares in which a substantial shareholder is interested under sections 317 and 318 | |
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26.
Details of person(s) in accordance with whose directions the substantial shareholder or its directors are accustomed to act: |
Names | Address | Relationship Code | Percentage (%) |
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27.
Supplementary information: |
Reference is made to the announcement of E-Commodities Holdings Limited dated 21 September 2018. Pursuant to the provisions on adjustments to the Conversion Price set out in the terms and conditions of the Convertible Bonds, effective from 14 September 2018 (Reset Reference Date), the Conversion Price of the Convertible Bonds was adjusted from HK$0.826 to HK$0.72 per Conversion Share.
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28.
Log/Serial Number of the previous form: |
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29.
Number of concert party document(s) under section 317 attached/uploaded: |
0
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Date of filing this Form 2: |
27/09/2018 (dd/mm/yyyy)
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