This Application Form uses the same terms as defined in the prospectus of Chanhigh Holdings Limited (the “Company”)
dated 21 March, 2017 (the “Prospectus”).
本申请表格使用沧海控股有限公司(「本公司」)於二零一七年三月二十一日刊发的招股章程(「招股章
程」)所界定的相同词语。
Neither this Application Form nor the Prospectus constitutes an offer to sell or the solicitation of an offer to buy any
Hong Kong Offer Shares in any jurisdiction other than Hong Kong. The Hong Kong Offer Shares may not be offered
or sold in the United States without registration or an exemption from registration under the U.S. Securities Act.
本申请表格及招股章程概不构成在香港以外司法权区要约出售或游说要约购买任何香港发售股份。
若无根据美国证券法登记或豁免登记,香港发售股份不得在美国提呈发售或出售。
This Application Form and the Prospectus may not be forwarded or distributed or reproduced (in whole or in part) in
any manner whatsoever in any jurisdiction where such forwarding, distribution or reproduction is not permitted under
the law of that jurisdiction.
任何根据当地法例不得发送、派发或复制本申请表格及招股章程的司法权区内概不得发送或派发或
复制(不论方式,也不论全部或部分)本申请表格及招股章程。
Copies of the Prospectus, all related Application Forms and the other documents specified in the paragraph headed
“Documents Delivered to the Registrar of Companies and Available for Inspection - Documents delivered to the
Registrar of Companies” section in Appendix VI to the Prospectus, have been registered by the Registrar of Companies
in Hong Kong as required by Section 342C of the Companies (Winding Up and Miscellaneous Provisions) Ordinance
(Chapter 32 of the Laws of Hong Kong). Hong Kong Exchanges and Clearing Limited, The Stock Exchange of Hong
Kong Limited (the “Stock Exchange”), Hong Kong Securities Clearing Company Limited (“HKSCC”), the Securities
and Futures Commission of Hong Kong (the “SFC”) and the Registrar of Companies of Hong Kong take no responsibility
for the contents of these documents.
招股章程、所有相关申请表格及招股章程附录六「送呈公司注册处处长及备查文件-送呈公司注册处
处长文件」一段所述文件已遵照香港法例第32章《公司(清盘及杂项条文)条例》第342C条的规定送呈香港
公司注册处处长登记。香港交易及结算所有限公司、香港联合交易所有限公司(「联交所」)、香港中央结
算有限公司(「香港结算」)、香港证券及期货事务监察委员会(「证监会」)及香港公司注册处处长对此等文
件的内容概不负责。
Chanhigh Holdings Limited
沧海控股有限公司
(incorporated in the Cayman Islands with limited liability)
(於开曼群岛注册成立的有限公司)
Stock code : 2017
股份代号: 2017
Maximum Offer Price : HK$2.38 per Hong Kong Offer Share, plus brokerage
of 1%, SFC transaction levy of 0.0027% and Stock
Exchange trading fee of 0.005% (payable in full on
application in Hong Kong dollars and subject to refund)
最高发售价: 每股香港发售股份2.38港元,另加1%经纪佣
金、0.0027%证监会交易徵费及0.005%联交所
交易费(须於申请时以港元缴足,可予退款)
You should read this Application Form in conjunction with the Prospectus, which contains further information
on the application procedures.
招股章程尚有其他关於申请程序的其他资料,本申请表格应与招股章程一并阅读。
Application Form 申请表格
Please use this form if you want the Hong Kong Offer Shares to be issued in the name of HKSCC Nominees
Limited (“HKSCC Nominees”) and deposited directly into the Central Clearing and Settlement System (“CCASS”)
for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS
Participant 如 阁下欲以香港中央结算(代理人)有限公司(「香港结算代理人」)的名义登记将获发行的
香港发售股份,并直接存入中央结算及交收系统(「中央结算系统」),以记存於 阁下的中央结算系统投
资者户口持有人股份户口或 阁下指定的中央结算系统参与者股份户口,请使用本表格
Staple your
payment here
请将股款
紧钉在此
致: 沧海控股有限公司
独家保荐人
独家全球协调人
独家账簿管理人
香港包销商
申请人声明
本人/吾等同意本申请表格及招股章程的条款及条件
以及申请程序。见本申请表格「填交本申请表格的效
用」一节。
警告:任何人士只限作出一次为其利益而进行的认购
申请。请参阅「填交本申请表格的效用」一节最後四
点。
To: Chanhigh Holdings Limited
Sole Sponsor
Sole Global Coordinator
Sole Bookrunner
Hong Kong Underwriters
Applicants’ declaration
I/We agree to the terms and conditions and application
procedures in this Application Form and the Prospectus.
Please refer to the “Effect of completing and submitting this
Application Form” section of this Application Form.
Warning: Only one application may be made for the benefit
of any person. Please refer to the last four bullets of “Effect of
completing and submitting this Application Form” section.
Sample
32章
所有限公司
及期货事务监察
Chanhigh Holdings Limited oldings Limi
沧海控股有限公司 海控股有限
ncorporated in the Cayman Islands with li in the Cayman Islan
(於开曼群岛注册成立的有限 於开曼群岛注册成
Stock code : 2017 Stock code :
股份代号:20
Maximum Offer Price :
最高发
You should read this Application Form u should read this Applica pp
the application procedures. he application procedur pp p
S
章程尚有其他关於申请程序 章程尚有其他关於
pp p pp
h Holdings Limit h Hol
or
Coordin
样版
招
ation of an off n of
fer Shares may not Shar
nder the U.S. Securities the U.S. Securi
要约购买任何香港发售股 约购买任何香港发
呈发售或出售。
ed or reproduced (in whole or in part) in or reproduced (in whole or i
tion or reproduction is not permitted under ion or reproduction is not permitted under
股章程的司法权区内概不得发送或派发或 的司法权区内概不得发送或派发或
章程。 章程
e other documents specified in the paragraph head ther documents specified in the paragraph
Available for Inspection - Documents delivered able for Inspection - Documents delivere
pectus, have been registered by the Registrar of Co
anies (Winding Up and Miscellaneous Provisions) es (Winding Up and Miscellaneous Provisions
Exchanges and Clearing Limited, The Stock Exch nges and Clearing Limited, The Stoc
Securities Clearing Company Limited (“ Securities Clearing Company Lim HKSCC KS ”
”) and the Registrar of Companies of Hong Kong tak nd the Registrar of Companies of Hong Kong t
录六「送呈公司注册处处长及备查文件 「送呈公司注册处处长及备查
章《公司(清盘及杂项条文)条例》 (清盘及杂项条文)条例》第
司、香港联合交易所有限公司 香港联合交易所有限公司
察委员会 员会(「 (「证监会 证 」) 」及香
Please use this form if you want the Hong Kong Offer Shares to be issued in the name of HKSCC Nominees
Limited (“HKSCC Nominees”) and deposited directly into the Central Clearing and Settlement System (“CCASS”)
for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS
Participant 如 阁下欲以香港中央结算(代理人)有限公司(「香港结算代理人」)的名义登记将获发行的
香港发售股份,并直接存入中央结算及交收系统(「中央结算系统」),以记存於 阁下的中央结算系统投
资者户口持有人股份户口或 阁下指定的中央结算系统参与者股份户口,请使用本表格
Signed by (all) applicant(s) (all joint applicants must sign):
由(所有)申请人签署(所有联名申请人必须签署):
................................................................................................................
Date: 日期:..................../..................../....................
