Microsoft Word - App 3B 07 02 12 15 options
Appendix 3B
Rule 2.7, 3.10.3, 3.10.4, 3.10.5
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
Orion Gold NL
ABN
76 098 939 274
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).
Options.
1 +Class of +securities issued or to be issued
(i) 54,000,000
(ii) 1,000,000
-
Number of +securities issued or to be issued (if known) or maximum number which may be issued
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Principal terms of the
+securities (e.g. if options, exercise price and expiry date; if
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Unlisted options expiring 30 November 2020 and exercisable as follows:
Number of options Exercise price
partly paid +securities,
|
the
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18,000,000
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$0.020
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amount outstanding and
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due
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18,000,000
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$0.035
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dates for payment; if
+convertible securities, the conversion price and dates for conversion)
18,000,000 $0.050
Vesting conditions apply.
-
Unlisted options expiring 30 November 2020 and exercisable as follows:
Number of options
|
Exercise price
|
333,333
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$0.020
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333,333
|
$0.035
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333,334
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$0.050
|
Vesting conditions apply.
(i) and (ii)
No.
The options will not be quoted. Shares to be
issued upon exercise of the options will rank equally with all other fully paid ordinary shares on issue.
-
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:
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the date from which they do
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the extent to which they participate for the next dividend, (in the case of a trust, distribution) or interest payment
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the extent to which they do not rank equally, other than in relation to the next dividend, distribution or interest payment
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Nil.
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Nil
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Issue price or consideration
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The options have been granted to directors and executives following shareholder approval at the 2015 Annual General Meeting.
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The options have been granted to an employee pursuant to the Orion Gold Option & Performance Rights Plan.
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Purpose of the issue
(If issued as consideration for the acquisition of assets, clearly identify those assets)
No.
6aIs 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
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
6hIf +securities were issued under rule 7.1A for non-cash consideration, state date on which valuation of consideration was released to ASX Market Announcements
Rule 7.1 - 45,844,197
Rule 7.1A - 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
26 November 2015
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.
Number
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+Class
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305,627,982
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Fully paid ordinary shares
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8 Number and +class of all
+securities quoted on ASX (including the +securities in section 2 if applicable)
Number
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+Class
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18,333,333
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Unlisted options exercisable at $0.02
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expiring 30 November 2020.
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18,333,333
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Unlisted options exercisable at
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$0.035 expiring 30 November 2020.
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18,333,334
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Unlisted options exercisable at $0.05
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expiring 30 November 2020.
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9,000,000
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Unlisted options exercisable at
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$0.147849 expiring 31 May 2018.
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9,000,000
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Unlisted options exercisable at
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$0.247849 expiring 31 May 2018.
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9,000,000
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Unlisted options exercisable at
$0.347849 expiring 31 May 2018.
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1,000,000
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Unlisted options exercisable at
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$0.147849 expiring 30 April 2018.
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1,000,000
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Unlisted options exercisable at
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$0.247849 expiring 30 April 2018.
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1,000,000
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Unlisted options exercisable at
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$0.347849 expiring 30 April 2018.
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6,000,000
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Unlisted options exercisable at
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$0.347849 expiring 31 July 2016.
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250,000
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Unlisted options exercisable at $0.045
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expiring 30 November 2019.
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250,000
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Unlisted options exercisable at $0.06
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expiring 30 November 2019.
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58,775
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Contributing Shares ($0.04 paid with
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$3.96 to pay).
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-
Number and +class of all
+securities not quoted on ASX (including the +securities in section 2 if applicable)
Not applicable
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Dividend policy (in the case of a trust, distribution policy) on the increased capital (interests)
Part 2 - Pro rata issue
Questions 11 to 33 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