diff --git a/data/extracted_text/02335/allotment_results_2026-06-23_2026062301227.txt b/data/extracted_text/02335/allotment_results_2026-06-23_2026062301227.txt new file mode 100644 index 0000000..d5c84a5 --- /dev/null +++ b/data/extracted_text/02335/allotment_results_2026-06-23_2026062301227.txt @@ -0,0 +1,723 @@ +--- page 1 --- +– 1 – +Hong Kong Exchanges and Clearing Limited, The Stock Exchange of Hong Kong Limited (the “ Stock +Exchange ”) and Hong Kong Securities Clearing Company Limited (“ HKSCC ”) take no responsibility for the +contents of this announcement, make no representation as to its accuracy or completeness and expressly disclaim +any liability whatsoever for any loss howsoever arising from or in reliance upon the whole or any part of the +contents of this announcement. +This announcement is not for release, publication, distribution, directly or indirectly, in or into the United States +(including its territories and possessions, any state of the United States and the District of Columbia) or any +other jurisdiction where such distribution is prohibited by law. This announcement does not constitute or form a +part of any offer to sell or solicitation of an offer to buy, to purchase or subscribe for securities nor shall there +be any sale of Offer Shares in the United States or in any other jurisdictions in which such offer or solicitation +would be unlawful. The securities mentioned herein have not been, and will not be, registered under the United +States Securities Act of 1933 as amended from time to time (the “ U.S. Securities Act ”) or any state securities +law of the United States. The securities may not be offered, sold, pledged, or transferred within the United +States or to, or for the account or benefit of U.S. persons (as defined in Regulation S under the U.S. Securities +Act (“ Regulation S ”)) except pursuant to an exemption from, or in a transaction not subject to, the registration +requirements of the U.S. Securities Act and in compliance with any applicable state securities laws. There will +be no public offering of securities in the United States. The Offer Shares are being offered and sold outside the +United States in offshore transactions in reliance on Regulation S under the U.S. Securities Act. +This announcement is for information purposes only and does not constitute an invitation or offer to acquire, +purchase or subscribe for securities of the Company. This announcement is not a prospectus. Potential +investors should read the prospectus dated June 15, 2026 (the “ Prospectus ”) of Shaanxi Micot Pharmaceutical +Technology Co., Ltd. ( +ʮ̡ ) (the “ Company ”) carefully for detailed +information about the Company and the Global Offering before deciding whether or not to invest in the Offer +Shares. Any investment decision in relation to the Global Offering should be taken solely in reliance on the +information in the Prospectus. +Unless otherwise defined in this announcement, capitalized terms used herein shall have the same meanings as +those defined in the Prospectus. +In connection with the Global Offering, CCB International Capital Limited, as the stabilizing manager (the +“Stabilizing Manager ”), its affiliates or any person acting for it, may, to the extent permitted by applicable +laws of Hong Kong or elsewhere, over-allocate or effect transactions with a view to stabilizing or maintaining +the market price of the Shares at a level higher than that which might otherwise prevail for a limited period +after the Listing Date. However, there is no obligation on the Stabilizing Manager (its affiliates or any person +acting for it) to conduct any such stabilizing action. Such stabilizing action, if taken, (a) will be conducted at +the absolute discretion of the Stabilizing Manager (its affiliates or any person acting for it) and in what the +Stabilizing Manager reasonably regards as the best interest of the Company, (b) may be discontinued at any +time and (c) is required to be brought to an end within 30 days of the last day for lodging applications under the +Hong Kong Public Offering. Such stabilization action, if commenced, may be effected in all jurisdictions where it +is permissible to do so, in each case in compliance with all applicable laws, rules and regulatory requirements, +including the Securities and Futures (Price Stabilizing) Rules (Cha pter 571W of the Laws of Hong Kong), as +amended, made under the Securities and Futures Ordinance (Chapter 571 of the Laws of Hong Kong). +Potential investors should be aware that stabilizing action cannot be taken to support the price of the Shares for +longer than the stabilization period will begin on the Listing