D 日 M 月 Y 年
Number of Hong Kong Offer Shares applied for (not more than
7,500,000 shares)
申请香港发售股份数目(不超过7,500,000股股份)
Total amount 总额
HK$ 港元
Name in English 英文姓名/名称
Family name or company name 姓氏或公司名称 Forename(s) 名字
Name in Chinese 中文姓名/名称
Family name or company name 姓氏或公司名称 Forename(s) 名字
Occupation in English 职业(以英文填写)
Names of all other joint applicants in English (if any)
所有其他联名申请人的英文姓名/名称(如有)
1)
2)
3)
Hong Kong address in English and telephone no. (joint applicants should give the address and the telephone number of first-named applicant
only) 香港地址(以英文填写)及电话号码(联名申请人只须填写排名首位申请人的地址及电话号码)
Telephone No. 电话号码
For Nominees: You will be treated as applying for your own benefit if
you do not complete this section. Please provide an account number or
identification code for each (joint) beneficial owner. 由代名人递交:
代名人若不填写本节,是项认购申请将视作为 阁下利益提
出。请填写每名(联名)实益拥有人的账户号码或识别编码。
ADDRESS LABEL 地址标贴(Your name(s)and address in Hong
Kong in BLOCKletters 请用英文正楷填写 阁下姓名�u名称及
香港地址)
For Internal use 此栏供内部使用
For Broker use 此栏供经纪填写 Lodged by 递交申请的经纪
Broker No. 经纪号码 Broker’s Chop 经纪印章
Cheque/banker’s cashier order number 支票/银行本票号码
Name of bank on which cheque/Banker’s cashier order is drawn
(see “How to make your application” section) 兑现支票/银行
本票的银行名称(见「申请手续」一节)
Hong Kong Identity Card No./Passport No./Hong Kong Business
Registration No.* (Please delete as appropriate) 香港身份证号码/
护照号码/香港商业登记号码*(请删除不适用者)
Hong Kong Identity Card No./Passport No./Hong Kong Business
Registration No. of all other joint applicants*(Please delete as
appropriate) 所有其他联名申请人的香港身份证号码/护照号码
/香港商业登记号码*(请删除不适用者)
1)
2)
3)
THIS BOX MUST BE DULY COMPLETED
必须填妥此栏
Participant I.D. of the CCASS Investor Participant or
designated CCASS Participant 中央结算系统投资者户口
持有人或指定的中央结算系统参与者的参与者编号
For designated CCASS Participant or Corporate CCASS Investor
Participant, please also affix the company chop bearing its
company name 指定的中央结算系统参与者或中央结算系统
公司投资者户口持有人,请加盖显示公司名称的公司印监
(See paragraph 2 in the section “How to make your application”)
(请参阅「申请手续」一节第2段)
le
Forena
pl
(if any)
名称(如有)
mpl mp
n English and telephone no. (joint applicants sho d telephone no. (joint applicants sho
以英文填写)及电话号码(联名申请人只须 及电话号码(联名申
g p (j pp p(j
Sam
Nominees: You will be treated as applying for you ominees: You will be treated as appl
ou do not complete this section. Please provide an do not complete this section. Pleas
entification code for each (joint) beneficial own ification code for each (joint) ben
名人若不填写本节,是项认购申请将 人若不填写本节,是项认
(j ) j
请填写每名(联名)实益拥有人的 请填写每名(联名)实
S ple EL EL地址标贴
tters 请用
Hong Kong Iden ong Kong Iden
Registration No.* (P egistration No.*
护照号码/香港商业 护照号码/香港
g( g
ple pHong Kong Identity Hong Ko
Registration No gist
appropriate) pr 所
/香港商业
pp p )
p1)
p2)
样版
name(s) ame(s) 名字
样
me(s) 名字
样版版
number ber 支票/银行本票号码 支票/银行本票
样版
h cheque/Banker cheque/Banker’s cashier order is drawn
your application pplication”section) 兑现支票/银行
(见「申请手续」一节) 请手续」
ypp
tity Card N dN
Please d
业登
Please use this form if you want the Hong Kong Offer Shares to be issued in the name of HKSCC Nominees
Limited (“HKSCC Nominees”) and deposited directly into the Central Clearing and Settlement System (“CCASS”)
for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS
Participant 如 阁下欲以香港中央结算(代理人)有限公司(「香港结算代理人」)的名义登记将获发行的
香港发售股份,并直接存入中央结算及交收系统(「中央结算系统」),以记存於 阁下的中央结算系统投
资者户口持有人股份户口或 阁下指定的中央结算系统参与者股份户口,请使用本表格
* (1) If you are a CCASS Investor Participant, only a Hong Kong Identity Card number (if you are an individual) or a
Hong Kong Business Registration number (if you are a body corporate) will be accepted for this application, please
see paragraph 2 under the section “How to make your application”.
如 阁下为中央结算系统投资者户口持有人,是项申请仅接纳香港身份证号码(如属个别人士)
或香港商业登记号码(如属法人团体);请参阅「申请手续」一节第2段。
(2) If you are applying through a designated CCASS Participant (other than a CCASS Investor Participant): For an
individual, you must provide your Hong Kong Identity Card number or passport number. If you hold a Hong Kong
Identity Card, please provide that number. If you do not hold a Hong Kong Identity Card, please provide your
passport number. For a body corporate, please provide your Hong Kong Business Registration number.
如 阁下透过中央结算系统投资者户口持有人以外的指定中央结算系统参与者提出申请:如属
个别人士,必须填写 阁下的香港身份证号码或护照号码(持有香港身份证者请填写香港身份证
号码,否则请填写护照号码);如属法人团体,请填写香港商业登记号码。
(3) Part of the Hong Kong Identity Card number/passport number of you or, for joint applicants, the first-named
applicant may be printed on your refund cheque (if any). Such data will be used for checking the validity of
Application Form and such data would also be transferred to a third party for such purpose and refund purpose.
Your banker may require verification of your Hong Kong Identity Card number/passport number before you can
cash your refund cheque.
退款支票(如有)上或会印有 阁下或(如属联名申请人)排名首位申请人的香港身份证号码�u护
照号码的一部分。有关资料将用於核实申请表格的有效性,亦会转交第三方作资料核实和退
款。银行兑现退款支票前或会要求查证 阁下的香港身份证号码�u护照号码。
(4) If an application is made by an unlisted company and:
the principal business of that company is dealing in securities; and
you exercise statutory control over that company,
then the application will be treated as being made for your benefit.
倘若申请人是一家非上市公司,而:
该公司主要从事证券买卖业务;及
阁下对该公司可行使法定控制权,
是项申请将视作为 阁下的利益提出。
(5) All joint applicants must give (if they are individuals) their Hong Kong Identity Card numbers or, where applicable,
passport numbers, or (if they are bodies corporate) their Hong Kong Business Registration numbers.
所有联名申请人必须提供(如属个别人士)其香港身份证号码或(如适用)护照号码,或(如属法人
团体)其香港商业登记号码。
Sample
ny)
ferred to
ng Kong Identity Identity
或(如属联名申请人) (如属联名申请人排名首 排名
用於核实申请表格的有效性,亦会 申请表格的有效性
会要求查证 阁下的香港身份证号码 证 阁下的香
an unlisted company and: company and:
ess of that company is dealing in securitie company is dealing i
tutory control over that company, rol over that company
on will be treated as being made for your treated as being made for you
是一家非上市公司,而: 非上市公司,而:
司主要从事证券买卖业务;及 事证券买卖业务
阁下对该公司可行使法定控制权, 公司可行使法定控
是项申请将视作为 阁下的利益提出 项申请将视作为 阁下的利
5) All joint applicants must give (if they All joint applicants must gi
passport numbers, or (if they are passport numbers, or (if
所有联名申请人必须提供 所有联名申请人
)其香港商业登记 其香港商
样版
码(如属 (如
SS Investor Participant): For S Investor Participant)
rt number. If you hold a Hong Kong t number. If you hold a Hong
ng Identity Card, please provide your dentity Card, please provide your
g Business Registration number. usiness Registration numb
定中央结算系统参与者提出申请:如 中央结算系统参与者提出申请
号码(持有香港身份证者请填写香港身 (持有香港身份证者请填写香港
填写香港商业登记号码。 填写香港商业登记号码
t number of you or, for joint applicants ber of you or, for joint applica
. Such data will be used for che Such data will be used for
a third party for such purp rd party for such purp
y Card number/pass Card number/p
首位申
This page is intentionally left blank
此乃白页 特意留空
Sample le
page is intentionally left blank ge is intentionally left blan
ple
此乃白页 特意留空 页 特意留空 样版 样
Please use this form if you want the Hong Kong Offer Shares to be issued in the name of HKSCC Nominees
Limited (“HKSCC Nominees”) and deposited directly into the Central Clearing and Settlement System (“CCASS”)
for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS
Participant
How to make your application
1. Use the table below to calculate how much you must pay. Your application must be for a minimum of 2,000 Hong
Kong Offer Shares and in one of the numbers set out in the table, or your application will be rejected.
2. You, as the applicant(s), must complete the form in English as indicated below and sign on the second page of the
Application Form. Only written signatures will be accepted (and not by way of personal chop).
If you are applying through a designated CCASS Participant (other than a CCASS Investor Participant):
the designated CCASS Participant must endorse the form with its company chop (bearing its company name)
and insert its participant I.D. in the appropriate box.
If you are applying as an individual CCASS Investor Participant:
the form must contain your NAME and Hong Kong I.D. Card number.
your participant I.D. must be inserted in the appropriate box.
If you are applying as a joint individual CCASS Investor Participant:
the form must contain all joint investor participants’ NAMES and the Hong Kong I.D. Card number of all
joint investor participants;
your participant I.D. must be inserted in the appropriate box.
If you are applying as a corporate CCASS Investor Participant:
the form must contain your company NAME and Hong Kong Business Registration number;
your participant I.D. and your company chop (bearing your company name) must be inserted in the appropriate box.
Incorrect or omission of details of the CCASS Participant including participant I.D. and/ or company chop bearing
its company name or other similar matters may render your application invalid.
NUMBER OF HONG KONG OFFER SHARES THAT MAY BE APPLIED FOR AND PAYMENTS
Number of Amount payable Number of Amount payable Number of Amount payable
Hong Kong Offer on application Hong Kong Offer on application Hong Kong Offer on application
Shares applied for HK$ Shares applied for HK$ Shares applied for HK$
2,000 4,807.97
4,000 9,615.94
6,000 14,423.90
8,000 19,231.86
10,000 24,039.83
12,000 28,847.80
14,000 33,655.77
16,000 38,463.73
18,000 43,271.70
20,000 48,079.67
30,000 72,119.50
40,000 96,159.33
50,000 120,199.16
60,000 144,239.00
70,000 168,278.83
80,000 192,318.66
90,000 216,358.49
100,000 240,398.33
200,000 480,796.65
300,000 721,194.98
400,000 961,593.30
500,000 1,201,991.63
600,000 1,442,389.96
700,000 1,682,788.28
800,000 1,923,186.61
900,000 2,163,584.93
1,000,000 2,403,983.26
2,000,000 4,807,966.52
3,000,000 7,211,949.78
4,000,000 9,615,933.04
5,000,000 12,019,916.30
6,000,000 14,423,899.56
7,000,000 16,827,882.82
7,500,000
(1)
18,029,874.45
(1)
Maximum number of Hong Kong
Offer Shares you may apply for.
