We are pleased to announce that the HSI-CFK have expired at 5.00 p.m. on 29 June 2021 ("Expiry Date"). The Cash Settlement Amount shall be an amount in the Settlement Currency (if greater than zero), calculated as follows:
Cash Settlement Amount
= Number of Structured Warrants X (Settlement Level - Exercise Level) X (1/Exercise Ratio) X Multiplier X Settlement Exchange Rate
= Number of Structured Warrants X (29,064.0000 - 31,000.0000) X (1/1200.0000) X HKD1.00 X RM/HKD 0.5349
= Number of Structured Warrants X RM 0.0000
The Settlement Level has been determined at 29,064.0000, being the final settlement price for settling the corresponding spot-month index futures contracts scheduled to expire on the scheduled Expiry Date.
As the Settlement Level is less than the Exercise Level, the Cash Settlement Amount is negative. Warrantholders will not be entitled to receive any payment of the Cash Settlement Amount.
Terms not defined in this announcement shall have the meanings given to them in the Term Sheet for the warrants and the Base Prospectus.
This announcement is dated 29 June 2021. |