Date, and is expected to expire on Saturday, July +18, 2026, the 30th day after the last day for the lodging of applications under the Hong Kong Public Offering. +After this date, no further stabilizing action may be taken, demand for the Shares, and therefore the price of the +Shares, could fall. +The Hong Kong Offer Shares will be offered to the public in Hong Kong subject to the terms and conditions +set out in the Prospectus. The Hong Kong Offer Shares will not be offered to any person who is outside Hong +Kong and/or not resident in Hong Kong. Potential investors of the Offer Shares should note that the Overall +Coordinators (for themselves and on behalf of the Hong Kong Underwriters) shall be entitled to terminate their +obligations under the Hong Kong Underwriting Agreement upon the occurrence of any of the events set out in the +paragraph headed “Underwriting — Underwriting Arrangements and Expenses — Hong Kong Public Offering +— Grounds for Termination” in the Prospectus at any time prior to 8:00 a.m. (Hong Kong time) on the Listing +Date (which is currently expected to be Wednesday, June 24, 2026). + + +--- page 2 --- +– 2 – +Shaanxi Micot Pharmaceutical Technology Co., Ltd. +ʮ̡ +(A joint stock company incorporated in the People’s Republic of China with limited liability) +GLOBAL OFFERING +Number of Offer Shares under the +Global Offering +: 58,054,400 H Shares +Number of Hong Kong Offer Shares : 5,805,600 H Shares +Number of International Offer Shares : 52,248,800 H Shares +Final Offer Price : HK$18.20 per H Share, plus brokerage +of 1.0%, SFC transaction levy of +0.0027%, AFRC transaction levy of +0.00015% and the Stock Exchange +trading fee of 0.00565% (payable in full +on application in Hong Kong Dollars, +subject to refund) +Nominal value : RMB0.02 per H Share +Stock code : 2335 +Joint Sponsors, Overall Coordinators, Sponsor-Overall Coordinators, +Joint Global Coordinators, Joint Bookrunners and Joint Lead Managers +Joint Bookrunners and Joint Lead Managers +SOMERLEY CAPITAL LIMITED +⳪暲@:9) + + +--- page 3 --- +– 3 – +Shaanxi Micot Pharmaceutical Technology Co., Ltd. +ʮ̡ +ANNOUNCEMENT OF ALLOTMENT RESULTS +Warning: In view of high concentration of shareholding in a small number of H +Shareholders, Shareholders and prospective investors should be aware that the price +of the H Shares could move substantially even with a small number of H Shares +traded and should exercise extreme caution when dealing in the H Shares. +SUMMARY +Company information +Stock code 2335 +Stock short name MICOT PHARMA-B +Dealings commencement date June 24, 2026 * +* see note at the end of the announcement +Price Information +Final Offer Price HK$18.20 +Offer Shares and Share Capital +Number of Offer Shares 58,054,400 +Final number of Offer Shares in Hong Kong Public +Offering +5,805,600 +Final number of Offer Shares in International +Offering +52,248,800 +Number of issued Shares upon Listing 331,740,350 +Over-allocation +No. of Offer Shares over-allocated 0 +There has been no over-allocation of Offer Shares in the International Offering. +Therefore, the Over-allotment Option will not be exercised and will lapse upon Listing. +Proceeds +Gross proceeds (Note) HK$1,056.6 million +Less: Estimated listing expenses payable based on +Final Offer Price +HK$67.3 million +Net proceeds HK$989.3 million + + +--- page 4 --- +– 4 – +Note: Gross proceeds refer to the amount which the Company is entitled to receive. For details of the use of +proceeds, please refer to the section headed “Future Plans and Use of Proceeds” of the Prospectus. +ALLOTMENT RESULTS DETAILS +HONG KONG PUBLIC OFFERING +No. of valid applications 153,832 +No. of successful applications 22,665 +Subscription level 1,181.46 times +Claw-back triggered N/A +No. of Offer Shares initially available under the Hong +Kong Public Offering +5,805,600 +No. of Offer Shares reallocated from the International +Offering +0 +Final no. of Offer Shares under the Hong Kong Public +Offering +5,805,600 +% of Offer Shares under the Hong Kong Public Offering +to the Global Offering +10% +Note: For details of the final allocation of H Shares to the Hong Kong Public Offering, investors can refer to +www.hkeipo.hk/IPOResult to perform a search by identification document number or www.hkeipo.hk/IPOResult +for the full list of allottees. +INTERNATIONAL OFFERING +No. of placees 73 +Subscription Level 2.52 times +No. of Offer Shares initially available under the +International Offering +52,248,800 +No. of Offer Shares reallocated to the Hong Kong +Public Offering +0 +Final no. of Offer Shares under the International +Offering +52,248,800 +% of Offer Shares under the International Offering