Sample
lete the form in English as indicated below English as indica
signatures will be accepted (and not by w will be accepted (an
designated CCASS Participant (other tha d CCASS Participant
S Participant must endorse the form with t must endorse th
cipant I.D. in the appropriate box. . in the appropriate bo
as an individual CCASS Investor Particip dual CCASS Investo
ust contain your NAME and Hong Kong n your NAME and Hong Kong
rticipant I.D. must be inserted in the appro D. must be inserted in the appro
applying as a joint individual CCASS In a joint individual C
he form must contain all joint investor pa ust contain all joint in
joint investor participants;
your participant I.D. must be inserte your participant I.D. must b
If you are applying as a corporate CC If you are applying as a corpo
the form must contain your co the form must contai
your participant I.D. and you your participan
orrect or omission of deta missi
mpany name or oth pany nam
le
1,20
1,442,3
1,682,788. 682,788.
000 1,923,186.61
00,000 2,163,584.93 ,000 2,163, 样版
rejected ejec
样版版
D PAYMENTS AYM
样
ber of Amount payable f Amount p
Kong Offer on application Kong Offer on applica
版
ares applied for HK$
66
58.49 8.49
0,398.33 33
480,796.65 480,796.
721,194.98 1,194.98
961,593.30 ,593.30
01,991.63 1,991.63
89.96 96
28
1,000,000 2,403,983.26 000,000 2,403,983.2
2,000,000 4,807,966.52 0,000 4,807,966.5
3,000,000 7,211,949.78 ,000,000 7,211,949.
4,000,000 9,615,933. 4,000,000 9,615,933
5,000,000 12,019,9 0,000 12,019
6,000,000 14,42 6,000,000 14
7,000,000 16 7,000,000
7,500,000 7,500,0
(1)
(1) M
Please use this form if you want the Hong Kong Offer Shares to be issued in the name of HKSCC Nominees
Limited (“HKSCC Nominees”) and deposited directly into the Central Clearing and Settlement System (“CCASS”)
for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS
Participant
3. Staple your cheque or banker’s cashier order to the form. Each application for the Hong Kong Offer Shares must be
accompanied by either one separate cheque or one separate banker’s cashier order. Your application will be rejected
if your cheque or banker’s cashier order does not meet all the following requirements:
The cheque must: Banker’s cashier order must:
be in Hong Kong dollars;
not be post-dated;
be made payable to “Bank of Communications (Nominee) Co. Ltd. �C Chanhigh Holdings Public Offer”;
be crossed “Account Payee Only”;
be drawn on your Hong Kong dollar bank account in be issued by a licensed bank in Hong Kong, and have
Hong Kong; and your name certified on the back by a person authorised
show your account name, which must either be by the bank. The name on the banker’s cashier order
pre-printed on the cheque, or be endorsed on the back must correspond with your name. If it is a joint
by a person authorised by the bank. This account application, the name on the back of the banker’s cashier
name must correspond with your name. If it is a joint order must be the same as the first-named applicant’s
application, the account name must be the same as name.
the first-named applicant’s name.
4. Tear off the Application Form, fold it once and lodge your completed Application Form (with cheque or banker’s
cashier order attached) to one of the collection boxes at any of the following branches of:
Bank of Communications Co., Ltd. Hong Kong Branch
District Branch name Address
Hong Kong Island Central District Sub-Branch G/F., Far East Consortium
Building, 125A Des Voeux
Road Central, Central
Chai Wan Sub-Branch G/F., 121-121A
Wan Tsui Road,
Chai Wan Cinema Building,
Chai Wan
Kowloon Tsim Sha Tsui Sub-Branch Shop Nos.1-3 on G/F.,
CFC Tower, 22-28 Mody Road,
Tsim Sha Tsui
Cheung Sha Wan Plaza Unit G04 on G/F.,
Sub-Branch Cheung Sha Wan Plaza,
833 Cheung Sha Wan Road
New Territories Tiu Keng Leng Sub-Branch Shops Nos. L2-064 and
L2-065, Level 2,
Metro Town, Tiu Keng Leng
5. Your Application Form can be lodged at these times:
Tuesday, 21 March 2017 ― 9:00 a.m. to 5:00 p.m.
Wednesday, 22 March 2017 ― 9:00 a.m. to 5:00 p.m.
Thursday, 23 March 2017 ― 9:00 a.m. to 5:00 p.m.
Friday, 24 March 2017 ― 9:00 a.m. to 12:00 noon
6. The latest time for lodging your application is 12:00 noon on Friday, 24 March 2017. The application lists will be
open from 11:45 a.m. to 12:00 noon on that day, subject only to the weather conditions, as described in the section
headed “How to Apply for Hong Kong Offer Shares �C 10. Effect of Bad Weather on the Opening of the Application
Lists” in the Prospectus.
Sample
your co
es at any of th
ong Branch ch
e Address Addre
District Sub-Branch G/F., Far Eas -Branch G/F., F
Building, 12 B
Road Cen
Chai Wan Sub-Branch G/F. n Sub-Branch
W
Tsim Sha Tsui Sub-Bran
Cheung Sha W Cheu
Sub-Branc S
New Territories Tiu New Territories
lication For lic
样版 样样版版
igh Holdings Public Offer h Holdings Public Offe”;
版
a licensed bank in Hong Kong, and have d bank in Hong Kong, and
certified on the back by a person authorised ertified on the back by a person auth
ank. The name on the banker The name on the banker’s cashier ord s cashier
t correspond with your name. If it is a joint correspond with your name. If it is a join
plication, the name on the back of the banker ion, the name on the back of the bank
order must be the same as the first-named order must be the same as the first-na
name. ame.
ompleted Application Form (w eted Application Form
he following branches o ollowing branc
如 阁下欲以香港中央结算(代理人)有限公司(「香港结算代理人」)的名义登记将获发行的香港发售股
份,并直接存入中央结算及交收系统(「中央结算系统」),以记存於 阁下的中央结算系统投资者户口持
有人股份户口或 阁下指定的中央结算系统参与者股份户口,请使用本表格
申请手续
1. 使用下表计算 阁下应付的款项。 阁下申请认购的股数须至少为2,000股香港发售股份,并为
下表所列的其中一个数目,否则恕不受理。
2. 阁下作为申请人,必须按照下列指示以英文填妥表格,并於申请表格第二页签署,只接纳亲笔
签名(不得以个人印章代替)。
如 阁下透过中央结算系统投资者户口持有人以外的指定中央结算系统参与者提出申请:
该指定中央结算系统参与者必须於表格盖上公司印监(附有公司名称),并在适当方格内填
写参与者编号。
如 阁下以个人中央结算系统投资者户口持有人名义提出申请:
表格须载有 阁下的姓名和香港身份证号码。
须在适当方格内填写 阁下的参与者编号。
如 阁下以联名个人中央结算系统投资者户口持有人名义提出申请:
表格须载有所有联名投资者户口持有人的姓名和香港身份证号码;
须在适当方格内填写 阁下的参与者编号。
如 阁下以公司中央结算系统投资者户口持有人名义提出申请:
表格须载有 阁下的公司名称和香港商业登记号码;
须在适当方格内填写 阁下的参与者编号并盖上公司印监(附有公司名称)。
中央结算系统参与者的资料(包括参与者编号及�u或显示公司名称之公司印监)如有不确或遗漏
或其他类似事项,均可能导致申请无效。
可供申请认购的香港发售股份数目及应缴款项一览表
申请认购的 申请时 申请认购的 申请时 申请认购的 申请时
香港发售 应缴款项 香港发售 应缴款项 香港发售 应缴款项
股份数目 港元 股份数目 港元 股份数目 港元
2,000 4,807.97
4,000 9,615.94
6,000 14,423.90
8,000 19,231.86
10,000 24,039.83
12,000 28,847.80
14,000 33,655.77
16,000 38,463.73
18,000 43,271.70
20,000 48,079.67
30,000 72,119.50
40,000 96,159.33
50,000 120,199.16
60,000 144,239.00
70,000 168,278.83
80,000 192,318.66
90,000 216,358.49
100,000 240,398.33
200,000 480,796.65
300,000 721,194.98
400,000 961,593.30
500,000 1,201,991.63
600,000 1,442,389.96
700,000 1,682,788.28
800,000 1,923,186.61
900,000 2,163,584.93
1,000,000 2,403,983.26
2,000,000 4,807,966.52
3,000,000 7,211,949.78
4,000,000 9,615,933.04
5,000,000 12,019,916.30
6,000,000 14,423,899.56
7,000,000 16,827,882.82
7,500,000
(1)
18,029,874.45
(1) 阁下可申请认购的香港发售股份
最高数目。
Sample
下列指示以英文填妥表格,并於申请 以英文填妥表
替)。
算系统投资者户口持有人以外的指定 者户口持有人
算系统参与者必须於表格盖上公司 与者必须於表格盖
号。
个人中央结算系统投资者户口持有 央结算系统投资者户口持有
须载有 阁下的姓名和香港身份证 阁下的姓名和香港
须在适当方格内填写 阁下的参与者 方格内填写 阁下
阁下以联名个人中央结算系统投 阁下以联名个人中央结算
表格须载有所有联名投资者户 表格须载有所有联名
须在适当方格内填写 阁下 须在适当方格内填
如 阁下以公司中央结算系 如 阁下以公司
表格须载有 阁下的 表格须载有
在适当方格内 在适当
系统参与
事
le e
9
1,201,
1,442,389 42,389
00 1,682,788.28 ,682,788.