to +the Global Offering +90% +The Directors confirm that, to the best of their knowledge, information and belief, save for +consent under paragraph 1C (2) of Appendix F1 to the Listing Rules granted by the Stock +Exchange to permit Qiyuan Hong Kong, a close associates of Existing Shareholders, to + + +--- page 5 --- +– 5 – +participate in the Global Offering as a cornerstone investor subject to certain conditions, +(i) none of the Offer Shares subscribed by the placees and the public have been financed +directly or indirectly by the Company, any of the Directors, chief executive of the Company, +Controlling Shareholders, substantial Shareholders, existing Shareholders of the Company +or any of its subsidiaries or their respective close associates; and (ii) none of the placees and +the public who have purchased the Offer Shares are accustomed to taking instructions from +the Company, any of the Directors, chief executive of the Company, Controlling Shareholders, +substantial Shareholders, existing Shareholders of the Company or any of its subsidiaries +or their respective close associates in relation to the acquisition, disposal, voting or other +disposition of H Shares registered in his/her/its name or otherwise held by him/her/it. +The placees in the International Offering include the following: +Cornerstone Investors +Investor note 1 +TNo. of Offer Shares +allocated +% of Offer Shares +after the Global +Offering +% of total issued +share capital in the +Company after the +Global Offering +Existing +shareholders or +their close +associates +Qiyuan Hong Kong note 2 18,756,200 32.31% 5.65% YES +Everest Medicine 5,494,400 9.46% 1.66% No +Summit Capital 430,400 0.74% 0.13% No +Total 24,681,000 42.51% 7.44% +Notes: +1. For further details of the Cornerstone Investors, please refer to the section headed “Cornerstone +Investors” in the Prospectus. +2. As disclosed in the Prospectus, as Qiyuan Hong Kong is ultimately controlled by government bodies +of Shaanxi Province, it is a close associate of existing Shareholders of the Company. The Company +has sought, and the Stock Exchange has given, a consent under paragraph 1C (2) of Appendix F1 to +the Listing Rules to permit Qiyuan Hong Kong to participate in the Global Offering as a cornerstone +investor subject to certain conditions. For further details of the abovementioned consent, please refer +to the section headed “Waivers from Strict Compliance with the Listing Rules and Exemption from +Strict Compliance with the Companies (Winding Up and Miscellaneous Provisions) Ordinance” in the +Prospectus and “Others/Additional Information” in this announcement for details. + + +--- page 6 --- +– 6 – +Allottee with Waiver/Consent Obtained +Investor +No. of Offer +Shares allocated +% of Offer Shares +after the Global +Offering Note 4 +% of total issued +share capital in the +Company after the +Global Offering Note 5 Relationship +Allottee with consent under paragraph 1C (2) of the Placing Guidelines under Chapters 2.3 and 4.15 of the +Guide in relation to allocation of Offer Shares to a close associate of existing Shareholders Note 1 +Qiyuan Hong Kong 18,756,200 32.31% 5.65% A close associate +of existing +Shareholders +Notes: +1. The Stock Exchange has given a consent under paragraph 1C(2) of the Placing Guidelines and Chapters 2.3 and 4.15 of Guide to +permit Offer Shares to be placed to the above placee who is a close associate of existing Shareholders. Please refer to the sec tion +headed “Others/Additional Information” in this announcement. + + +--- page 7 --- +– 7 – +LOCK-UP UNDERTAKINGS +Cornerstone Investors +Name +Number of Shares +held in the Company +subject to lock-up +undertakings upon +Listing +% of total issued +H Shares after the +Global Offering +subject to lock-up +undertakings upon +Listing +% of total issued +share capital in +the Company +subject to lock-up +undertakings upon +Listing +Last day subject +to the lock-up +undertakings Note 1 +Qiyuan Hong Kong 18,756,200 6.70% 5.65% December 23, 2026 +Everest Medicine 5,494,400 1.96% 1.66% December 23, 2026 +Summit Capital 430,400 0.15% 0.13% December 23, 2026 +Total 24,681,000 8.81% 7.44% +Notes: +1. In accordance with the relevant cornerstone investment agreements, the required lock-up ends on December 23, 2026. The +Cornerstone Investors will cease to be prohibited from disposing of or transferring H Shares subscribed pursuant to the relevan t +cornerstone investment agreements after the indicated date. +Controlling Shareholders +Name Note 1 +Number of Shares held +in the Company subject +to lock-up undertakings +upon Listing +Number of H Shares +held in the Company +subject to lock-up +undertakings upon +Listing +% of total issued H +Shares after the Global +Offering subject to +lock-up undertakings +upon Listing +% of total issued share +capital in the Company +subject to lock-up +undertakings upon +Listing +Last day subject to +the lock-up +undertakings Note 2 +Dr. Wang Bing 111,000,000 66,600,000 23.78% 33.46% June 23, 2027 +Dr. Wang Mei 18,060,050 18,060,050 6.45% 5.44% June 23, 2027 +Xi’an Zhongrui 15,000,000 15,000,000 5.36% 4.52% June 23, 2027 +Total 144,060,050 99,660,050 35.58% 43.43% +Notes: +1. As of the date of this announcement, Dr. Wang Bing ( ˮΏ ), Dr. Wang Mei ( ˮૠ ) and Xi’an Zhongrui directly held 40.56%, 6.60% and 5.48% of the interest in our Company, respectively. +Dr. Wang Bing and Dr. Wang Mei are spouses. Dr. Wang Mei and Dr. Wang Bing held 99.00% and 1.00% of the equity interest, respec tively, in Zhongrui Zekang, which acts as the general +partner of Xi’an Zhongrui. Xi’an Zhongrui directly held 5.48% of the equity interest in the Company, such that Dr. Wang Mei and Dr. Wang Bing are deemed to be the beneficial owners +of the 5.48% equity interest in the Company held by Xi’an Zhongrui. Therefore, Dr. Wang Bing, Dr. Wang Mei, Xi’an Zhongrui and Zhongrui Zekang will be regarded as our Controlling +Shareholders under the Listing Rules before the Listing. For further details, please refer to the section headed “Relationship with our Controlling Shareholders” in the Prospectus. +2. The expiry date of the lock-up period shown in the table above is pursuant to the PRC Company Law. The required lock-up for the Controlling Shareholders ends on June 23, 2027, being +twelve months following the Listing Date. Pursuant to Rule 10.07 of the Listing Rules, each of the Controlling Shareholders (na mely Dr. Wang Bing, Dr. Wang Mei, Xi’an Zhongrui and +Zhongrui Zekang) has undertaken to the Stock Exchange and the Company that, he, she or it shall comply with the applicable lock up requirements. For further details, please refer to the +section headed “Underwriting — Undertakings to the Stock Exchange Pursuant to the Listing Rules — Undertakings by our Controlli ng Shareholders” in the Prospectus. + + +--- page 8 --- +– 8 – +Other Existing Shareholders +Name +Number of Shares held +in the Company subject +to lock-up undertakings +upon Listing +Number of H Shares +held in the Company +subject to lock-up +undertakings +upon Listing +% of total issued H +Shares after the Global +Offering subject to +lock-up undertakings +upon Listing +% of total issued share +capital in the Company +subject to lock-up +undertakings upon +Listing +Last day subject to +the lock-up +undertakings Note 1 +The People’s Government of Shaanxi Province +Junying Growth 3,982,350 3,982,350 1.42% 1.20% June 23, 2027 +Listing Reserve Fund 3,631,750 3,631,750 1.30% 1.09% June 23, 2027 +Junying Jiacheng 2,017,650 2,017,650 0.72% 0.61% June 23, 2027 +Xi’an Huiyu 907,950 907,950 0.32% 0.27% June 23, 2027 +Shaanxi Innovation Relay 4,153,850 – – 1.25% – +Shaanxi Jingang 3,115,400 – – 0.94% – +New Materials Fund 6,000,000 6,000,000 2.14% 1.81% June 23, 2027 +Other Shareholders +Suzhou Mainiv 27,333,350 27,333,350 9.76% 8.24% June 23, 2027 +Beta Achieve 17,733,350 17,733,350 6.33% 5.35% June 23, 2027 +Linhai Qize 14,382,650 14,382,650 5.14% 4.34% June 23, 2027 +Huaxin Pharmaceutical Venture +Capital 7,776,650 7,776,650 2.78% 2.34% June 23, 2027 +Suzhou Rongsheng 6,833,350 6,833,350 2.44% 2.06% June 23, 2027 +Xi’an Tongshang 5,939,950 5,939,950 2.12% 1.79% June 23, 2027 +Fengchuan Hongbo 5,125,000 5,125,000 1.83% 1.54% June 23, 2027 +Jingcheng Daxing 5,075,100 5,075,100 1.81% 1.53% June 23, 2027 +Tangxing Technology 4,780,200 4,780,200 1.71% 1.44% June 23, 2027 +Shanjin Runji 3,947,750 3,947,750 1.41% 1.19% June 23, 2027 +Hainan Wanfeng 1,361,900 1,361,900 0.49% 0.41% June 23, 2027 +Yinyun Heman 907,950 907,950 0.32% 0.27% June 23, 2027 +Hangzhou Quandewang 907,950 907,950 0.32% 0.27% June 23, 2027 +Hainan Ruizheng 907,950 907,950 0.32% 0.27% June 23, 2027 + + +--- page 9 --- +– 9 – +Name +Number of Shares held +in the Company subject +to lock-up undertakings +upon Listing +Number of H Shares +held in the Company +subject to lock-up +undertakings +upon Listing +% of total issued H +Shares after the Global +Offering subject to +lock-up undertakings +upon Listing +% of total issued share +capital in the Company +subject to lock-up +undertakings upon +Listing +Last day subject to +the lock-up +undertakings Note 1 +Maicheng Century 1,557,700 1,557,700 0.56% 0.47% June 23, 2027 +Jinan Liuji 1,246,150 1,246,150 0.44% 0.38% June 23, 2027 +Total 129,625,900 122,356,650 43.69% 39.07% +Notes: +1. Under the applicable PRC laws, all existing