0,000 1,923,186.61 000 1,923,1
900,000 2,163,584.93 ,000 2,163,584.93 样版
发售
样版版
表
样
请认购的 请认 申请时 请时
香港发售 应缴款项
样版
股份数目 港元元
3
8.66
,358.49 49
240,398.33 240,398.3
480,796.65 80,796.65
721,194.98 194.98
61,593.30 1,593.30
991.63 63
.96 6
1,000,000 2,403,983.26 0,000 2,403,983.2
2,000,000 4,807,966.52 00 4,807,966.5
3,000,000 7,211,949.7 3,000,000 7,211,949
4,000,000 9,615,93 4,000,000 9,615,9
5,000,000 12,019 5,000,000 12
6,000,000 14
7,000,000
7,500,000
(1)
(1) 1)
如 阁下欲以香港中央结算(代理人)有限公司(「香港结算代理人」)的名义登记将获发行的香港发售股
份,并直接存入中央结算及交收系统(「中央结算系统」),以记存於 阁下的中央结算系统投资者户口持
有人股份户口或 阁下指定的中央结算系统参与者股份户口,请使用本表格
3. 阁下须将支票或银行本票钉於表格上。每份香港发售股份申请须附一张独立开出支票或一张独
立开出银行本票。支票或银行本票必须符合以下所有规定,否则有关的认购申请不获接纳:
支票必须: 银行本票必须:
为港元;
不得为期票;
注明抬头人为「交通银行(代理人)有限公司-沧海控股公开发售」;
划线注明「只准入抬头人账户」;
从 阁下在香港的港元银行账户中开出;及 须由香港持牌银行开出,并由有关银行授权
显示 阁下的账户名称,而该账户名称必须 的人士在银行本票背面签署核证 阁下姓名
已预印在支票上,或由有关银行授权的人士 /名称。银行本票所示姓名/名称须与 阁
在支票背书。账户名称必须与 阁下姓名/ 下姓名/名称相同。如属联名申请,银行本
名称相同。如属联名申请,账户名称必须与 票背面所示姓名/名称必须与排名首位申请
排名首位申请人的姓名/名称相同。 人的姓名/名称相同。
4. 请撕下申请表格,对摺一次,然後将填妥的申请表格(连同支票或银行本票)投入下列任何一家
分行特设的收集箱:
交通银行股份有限公司香港分行
地区 分行名称 地址
香港岛 中区支行 中环德辅道中125A号远东发展大厦地下
柴湾支行 柴湾环翠道121-121A号柴湾戏院大厦地下
九龙 尖沙咀支行 尖沙咀麽地道22-28号中福商业大厦
地下1-3号�m
长沙湾广场支行 长沙湾道833号长沙湾广场
地下G04号�m
新界 调景岭支行 调景岭都会商场2楼L2-064及L2-065号�m
5. 阁下可於下列时间递交申请表格:
二零一七年三月二十一日(星期二) - 上午九时正至下午五时正
二零一七年三月二十二日(星期三) - 上午九时正至下午五时正
二零一七年三月二十三日(星期四) - 上午九时正至下午五时正
二零一七年三月二十四日(星期五) - 上午九时正至中午十二时正
6. 截止递交申请的时间为二零一七年三月二十四日(星期五)中午十二时正。本公司将於当日上午
十一时四十五分至中午十二时正期间登记认购申请,唯一会影响此时间的变化因素为当日的天
气情况(详见招股章程「如何申请香港发售股份-10.恶劣天气对开始办理申请登记的影响」一
节)。
Sample
请表
地址
支行 中环德辅道中 中环德辅 1
柴湾支行 柴湾环翠道 柴
尖沙咀支行 尖沙 尖
地
长沙湾广场支行 长沙湾广场
新界 新 调景岭支行 调
阁下可於下列时间递交申请 阁下可於下列时
二零一七年三 二零一
二零一七年 二
零一七
样版版
牌银行开出,并由有关银行授权 开出,并由有关银行授
在银行本票背面签署核证 阁下姓名 银行本票背面签署核证 阁下姓
称。银行本票所示姓名/名称须与 银行本票所示姓名/名称须与
姓名/名称相同。如属联名申请,银 名/名称相同。如属联名申请,
票背面所示姓名/名称必须与排名首 票背面所示姓名/名称必须与排
人的姓名/名称相同。
表格格(连同支票或银行本票) 连同支票或银行本票
Please use this form if you want the Hong Kong Offer Shares to be issued in the name of HKSCC Nominees
Limited (“HKSCC Nominees”) and deposited directly into the Central Clearing and Settlement System (“CCASS”)
for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS
Participant
Chanhigh Holdings Limited
沧海控股有限公司
(incorporated in the Cayman Islands with limited liability)
GLOBAL OFFERING
Conditions of your application
A. Who can apply
1. You and any person(s) for whose benefit you are applying must
be 18 years of age or older and must have a Hong Kong address.
2. If you are a firm, the application must be in the individual
members’ names.
3. The number of joint applicants may not exceed 4.
4. If you are a body corporate, the application must be signed by a
duly authorised officer, who must state his representative
capacity, and stamped with your corporation’s chop.
5. You must be outside the United States, not be a United States
Person (as defined in Regulation S under the U.S. Securities
Act) and not be a legal or natural person of the PRC.
6. Unless permitted by the Listing Rules, you cannot apply for
any Hong Kong Offer Shares if you are:
an existing beneficial owner of Shares in the Company
and/or any of its subsidiaries;
a Director;
a core connected person (as defined in the Listing Rules)
of the Company or will become a core connected person
of the Company immediately upon completion of the
Global Offering;
an associate or a close associate (as defined in the Listing
Rules) of any of the above; or
have been allocated or have applied for or indicated an
interest in any Offer Shares under the International
Placing.
B. If you are a nominee
You, as a nominee, may make more than one application for the Hong
Kong Offer Shares by: (i) giving electronic application instructions
to HKSCC via Central Clearing and Settlement System (“CCASS”)
(if you are a CCASS Participant); or (ii) using a WHITEor YELLOW
Application Form, and lodge more than one application in your own
name on behalf of different beneficial owners.