Shareholders are subject to a lockup period of twelve months following the Listi ng Date. +PLACEE CONCENTRATION ANALYSIS +Placees* +Number of +H Shares +allotted +Allotment as +% of +International +Offering +Allotment as +% of total +Offer Shares +Number of +H Shares held +upon Listing +% of total +issued share +capital upon +Listing +Top 1 18,756,200 35.90% 32.31% 18,756,200 5.65% +Top 5 39,640,000 75.87% 68.28% 39,640,000 11.95% +Top 10 45,269,000 86.64% 77.98% 45,269,000 13.65% +Top 25 51,790,600 99.12% 89.21% 51,790,600 15.61% +Note: +* Ranking of placees is based on the number of H Shares allotted to the placees. + + +--- page 10 --- +– 10 – +H SHAREHOLDER CONCENTRATION ANALYSIS +H Shareholders* +Number of +H Shares +allotted +Allotment as +% of +International +Offering +Allotment +as % of total +Offer Shares +Number of +H Shares held +upon Listing +% of total +issued +H share +capital upon +Listing +Number of +Shares held +upon Listing +Top 1 0 NA NA 99,660,050 35.58% 144,060,050 +Top 5 18,756,000 35.90% 32.31% 194,405,300 69.41% 246,074,550 +Top 10 33,204,000 63.55% 57.20% 229,403,650 81.91% 281,072,900 +Top 25 44,574,800 85.31% 76.78% 265,683,550 94.86% 317,352,800 +Note: +* Ranking of H Shareholders is based on the number of H Shares held by the H Shareholders upon Listing. +SHAREHOLDER CONCENTRATION ANALYSIS +Shareholders* +Number of +H Shares +allotted +Allotment +as % of +International +Offering +Allotment as +% of total +Offer Shares +Number of +H Shares held +upon Listing +Number of +Shares held +upon Listing +% of total +issued share +capital upon +Listing +Top 1 0 NA NA 99,660,050 144,060,050 43.43% +Top 5 18,756,200 35.90% 32.31% 194,405,300 246,074,550 73.18% +Top 10 33,204,600 63.55% 57.20% 229,403,650 281,072,900 84.73% +Top 25 44,574,800 85.31% 76.78% 265,683,550 317,352,800 95.66% +Note: +* Ranking of Shareholders is based on the number of Shares (of all classes) held by the Shareholders upon +Listing. + + +--- page 11 --- +– 11 – +BASIS OF ALLOCATION UNDER THE HONG KONG PUBLIC OFFERING +Subject to the satisfaction of the conditions set out in the Prospectus, a total of 153,832 valid +applications made by the public will be conditionally allocated on the basis set out below: +Pool A +Number of +H Shares +applied for +Number of +valid +applications Basis of allocation/ballot +Approximate +percentage +allotted +of the total +number of +H Shares +applied for +200 44,060 1,322 out of 44,060 applicants to receive 200 H Shares 3.00% +400 24,701 976 out of 24,701 applicants to receive 200 H Shares 1.98% +600 4,048 188 out of 4,048 applicants to receive 200 H Shares 1.55% +800 2,703 141 out of 2,703 applicants to receive 200 H Shares 1.30% +1,000 3,083 175 out of 3,083 applicants to receive 200 H Shares 1.14% +1,200 1,918 118 out of 1,918 applicants to receive 200 H Shares 1.03% +1,400 1,344 88 out of 1,344 applicants to receive 200 H Shares 0.94% +1,600 1,425 98 out of 1,425 applicants to receive 200 H Shares 0.86% +1,800 1,500 108 out of 1,500 applicants to receive 200 H Shares 0.80% +2,000 12,982 970 out of 12,982 applicants to receive 200 H Shares 0.75% +3,000 3,436 302 out of 3,436 applicants to receive 200 H Shares 0.59% +4,000 4,863 479 out of 4,863 applicants to receive 200 H Shares 0.49% +5,000 1,990 214 out of 1,990 applicants to receive 200 H Shares 0.43% +6,000 1,481 171 out of 1,481 applicants to receive 200 H Shares 0.38% +7,000 1,130 139 out of 1,130 applicants to receive 200 H Shares 0.35% +8,000 1,070 139 out of 1,070 applicants to receive 200 H Shares 0.32% +9,000 1,558 212 out of 1,558 applicants to receive 200 H Shares 0.30% +10,000 6,201 877 out of 6,201 applicants to receive 200 H Shares 0.28% +20,000 5,421 1,009 out of 5,421 applicants to receive 200 H Shares 0.19% +30,000 3,691 807 out of 3,691 applicants to receive 200 H Shares 0.15% +40,000 2,469 605 out of 2,469 applicants to receive 200 H Shares 0.12% +50,000 1,567 420 out of 1,567 applicants to receive 200 H Shares 0.11% +60,000 1,352 389 out of 1,352 applicants to receive 200 H Shares 0.10% +70,000 1,071 328 out of 1,071 applicants to receive 200 H Shares 0.09% +80,000 750 242 out of 750 applicants to receive 200 H Shares 0.08% +90,000 647 219 out of 647 applicants to receive 200 H Shares 0.08% +100,000 4,429 1,559 out of 4,429 applicants to receive 200 H Shares 0.07% +200,000 4,791 2,219 out of 4,791 applicants to receive 200 H Shares 0.05% + +Total 145,681 Total number of Pool A successful applicants: 14,514 + + +--- page 12 --- +– 12 – +Pool B +Number of +H Shares +applied for +Number of +valid +applications Basis of allocations/ballot +Approximate +percentage +allotted +of the total +number of +H Shares +applied for +300,000 4,433 200 H Shares plus 2,217 out of 4,433 applicants to +receive an additional 200 H Shares +0.10% +400,000 912 200 H Shares plus 609 out of 912 applicants to +receive an additional 200 H Shares +0.08% +500,000 725 200 H Shares plus 588 out of 725 applicants to +receive an additional 200 H Shares +0.07% +600,000 348 200 H Shares plus 326 out of 348 applicants to +receive an additional 200 H Shares +0.06% +700,000 339 400 H Shares 0.06% +800,000 204 400 H Shares plus 32 out of 204 applicants to +receive an additional 200 H Shares +0.05% +900,000 123 400 H Shares plus 31 out of 123 applicants to +receive an additional 200 H Shares +0.05% +1,000,000 618 400 H Shares plus 209 out of 618 applicants to +receive an additional 200 H Shares +0.05% +2,000,000 126 600 H Shares 0.03% +2,902,800 323 600 H Shares plus 169 out of 323 applicants to +receive an additional 200 H Shares +0.02% + +Total 8,151 Total number of Pool B successful applicants: 8,151 +As of the date of this announcement, the relevant subscription monies previously deposited +in the designated nominee accounts have been remitted back to the accounts of all HKSCC +participants. Investors should contact their relevant brokers for any inquiries. +COMPLIANCE WITH LISTING RULES AND GUIDANCE +The Directors confirm that, except for the Listing Rules that have been waived and/or in +respect of which consent has been obtained, the Company has complied with the Listing Rules +and guidance materials in relation to the placing, allotment and listing of the Company’s H +Shares. +The Directors confirm that, to the best of their knowledge, the consideration paid by +the placees or the public (as the case may be) directly or indirectly for each Offer Share +subscribed for or purchased by them was the same as the final Offer Price in addition to any +brokerage, AFRC transaction levy, SFC transaction levy and Stock Exchange trading fee +payable. + + +--- page 13 --- +– 13 – +OTHERS/ADDITIONAL INFORMATION +Allocation of Offer Shares to a Close Associate of the Existing Shareholders +The Company has sought, and the Stock Exchange has given, a consent under the paragraph +1C(2) of Appendix F1 to the Listing Rules to permit Qiyuan Hong Kong to participate in the +Global Offering as a cornerstone investor subject to the conditions that: +(a) our Company will comply with the public float requirements of Rule 19A .13A and +the free float requirement under Rule 19A.13C of the Listing Rules. For details of the +calculation of public float and free float of the Company, please refer to the section +headed “History, Development and Corporate Structure” in this prospectus; +(b) the Offer Shares to be subscribed by and allocated to Qiyuan Hong Kong as a +Cornerstone Investor under the Global Offering will be at the same Offer Price and on +substantially the same terms as the other Cornerstone Investors (including being subject +to a lock-up period of six months from the Listing Date, and Qiyuan Hong Kong shall +pay and settle in full the consideration for the Offer Shares before the dealing commence +on the Listing Date); +(c) no preference in allocation has been, nor will be, given to Qiyuan Hong Kong other than +the preferential treatment of assured entitlement at the Offer Price under a cornerstone +investment and the terms of the cornerstone investment agreement of the Qiyuan +Hong Kong are substantially the same as the other cornerstone investment agreements +following the principles set out in Chapters 2.3 and 4.15 of the Guide and each of the +Company, the Joint Sponsors and the Overall Coordinators has provided the Stock +Exchange with written confirmations in accordance with Chapters 2.3 and 4.15 of the +Guide for New Listing Applicants; and +(d) details of the allocation of the Offer Shares to Qiyuan Hong Kong in the Global Offering +as a cornerstone investor are disclosed in this prospectus, and details of the allocation +will be disclosed in the allotment results announcement of our Company. +Such allocations of Offer Shares to Qiyuan Hong Kong, as the close associate of the Existing +Shareholders is in compliance with all the conditions under the consent given by the Stock +Exchange. +For details of the allocations of Offer Shares to Qiyuan Hong Kong, please refer to the section +headed “Allotment Results Details — International Offering — Cornerstone Investors” in this +announcement. + + +--- page 14 --- +– 14 – +DISCLAIMERS +Hong Kong Exchanges and Clearing Limited, The Stock Exchange of Hong Kong Limited +and Hong Kong Securities Clearing Company Limited take no responsibility for the +contents of this announcement, make no representation as