C. Effect of completing and submitting this Application Form
By completing and submitting this Application Form, you (and if you
are joint applicants, each of you jointly and severally) for yourself or as
an agent or a nominee on behalf of each person for whom you act:
undertake to execute all relevant documents and instruct and
authorise the Company and/or the Sole Global Coordinator (or
its agents or nominees), as agents of the Company, to execute
any documents for you and to do on your behalf all things
necessary to register any Hong Kong Offer Shares allocated to
you in the name of HKSCC Nominees as required by the Articles
of Association;
agree to comply with the Companies Ordinance, the Companies
(Winding Up and Miscellaneous Provisions) Ordinance and the
Articles of Association;
confirm that you have read the terms and conditions and
application procedures set out in the Prospectus and in this
Application Form and agree to be bound by them;
confirm that you have received and read the Prospectus and
have only relied on the information and representations
contained in the Prospectus in making your application and will
not rely on any other information or representations except those
in any supplement to the Prospectus;
confirm that you are aware of the restrictions on the Global
Offering in the prospectus;
agree that none of the Company, the Sole Sponsor, the Sole
Global Coordinator, the Sole Bookrunner, the Sole Lead
Manager, the Underwriters, their respective directors, officers,
employees, partners, agents, advisers and any other parties
involved in the Global Offering is or will be liable for any
information and representations not in the Prospectus (and any
supplement to it);
undertake and confirm that you or the person(s) for whose benefit
you have made the application have not applied for or taken up,
or indicated an interest for, and will not apply for or take up, or
indicate an interest for, any Offer Shares under the International
Placing nor participated in the International Placing;
agree to disclose to the Company, the Hong Kong Share
Registrar, receiving bank, the Sole Sponsor, the Sole Global
Coordinator, the Sole Bookrunner, the Sole Lead Manager, the
Underwriters and/or their respective advisers and agents any
personal data which they may require about you and the
person(s) for whose benefit you have made the application;
if the laws of any place outside Hong Kong apply to your
application, agree and warrant that you have complied with all
such laws and none of the Company, the Sole Sponsor, the Sole
Global Coordinator, the Sole Bookrunner, the Sole Lead Manager
and the Underwriters nor any of their respective officers or advisers
will breach any law outside Hong Kong as a result of the
acceptance of your offer to purchase, or any action arising from
your rights and obligations under the terms and conditions
contained in the Prospectus and this Application Form;
agree that once your application has been accepted, you may
not rescind it because of an innocent misrepresentation;
agree that your application will be governed by the laws of Hong
Kong;
represent, warrant and undertake that (i) you understand that
the Hong Kong Offer Shares have not been and will not be
registered under the U.S. Securities Act; and (ii) you and any
person for whose benefit you are applying for the Hong Kong
Offer Shares are outside the United States (as defined in
Regulation S) or are a person described in paragraph (h)(3) of
Rule 902 of Regulation S;
warrant that the information you have provided is true and
accurate;
agree to accept the Hong Kong Offer Shares applied for, or any
lesser number allocated to you under the application;
authorise the Company to place the name of the HKSCC
Nominees on the Company’s register of members as the
holder(s) of any Hong Kong Offer Shares allocated to you, and
Sample
y for
Company Compa
n the Listing Rules))
core connected person cted perso
upon completion of the etion of the
ociate (as defined in the Listing ned in the Listing
bove; or
d or have applied for or indicated an plied for or indicated an
Offer Shares under the International es under the International
minee
may make more than one application for the Hon ore than one application
ares by: (i) giving electronic application instruct g electronic applicati
ia Central Clearing and Settlement System ( Clearing and Settlement Sy “CC
a CCASS Participant); or (ii) using a CCASS Participant); or (ii) using a WHITE W or E Y
ation Form, and lodge more than one application tion Form, and lodge more than one
e on behalf of different beneficial owners. on behalf of different beneficial ow
. Effect of completing and submitting this Effect of completing and subm
completing and submitting this Application ompleting and submitting this A
nt applicants, each of you jointly and nt applicants, each of y
r a nominee on behalf of each be
ake to execute all relev ke to execut
the Company and the Com
nominees),
for y
info
supple
undertake underta
you have ma you have m
or indicated an or indicated
indicate an interest indicate an
Placing nor particip Placing no
agree to disclos
Registrar, rec Reg
Coordinato C
Underw
perso
pe
样版
have received and read the Prospectus and e received and read the Prospectus and
lied on the information and representations e information and represen
n the Prospectus in making your application and wi the Prospectus in making your application
on any other information or representations except th ny other information or representations exce
y supplement to the Prospectus; lement to the Prospectus;
nfirm that you are aware of the restrictions on t rm that you are aware of the restrictions on
Offering in the prospectus; ng in the prospectu
agree that none of the Company, the Sole Sp agree that none of the Company, the Sole
Global Coordinator, the Sole Bookrunn Global Coordinator, the Sole Bookrun
Manager, the Underwriters, their respect anager, the Underwriters, their respe
employees, partners, agents, advise employees, partners, agents, a
involved in the Global Offering ved in the Global Offerin
ormation and representations tion and representati
ement to it); ent to it);
e and confirm that and confirm th
ade the app pp
inter
Please use this form if you want the Hong Kong Offer Shares to be issued in the name of HKSCC Nominees
Limited (“HKSCC Nominees”) and deposited directly into the Central Clearing and Settlement System (“CCASS”)
for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS
Participant
the Company and/or its agents to deposit any share certificate(s)
into CCASS and/or to send any refund cheque(s) to you or the
first-named applicant for joint application by ordinary post at
your own risk to the address stated on the application, unless
you are eligible to collect refund cheque(s) in person;
agree that the shares to be allotted shall be issued in the name of
HKSCC Nominees and deposited directly into CCASS for credit
to your CCASS Investor Participant stock account or the stock
account of your designated CCASS participant;
agree that each of HKSCC and HKSCC Nominees reserves the
right (1) not to accept any or part of such allotted shares issued
in the name of HKSCC Nominees or not to accept such allotted
shares for deposit into CCASS; (2) to cause such allotted shares
to be withdrawn from CCASS and issued in your name at your
own risk and costs; and (3) to cause such allotted shares to be
issued in your name (or, if you are a joint applicant, to the firstnamed applicant) and in such a case, to post the certificates for
such allotted shares at your own risk to the address on your
application form by ordinary post or to make available the same
for your collection;
agree that each of HKSCC and HKSCC Nominees may adjust
the number of allotted shares issued in the name of HKSCC
Nominees;
agree that neither HKSCC nor HKSCC Nominees shall have
any liability for the information and representations not so
contained in the Prospectus and this Application Form;
agree that neither HKSCC nor HKSCC Nominees shall be liable
to you in any way;
declare and represent that this is the only application made and
the only application intended by you to be made to benefit you
or the person for whose benefit you are applying;
understand that the Company and the Sole Global Coordinator
will rely on your declarations and representations in deciding
whether or not to make any allotment of any of the Hong Kong
Offer Shares to you and that you may be prosecuted for making
a false declaration;
(if the application is made for your own benefit) warrant that no
other application has been or will be made for your benefit on a
WHITEor YELLOWApplication Form or by giving
electronic application instructionsto HKSCC or to the White
Form eIPO Service Provider by you or by any one as your
agent or by any other person; and
(if you are making the application as an agent for the benefit of
another person) warrant that (i) no other application has been
or will be made by you as agent for or for the benefit of that
person or by that person or by any other person as agent for that
person on a WHITEor YELLOWApplication Form or by
giving electronic application instructionsto HKSCC; and (ii)
you have due authority to sign the Application Form or give
electronic application instructionson behalf of that other
person as their agent.
D. Power of attorney
If your application is made through an authorised attorney, the
Company and the Sole Global Coordinator may accept or reject your
application at their discretion, and on any conditions they think fit,
including evidence of the attorney’s authority.
E. Determination of Offer Price and Allocation of Hong Kong
Offer Shares
The Offer Price is expected to be fixed on or around Friday, 24 March
2017. Applicants are required to pay the maximum Offer Price of
HK$2.38 for each Hong Kong Offer Share together with 1%
brokerage, 0.0027% SFC transaction levy and 0.005% Stock Exchange
trading fee. If the Offer Price is not agreed between the Company and
the Sole Global Coordinator (for themselves and on behalf ofthe
Underwriters) on or before Wednesday, 29 March 2017, the Global
Offering will not proceed.
Applications for Hong Kong Offer Shares will not be processed and
no allotment of any Hong Kong Offer Shares will be made until the
application lists close.
The Company expects to announce the fixed offer price, the level of
indication of interest in the International Placing, the level of
applications in the Hong Kong Public Offering and the basis of
allocation of the Hong Kong Offer Shares on Thursday, 30 March
2017on the website of the Stock Exchange at www.hkexnews.hk and
the Company’s website at www.chanhigh.com.hk Results of
allocations in Hong Kong Public Offering, and the Hong Kong Identity
Card/passport/Hong Kong business registration numbers of successful
applicants (where applicable) will be available on the above websites.
F. If your application for Hong Kong Offer Shares is successful
(in whole or in part)
If your application is wholly or partially successful, your Share
certificate(s) (subject to their becoming valid certificates of title
provided that the Hong Kong Public Offering has become
unconditional and not having been terminated at 8:00 a.m. on Friday,
31 March 2017) will be issued in the name of HKSCC Nominees and
deposited directly into CCASS for credit to your CCASS Investor
Participant stock account or the stock account of your designated
CCASS Participant as instructed by you in your Application Form on
Thursday, 30 March 2017 or, in the event of a contingency, on any
other date as shall be determined by HKSCC or HKSCC Nominees.
If you are applying through a designated CCASS Participant
(other than a CCASS Investor Participant): For Hong Kong
Offer Shares credited to the stock account of your designated
CCASS Participant (other than a CCASS Investor Participant),
you can check the number of Hong Kong Offer Shares allotted
to you with that CCASS Participant.
If you are applying as a CCASS Investor Participant: The
Company expects to publish the results of CCASS Investor
Participants’ applications together with the results of the Hong
Kong Public Offering on the website of the Stock Exchange at
www.hkexnews.hk and the Company’s website at
www.chanhigh.com.hk on Thursday, 30 March 2017. You
should check the announcement published by the Company and
report any discrepancies to HKSCC before 5:00 p.m. Thursday,
30 March 2017 or such other date as shall be determined by
HKSCC or HKSCC Nominees. Immediately after the credit of
the Hong Kong Offer Shares to your stock account you can
check your new account balance via the CCASS Phone System
and CCASS Internet System (under the procedures contained
in HKSCC’s “An Operating Guide for Investor Participants” in
effect from time to time). HKSCC will also make available to
you an activity statement showing the number of Hong Kong
Offer Shares credited to your stock account.
No receipt will be issued for application money paid. The Company
will not issue temporary documents of title.
G. Refund of your money
If you do not receive any Hong Kong Offer Shares or if your
application is accepted only in part, the Company will refund to you
your application monies (including the related 1% brokerage, 0.0027%
SFC transaction levy and 0.005% Stock Exchange trading fee) without
interest. If the Offer Price is less than the maximum Offer Price, the
Company will refund to you the surplus application monies (including
the related 1% brokerage, 0.0027% SFC transaction levy and 0.005%
Stock Exchange trading fee) without interest.
The refund procedures are stated in the section headed “How to Apply
for Hong Kong Offer Shares �C 14. Despatch/Collection of Share
Certificates and Refund Monies” in the Prospectus.
Sample
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son or by that person or by any other person as ag n or by that person or by any other p
person on a erson on WHITE ITEor YELLOWApplicatio A
giving givi electronic application instructions ectronic application instr to H
you have due authority to sign the Applic you have due authority to sign
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pplication is wholly or partially successful, you plication is wholly or partially successful, yo
ate(s) (subject to their becoming valid certifica (subject to their becoming valid certific
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eposited directly into CCASS for credit to ed directly into CCASS for cred
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30 March 2017 or, in the March 2017 or, i
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edit
如 阁下欲以香港中央结算(代理人)有限公司(「香港结算代理人」)的名义登记将获发行的香港发售股
份,并直接存入中央结算及交收系统(「中央结算系统」),以记存於 阁下的中央结算系统投资者户口持
有人股份户口或 阁下指定的中央结算系统参与者股份户口,请使用本表格
Chanhigh Holdings Limited
沧海控股有限公司
(於开曼群岛注册成立的有限公司)
全球发售
申请条件
甲、可提出申请的人士
1. 阁下及 阁下为其利益提出申请的人士必须年满18岁
并有香港地址。
2. 如 阁下为公司,申请须以个别成员名义提出。
3. 联名申请人不得超过四名。
4. 如 阁下为法人团体,申请须经获正式授权人员签
署,并注明其所属代表身份及盖上公司印监。
5. 阁下必须身处美国境外,并非美国籍人士(定义见美
国证券法S规例),亦非中国法人或自然人。
6. 除上市规则批准外,下列人士概不得申请认购任何香
港发售股份:
本公司及/或我们任何附属公司股份的现有实益
拥有人;
董事;
本公司的核心关连人士(定义见上市规则)或紧
随全球发售完成後成为本公司核心关连人士的人
士;
上述任何人士的联系人或紧密联系人(定义见上
市规则);或
已获分配或已申请或表示有意申请国际配售项下
的任何发售股份。
乙、如 阁下为代名人
阁下作为代名人可提交超过一份香港发售股份申请,方法
是:(i)透过中央结算及交收系统(「中央结算系统」)向香港
结算发出电子认购指示(如 阁下为中央结算系统参与
者);或(ii)使用白色或黄色申请表格以自身名义代表不同
的实益拥有人提交超过一份申请。
丙、填交本申请表格的效用
阁下填妥并递交本申请表格,即表示 阁下(如属联名申
请人,即各人共同及个别)代表 阁下本身,或作为 阁
下代其行事的每位人士的代理或代名人:
承诺签立所有相关文件,并指示及授权本公司及�u或
作为本公司代理的独家全球协调人(或其代理或代名
人),代表 阁下签立任何文件及代 阁下进行一切
必需事宜,并为按照组织章程细则的规定将 阁下获
分配的任何香港发售股份以香港结算代理人的名义登
记;
同意遵守公司条例、公司(清盘及杂项条文)条例及组
织章程细则;
确认 阁下已细阅招股章程及本申请表格所载的条款
及条件以及申请程序,并同意受其约束;
确认 阁下已接获及细阅招股章程,提出申请时也仅
依据招股章程载列的资料及陈述,而除招股章程任何
补充文件外,不会依赖任何其他资料或陈述(本招股
章程任何补充文件所载者除外);
确认 阁下知悉招股章程内有关全球发售的限制;
同意本公司、独家保荐人、独家全球协调人、独家账
簿管理人、独家牵头经办人、包销商、其各自的董
事、高级职员、雇员、合夥人、代理、顾问及参与全
球发售的任何其他各方现时及日後均毋须对并非载於
招股章程(及其任何补充文件)的任何资料及陈述负
责;
承诺及确认 阁下或 阁下为其利益提出申请的人士
并无申请或接纳或表示有意认购(亦不会申请或接纳
或表示有意认购)国际配售的任何发售股份,也没有
参与国际配售;
同意在本公司、香港证券登记处、收款银行、独家保
荐人、独家全球协调人、独家账簿管理人、独家牵头
经办人、包销商及/或彼等各自的顾问及代理提出要
求时,向其披露其所要求提供有关 阁下及 阁下为
其利益提出申请的人士的个人资料;
若香港境外任何地方的法例适用於 阁下的申请,则
同意及保证 阁下已遵守所有有关法例,且本公司、
独家保荐人、独家全球协调人、独家账簿管理人、独
家牵头经办人及包销商及其各自的高级职员或顾问概
不会因接纳 阁下的购买要约,或 阁下在招股章程
及本申请表格所载的条款及条件项下的权利及责任所
引致的任何行动,而违反香港境外的任何法例;
同意 阁下的申请一经接纳,即不得因无意的失实陈
述而撤销;
同意 阁下的申请受香港法例管辖;
声明、保证及承诺:(i)阁下明白香港发售股份不曾亦
不会根据美国证券法登记;及(ii)阁下及 阁下为其利
益申请香港发售股份的人士均身处美国境外(定义见S
规例),或属S规例第902条第(h)(3)段所述的人士;
保证 阁下提供的资料真实及准确;
同意接纳所申请数目或根据申请分配予 阁下但数目
较少的香港发售股份;
授权本公司将香港结算代理人的名称列入本公司股东名
册,作为 阁下获分配的任何香港发售股份的持有人,
并授权本公司及�u或其代理将任何股票存入中央结算系
统及/或以普通邮递方式按申请所示地址向 阁下或联
名申请的首名申请人发送任何退款支票,邮误风险由
阁下承担,除非 阁下已合资格亲身领取退款支票;
同意获配发的股份是以香港结算代理人的名义发行,
并直接存入中央结算系统,以便记存於 阁下的中央
结算系统投资者户口持有人股份户口或 阁下的指定
中央结算系统参与者股份户口;
Sample
何香
现有实益 现有实
见上市规则) 则)或紧 或
司核心关连人士的人 连人士的人
人或紧密联系人(定义见上 系人(定
请或表示有意申请国际配售项下 意申请国际配售项下
股份。
代名人
人可提交超过一份香港发售股份申请,方 一份香港发售股份
中央结算及交收系统 及交收 (「 (「中央结算系统 中央结算 」)向
出电子认购指示(如 阁下为中央结算系 电子认购指示(如 阁下为中
或(ii)使用白色色或黄色申请表格以自身名义 申请表格以
实益拥有人提交超过一份申请。 益拥有人提交超过一份申请。
、填交本申请表格的效用 填交本申请表格的效用
填妥并递交本申请表格,即表 填妥并递交本申请
即各人共同及个别)代表 及个
的每位人士的代理 的每位人士
所有相关文件 所有
代理的独
下
责
承诺承诺
并无申
或表示有意 或表示有
参与国际配售 参与国际配
同意在本公司、 同意在本公
荐人、独家全球 荐人、独
经办人、包销
求时,向其 求
其利益提
若香港
同意
样版
接获及细阅招股章程,提出申请时也仅 及细阅招股章程,提出申请时也仅
章程载列的资料及陈述,而除招股章程任何 载列的资料及陈述,而除招股章
件外,不会依赖任何其他资料或陈述 外,不会依赖任何其他资料或陈(本招 (
任何补充文件所载者除外) 补充文件所载者除外);
认 阁下知悉招股章程内有关全球发售的 阁下知悉招股章程内有关全球发售的
同意本公司、独家保荐人、独家全球协调 本公司、独家保荐人、独家全球
簿管理人、独家牵头经办人、包销商 簿管理人、独家牵头经办人、包销
事、高级职员、雇员、合夥人、代理 事、高级职员、雇员、合夥人、代
球发售的任何其他各方现时及日後 球发售的任何其他各方现时及
招股章程(及其任何补充文件) 招股章程(及其任何补充文
责;
及确认 阁下或 阁 确认 阁下或
请或接纳或表示 请或接纳或表
意认购)国 )国
售;
如 阁下欲以香港中央结算(代理人)有限公司(「香港结算代理人」)的名义登记将获发行的香港发售股
份,并直接存入中央结算及交收系统(「中央结算系统」),以记存於 阁下的中央结算系统投资者户口持
有人股份户口或 阁下指定的中央结算系统参与者股份户口,请使用本表格
同意香港结算及香港结算代理人各自保留权利(1)不
接纳以香港结算代理人名义发行的该等获配发的任何
或部分股份,或不接纳该等获配发的股份存入中央结
算系统;(2)促使该等获配发的股份从中央结算系统
提取,并转入 阁下名下,有关风险及费用概由 阁
下自行承担;及(3)促使该等获配发的股份以 阁下
名义发行(或如属联名申请人,则以排名首位申请人
的名义发行),而在此情况下,会以普通邮递方式将
该等获配发股份的股票寄往 阁下在申请表格上所示
地址(邮误风险概由 阁下自行承担)或提供该等股票
予 阁下领取;
同意香港结算及香港结算代理人均可调整获配发以香
港结算代理人名义发行的股份数目;
同意香港结算及香港结算代理人对招股章程及本申请
表格未有载列的资料及陈述概不负责;
同意香港结算及香港结算代理人概不以任何方式对
阁下负责;
声明及表示此乃 阁下为本身或 阁下为其利益提出
申请的人士提出及拟提出的唯一申请;
明白本公司及独家全球协调人将依据 阁下的声明及
陈述而决定是否向 阁下分配任何香港发售股份,
阁下如作出虚假声明,可能会被检控;
(如本申请是为 阁下本身利益提出)保证 阁下或作
为 阁下代理的任何人士或任何其他人士不曾亦不会
为 阁下利益而以白色或黄色申请表格或向香港结算
或白表eIPO服务供应商发出电子认购指示而提出其
他申请;及
(如 阁下作为代理为另一人士的利益提出申请)保证
(i) 阁下(作为代理或为该人士利益)或该人士或任何
其他作为该人士代理的人士不曾亦不会以白色或黄色
申请表格或向香港结算发出电子认购指示而提出其他
申请;及(ii) 阁下获正式授权作为该人士的代理代
为签署申请表格或发出电子认购指示。
丁、授权书
如 阁下透过授权人士提出申请,本公司及独家全球协调
人可按其认为合适的条件(包括出示获授权证明)酌情接纳
或拒绝 阁下的申请。
戊、厘定发售价及香港发售股份的分配
预期发售价於二零一七年三月二十四日(星期五)或前後厘
定。申请人须缴付每股香港发售股份2.38港元的最高发售
价,另加1%经纪佣金、0.0027%证监会交易徵费及0.005%
联交所交易费。倘若本公司与独家全球协调人(为其自身
及代表包销商)并无於二零一七年三月二十九日(星期三)
或之前协定发售价,全球发售将不会进行。
截止登记认购申请前概不处理香港发售股份的申请或配发
任何香港发售股份。
本公司预期於二零一七年三月三十日(星期四)在联交所网站