to its accuracy or completeness +and expressly disclaim any liability whatsoever for any loss howsoever arising from or in +reliance upon the whole or any part of the contents of this announcement. +This announcement is not for release, publication, distribution, directly or indirectly, in +or into the United States (including its territories and possessions, any state of the United +States and the District of Columbia) or any other jurisdiction where such distribution is +prohibited by law. This announcement does not constitute or form a part of any offer to sell +or solicitation of an offer to buy, to purchase or subscribe for securities nor shall there be +any sale of Offer Shares in the United States or in any other jurisdictions in which such +offer or solicitation would be unlawful. The securities mentioned herein have not been, +and will not be, registered under the United States Securities Act or any state securities +law of the United States. The securities may not be offered, sold, pledged, or transferred +within the United States or to, or for the account or benefit of U.S. persons (as defined in +Regulation S) except pursuant to an exemption from, or in a transaction not subject to, the +registration requirements of the U.S. Securities Act and in compliance with any applicable +state securities laws. The Offer Shares are being offered and sold outside the United States +in offshore transactions in reliance on Regulation S under the U.S. Securities Act. +This announcement is for information purposes only and does not constitute an invitation or +offer to acquire, purchase or subscribe for securities of the Company. This announcement is +not a prospectus. Potential investors should read the Prospectus dated June 15, 2026 issued +by Shaanxi Micot Pharmaceutical Technology Co., Ltd. ( +ࠢ +ʮ̡ ) for detailed information about the Global Offering described below before deciding +whether or not to invest in the Offer Shares. +* Potential investors of the Offer Shares should note that the Overall Coordinators (for +themselves and on behalf of the Hong Kong Underwriters) shall be entitled to terminate +their obligations under the Hong Kong Underwriting Agreement upon the occurrence of any +of the events set out in the paragraph headed “Underwriting — Underwriting Arrangements +and Expenses — Hong Kong Public Offering — Grounds for Termination” in the Prospectus +at any time prior to 8:00 a.m. (Hong Kong time) on the Listing Date (which is currently +expected to be Friday, June 24, 2026). +PUBLIC FLOAT AND FREE FLOAT +Rule 19A.13A of the Listing Rules requires that where the expected market value of the Shares +at the time of Listing is over HK $6,000,000,000 but not exceeding HK $30,000,000,000, the +minimum prescribed percentage of the Shares which must be H Shares held by the public is +determined at the higher of: (i) the percentage that would result in the expected market value +of the H Shares held by the public to be HK $1,500,000,000 at the time of Listing; and (ii) +15%. + + +--- page 15 --- +– 15 – +Immediately after the completion of the Global Offering, an aggregate of 145,115,150 H +Shares, representing approximately 43.74% of the total issued share capital of the Company +upon the completion of the Global Offering will be counted towards the public float. Based +on the Offer Price of HK $18.20 per Offer Share, the expected market capitalization of the +Company’s H Shares would exceed HK$6,000,000,000 and the percentage that would result in +the expected market value of H shares held by the public to be HK$1,500,000,000 at the time +of Listing would be 24.84%. Therefore, the Company will be able to meet the public float +requirement under Rule 19A.13A of the Listing Rules. +Rule 19A.13C(1) of the Listing Rules provides that, where a new applicant is a PRC issuer +with no other listed shares at the time of listing, the portion of H shares for which listing is +sought that are held by the public and not subject to any disposal restrictions at the time listing +must normally (i) represent at least 10% of the total number of issued shares in the class to +which H shares belong at the time of listing (excluding treasury shares), with an expected +market value at the time of listing of not less than HK$50,000,000; or (ii) have an expected +market value at the time of listing of not less than HK$600,000,000. +Immediately after the completion of the Global Offering, based on the Offer Price of +HK$18.20, except for (i) 273,685,950 Shares held by all existing Shareholders that are +subject to a lock-up period of twelve months following the Listing Date under applicable PRC +law; and (ii) 24,681,000 