(www.hkexnews.hk)及本公司网站(www.chanhigh.com.hk)公布
协定发售价、国际配售踊跃程度、香港公开发售认购水平及
香港发售股份分配基准。香港公开发售的分配结果以及获接
纳申请人的香港身份证�u护照�u香港商业登记号码(如适用)
亦同於上述网站公布。
己、如 阁下成功申请认购香港发售股份(全部或部分)
如 阁下的申请全部或部分获接纳, 阁下的股票(前提是
到二零一七年三月三十一日(星期五)上午八时正香港公开
发售成为无条件而并无终止,股票成为有效的所有权证明)
将以香港结算代理人名义发出,并按 阁下在申请表格的指
示於二零一七年三月三十日(星期四)或在特别情况下由香
港结算或香港结算代理人指定的任何其他日期直接存入中央
结算系统,记入 阁下的中央结算系统投资者户口持有人股
份户口或 阁下指定的中央结算系统参与者股份户口。
如 阁下透过中央结算系统投资者户口持有人以外的
指定中央结算系统参与者提出申请:香港发售股份将
存入 阁下指定的中央结算系统参与者(非中央结算
系统投资者户口持有人)股份户口, 阁下可向该中
央结算系统参与者查询 阁下获配发的香港发售股份
数目。
如 阁下以中央结算系统投资者户口持有人身份提出
申请:本公司预期於二零一七年三月三十日(星期四)
在联交所网站(www.hkexnews.hk)及本公司网站
(www.chanhigh.com.hk)刊登中央结算系统投资者户
口持有人的申请结果及香港公开发售的结果。 阁下
应查阅本公司刊发的公告,如有任何资料不符,请於
二零一七年三月三十日(星期四)下午五时正前或香港
结算或香港结算代理人厘定的任何其他日期知会香港
结算。在香港发售股份存入 阁下的股份户口後,
阁下即可透过「结算通」电话系统及中央结算系统互联
网系统(根据香港结算当时生效的《投资者户口操作简
介》所载程序)查询 阁下的新户口结余。香港结算亦
将向 阁下提供一份活动结单,列出存入 阁下股份
户口的香港发售股份数目。
本公司不会就申请时缴付的款项发出收据,亦不会发出临
时所有权文件。
庚、退回款项
若 阁下未获分配任何香港发售股份或申请仅部分获接
纳,本公司将不计利息退回 阁下的申请股款(包括相关的
1%经纪佣金、0.0027%证监会交易徵费及0.005%联交所交
易费)。如最终厘定的发售价低於最高发售价,本公司将不
计利息退回多收申请股款(包括相关的1%经纪佣金、
0.0027%证监会交易徵费及0.005%联交所交易费)。
有关退款程序载於招股章程「如何申请香港发售股份-14.
寄发�u领取股票及退回股款」一节。
Sample
出
的声明及 声明
售股份, 股份,
出)保证 阁下或作 阁下或
何其他人士不曾亦不会 不曾亦不会
色申请表格或向香港结算 或向香港结算
发出电子认购指示 指示而提出其 而提
理为另一人士的利益提出申请)保证 人士的利益提出申请)保证
代理或为该人士利益) 人士利益)或该人士或任何 人士或任何
人士代理的人士不曾亦不会以 人士不曾亦不会以白色 白 或黄色色
格或向香港结算发出 算发出电子认购指示而提出其
;及(ii) 阁下获正式授权作为该人士的 阁下获正式授权作为
为签署申请表格或发出 签署申请表格或发出电子认购指示 电子认购指 。
、授权书 授
阁下透过授权人士提出申请,本公 阁下透过授权人士提出申请
按其认为合适的条件(包括出示获 按其认为合适的条件
阁下的申请。 请。
售价及香港发售股 价及香
零一七年
每股
指
存入
系统投资 系统投
央结算系统
数目。
如 阁下以中央 如 阁下
申请:本公司 申请
在联交所 在
(www.
口持
应
样版
公开
售的分配结 的分
香港商业登记号码 商业
认购香港发售股份(全部或部分) 购香港发售股份(全部或
或部分获接纳, 阁下的股票 部分获接纳, 阁下的股票(前提是
月三十一日日(星期五) (星期 上午八时正香港公开 午八时正香
件而并无终止,股票成为有效的所有权证明 件而并无终止,股票成为有效的所有权
结算代理人名义发出,并按 阁下在申请表格 理人名义发出,并按 阁下在申请表
零一七年三月三十日 一七年三月三十(星期四) 四)或在特别情况 或在特别情
结算或香港结算代理人指定的任何其他日期直 算或香港结算代理人指定的任何其他
结算系统,记入 阁下的中央结算系统投资者 算系统,记入 阁下的中央结算系统投资
份户口或 阁下指定的中央结算系统参与 或 阁下指定的中央结算系统参
如 阁下透过中央结算系统投资 如 阁下透过中央结算系统
指定中央结算系统参与者提 中央结算系统参与者提
阁下指定的中央结 阁下指定的中
资者户口持有 资者户口持
参与者
Please use this form if you want the Hong Kong Offer Shares to be issued in the name of HKSCC Nominees
Limited (“HKSCC Nominees”) and deposited directly into the Central Clearing and Settlement System (“CCASS”)
for credit to your CCASS Investor Participant stock account or the stock account of your designated CCASS
Participant
Personal Data
Personal Information Collection Statement
This Personal Information Collection Statement informs
the applicant for, and holder of, Hong Kong Offer Shares,
of the policies and practices of the Company and its Hong
Kong Share Registrar in relation to personal data and the
Personal Data (Privacy) Ordinance (Chapter 486 of the
Laws of Hong Kong) (the “Ordinance”).
1. Reasons for the collection of your personal data
It is necessary for applicants and registered holders of
securities to supply correct personal data to the Company
or its agents and the Hong Kong Share Registrar when
applying for securities or transferring securities into or out
of their names or in procuring the services of the Hong
Kong Share Registrar.
Failure to supply the requested data may result in your
application for securities being rejected, or in delay or the
inability of the Company or its Hong Kong Share Registrar
to effect transfers or otherwise render their services. It may
also prevent or delay registration or transfers of the Hong
Kong Offer Shares which you have successfully applied
for and/or the despatch of share certificate(s) and/or refund
cheque(s) and/or e-Refund payment instruction(s) to which
you are entitled.
It is important that securities holders inform the Company
and the Hong Kong Share Registrar immediately of any
inaccuracies in the personal data supplied.
2. Purposes
The personal data of the securities holders may be used,
held, processed and/or stored (by whatever means) for the
following purposes:
processing your application and refund cheque/eRefund payment instruction(s), where applicable,
verification of compliance with the terms and
application procedures set out in this Application Form
and the Prospectus and announcing results of
allocation of the Hong Kong Offer Shares;
compliance with applicable laws and regulations in
Hong Kong and elsewhere;
registering new issues or transfers into or out of the
names of securities’ holders including, where
applicable, HKSCC Nominees;
maintaining or updating the register of securities’
holders of the Company;
verifying securities holders’ identities;
establishing benefit entitlements of securities’ holders
of the Company, such as dividends, rights issues and
bonus issues;
distributing communications from the Company and
its subsidiaries;
compiling statistical information and shareholder
profiles;
disclosing relevant information to facilitate claims on
entitlements; and
any other incidental or associated purposes relating
to the above and/or to enable the Company and the
Hong Kong Share Registrar to discharge their
obligations to securities’ holders and/or regulators and/
or any other purposes to which the securities’ holders
may from time to time agree.
3. Transfer of personal data
Personal data held by the Company and its Hong Kong
Share Registrar relating to the securities holders will be
kept confidential but the Company and its Hong Kong Share
Registrar may, to the extent necessary for achieving any of
the above purposes, disclose or transfer (whether within or
outside Hong Kong) the personal data to any of the
following:
the Company’s appointed agents such as financial
advisers, receiving bank and overseas principal share
registrar;
where applicants for securities request a deposit into
CCASS, HKSCC or HKSCC Nominees, who will
use the personal data for the purposes of operating
CCASS;
any agents, contractors or third-party service providers
who offer administrative, telecommunications,
computer, payment or other services to the Company
or the Hong Kong Share Registrar in connection with
their respective business operation;
the Stock Exchange, the SFC and any other statutory
regulatory or governmental bodies or otherwise as
required by laws, rules or regulations; and
any persons or institutions with which the securities’
holders have or propose to have dealings, such as their
bankers, solicitors, accountants or stockbrokers etc.
4. Retention of personal data
The Company and its Hong Kong Share Registrar will keep
the personal data of the applicants and holders of securities
for as long as necessary to fulfil the purposes for which the
personal data were collected. Personal data which is no
longer required will be destroyed or dealt with in accordance
with the Ordinance.
5. Access to and correction of personal data
Securities holders have the right to ascertain whether the
Company or the Hong Kong Share Registrar hold their
personal data, to obtain a copy of that data, and to correct
any data that is inaccurate. The Company and the Hong
Kong Share Registrar have the right to charge a reasonable
fee for the processing of such requests.
All requests for access to data or correction of data should
be addressed to us, at our registered address disclosed in
the “Corporate Information” section of the Prospectus or
as notified from time to time, for the attention of the
company secretary, or our Hong Kong Share Registrar for
the attention of the privacy compliance officer.
By signing an Application Form or by giving electronic
application instructions to HKSCC, you agree to all of
the above.
Sample
g
lied
refund
to which o whic
m the Company ny
mmediately of any y of a
plied.
urities holders may be used, ders may be u
ed (by whatever means) for the atever means) for the
r application and refund cheque/e- on and refund cheque/ement instruction(s), where applicable, uction(s), where applicable,
on of compliance with the terms and pliance with the t
ion procedures set out in this Application Fo ures set out in this Appl
the Prospectus and announcing resu pectus and announc
ocation of the Hong Kong Offer Shares; ation of the Hong Kong Offer
compliance with applicable laws and re compliance with applicable law
Hong Kong and elsewhere;
registering new issues or transfers registering new issues or
names of securities names of securit ’holders
pplicable, HKSCC Nominee licable, HKSCC
ntaining or updating t aining or up
of the Company of the C
securities ho sec
benefi
C
any a y
who o
computer, computer
or the Hong K or the Hon
their respective their respe
the Stock Excha the Stock
regulatory or g
required by req
any perso
holder
ban
4.
T
样版版
nd/or d/or
the securit e sec
e.
data ta
e Company and its Hong Kon e Company and its Hon
ng to the securities holders will be g to the securities holders
the Company and its Hong Kong Share e Company and its Hong Kong Share
the extent necessary for achieving any of nt necessary for achieving
oses, disclose or transfer (whether within o oses, disclose or transfer (whether wi
ng Kong) the personal data to any of Kong) the personal data to any
g:
he Company Company’s appointed agents such as f s appointed agents such as
advisers, receiving bank and overseas prin advisers, receiving bank and oversea
registrar;
where applicants for securities requ where applicants for securities r
CCASS, HKSCC or HKSCC N CCASS, HKSCC or HKSC
use the personal data for the p use the personal data for th
CASS; SS;
agents, contractors or nts, contractor
ffer administr fer adminis
, payment ent
Kong
如 阁下欲以香港中央结算(代理人)有限公司(「香港结算代理人」)的名义登记将获发行的香港发售股
份,并直接存入中央结算及交收系统(「中央结算系统」),以记存於 阁下的中央结算系统投资者户口持
有人股份户口或 阁下指定的中央结算系统参与者股份户口,请使用本表格
个人资料
个人资料收集声明
此项个人资料收集声明是向香港发售股份的申请
人和持有人说明有关本公司及其香港证券登记处
有关个人资料和香港法例第486章《个人资料(私
隐)条例》(「条例」)方面的政策和惯例。
1. 收集 阁下个人资料的原因
证券申请人及登记持有人以本身名义申请证券或
转让或受让证券时或寻求香港证券登记处的服务
时,必须向本公司或其代理人及香港证券登记处
提供准确个人资料。
未能提供所要求的资料可能导致 阁下申请证券
被拒或延迟,或本公司或其香港证券登记处无法
落实转让或提供服务。此举也可能妨碍或延迟登
记或转让 阁下成功申请的香港发售股份及�u或
寄发 阁下应得的股票及�u或退款支票及/或电
子退款指示。
证券持有人所提供的个人资料如有任何错误,须
立即通知本公司及香港证券登记处。
2. 用途
证券持有人的个人资料可被采用及以任何方式持
有、处理及/或保存,以作下列用途:
处理 阁下的申请及退款支票/电子退款指
示(如适用)、核实是否符合本申请表格及招
股章程载列的条款和申请程序以及公布香港
发售股份的分配结果;
遵守香港及其他地区的适用法律及法规;
以证券持有人(包括香港结算代理人(如适
用))的名义登记新发行证券或转让或受让证
券;
存置或更新本公司证券持有人的名册;
核实证券持有人的身份;
确定本公司证券持有人的受益权利,例如股
息、供股和红股等;
分发本公司及其附属公司的通讯;
编制统计数据和股东资料;
披露有关资料以便就权益索偿;及
与上述有关的任何其他附带或相关目的及�u
或使本公司及香港证券登记处能履行对证券
持有人及�u或监管机构承担的责任及�u或证
券持有人不时同意的任何其他用途。
3. 转交个人资料
本公司及其香港证券登记处所持有关证券持有人
的个人资料将会保密,但本公司及其香港证券登
记处可以在为达到上述任何目的之必要情况下,
向下列任何人士披露或转交(无论在香港境内或
境外)有关个人资料:
本公司委任的代理人,例如财务顾问、收款
银行和主要海外证券登记处;
(如证券申请人要求将证券存於中央结算系
统)香港结算或香港结算代理人将会就中央
结算系统的运作使用有关个人资料;
向本公司或香港证券登记处提供与其各自业
务营运有关的行政、电讯、电脑、付款或其
他服务的任何代理人、承包商或第三方服务
供应商;
联交所、证监会及任何其他法定监管机关或
政府部门或遵照其他法例、规则或法规;及
证券持有人与其进行或拟进行交易的任何人
士或机构,例如彼等的银行、律师、会计师
或股票经纪等。
4. 个人资料的保留
本公司及其香港证券登记处将按收集个人资料所
需的用途保留证券申请人及持有人的个人资料。
无需保留的个人资料将会根据条例销毁或处理。
5. 查阅和更正个人资料
证券持有人有权确定本公司或香港证券登记处是
否持有其个人资料,并有权索取有关该资料的副
本并更正任何不准确资料。本公司和香港证券登
记处有权就处理任何查阅资料的要求收取合理费
用。
所有查阅资料或更正资料的要求应按招股章程
「公司资料」一节所披露或不时通知的本公司注册
地址送交公司秘书,或向本公司的香港证券登记
处的个人资料私隐事务主任提出。
阁下签署申请表格或向香港结算发出电子认购指
示,即表示同意上述各项。
Sample
登
及�u或 及�u
及/或电 /或电
有任何错误,须 错误,须
登记处。
资料可被采用及以任何方式持 采用及以任何方式持
保存,以作下列用途: 作下列用
下的申请及退款支票/电子退款指 及退款支票/电子退款指
适用)、核实是否符合本申请表格及 核实是否符合本申
章程载列的条款和申请程序以及公 章程载列的条款和申请程序
发售股份的分配结果;
遵守香港及其他地区的适用法 遵守香港及其他地区的
以证券持有人(包括香港结 (
)的名义登记新发行证 登记
新本公司 新
有
向
务营运
他服务的
供应商;
联交所、证监 联交所
政府部门或遵
证券持有 证
士或机
或股
4. 4
样版版
的责
其他用途 他用
登记处所持有关证券持有人 登记处所持有关证券
密,但本公司及其香港证券登
达到上述任何目的之必要情况下, 上述任何目的之必要情况下,
人士披露或转交(无论在香港境内或 人士披露或转交(无论在香港境
关个人资料: 人资料:
公司委任的代理人,例如财务顾问
银行和主要海外证券登记处;
(如证券申请人要求将证券存於 (如证券申请人要求将证券存
统)香港结算或香港结算代理 香港结算或香港结算代
结算系统的运作使用有关个 结算系统的运作使用有
向本公司或香港证券登 公司或香港证券登
运有关的行政、 运有关的行政
的任何代理 的任何代
黃色申請表格
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沧海控股
2017-03-21