Shares held by Cornerstone Investors that are subject to a lock-up +period of six months from and including the Listing Date, all remaining 33,373,400 Shares, +representing 10.06% of the total Shares, will be counted toward the free float. Therefore, our +Company will be able to sa tisfy the free float requiremen t under Rule 19A.13C(1)(a) of the +Listing Rules. +COMMENCEMENT OF DEALINGS +The H Share certificates will only become valid evidence of title at 8:00 a.m. on Wednesday, +June 24, 2026 (Hong Kong time), provided that the Global Offering has become unconditional +and the right of termination described in the section headed “Underwriting — Underwriting +Arrangements and Expenses — Hong Kong Public Offering — Grounds for Termination” +in the Prospectus has not been exercised. Investors who trade the H Shares on the basis of +publicly available allocation details prior to the receipt of H Share certificates or prior to the +H Share certificates becoming valid evidence of title do so entirely at their own risk. + + +--- page 16 --- +– 16 – +Assuming that the Global Offering becomes unconditional at or before 8:00 a.m. on +Wednesday, June 24, 2026 (Hong Kong time), it is expected that dealings in the H Shares on +the Stock Exchange will commence at 9:00 a.m. on Wednesday, June 24, 2026 (Hong Kong +time). The H Shares will be traded in board lots of 200 H Shares each, and the stock code of +the H Shares will be 2335. +By order of the Board +Shaanxi Micot Pharmaceutical Technology Co., Ltd. +Dr. Wang Bing +Chairman, Chief Executive Officer and Executive Director +Hong Kong, June 23, 2026 +As of the date of this announcement, the Board comprises (i) Dr. Wang Bing and Dr. Yu +Weiping as executive Directors; (ii) Dr. Wang Mei, Mr. You Xiangdong, Dr. Song Gaoguang +and Dr. Wang Nayi as non-executive Directors; and (iii) Dr. Xiangli Liuxu, Mr. Zhang +Wenqiang and Mr. Wang Kaifeng as proposed independent non-executive Directors. diff --git a/data/extracted_text/06106/allotment_results_2026-06-23_2026062302143.txt b/data/extracted_text/06106/allotment_results_2026-06-23_2026062302143.txt new file mode 100644 index 0000000..4f612f3 --- /dev/null +++ b/data/extracted_text/06106/allotment_results_2026-06-23_2026062302143.txt @@ -0,0 +1,1315 @@ +--- page 1 --- +– 1 – +Hong Kong Exchanges and Clearing Limited, The Stock Exchange of Hong Kong Limited (the “Stock +Exchange”) and Hong Kong Securities Clearing Company Limited (“HKSCC”) take no responsibility for +the contents of this announcement, make no representation as to its accuracy or completeness and expressly +disclaim any liability whatsoever for any loss howsoever arising from or in reliance upon the whole or any +part of the contents of this announcement. +Unless otherwise defined in this announcement, capitalized terms used herein shall have the same meanings +as those defined in the prospectus dated June 15, 2026 (the “Prospectus”) issued by Shanghai Seer +Intelligent Technology Co., Ltd. (ʮ̡) (the “Company”). +This announcement is for information purposes only and does not constitute an invitation or offer to acquire, +purchase or subscribe for securities. Potential investors should read the Prospectus for detailed information +about the Company and the Global Offering described below before deciding whether or not to invest in the +Offer Shares. +This announcement is not for release, publication, distribution, directly or indirectly, in or into the United +States (including its territories and possessions, any state of the United States and the District of Columbia). +This announcement does not constitute or form a part of any offer or solicitation to purchase or subscribe +for securities in the United States or in any other jurisdictions. The securities mentioned herein have not +been, and will not be, registered under the United States Securities Act of 1933 as amended from time to time +(the “U.S. Securities Act”) or securities law of any state or other jurisdiction of the United States and may +not be offered, sold, pledged or otherwise transferred within the United States except in transactions exempt +from, or not subject to, the registration requirements of the U.S. Securities Act. There will be no public offer +of securities in the United States. The Offer Shares are being offered and sold outside the United States in +offshore transactions in reliance on Regulation S under the U.S. Securities Act. +In connection with the Global Offering, China International Capital Corporation Hong Kong Securities +Limited, as stabilizing manager (the “ Stabilizing Manager”), or any person acting for it, on behalf of the +Underwriters, may over-allocate or effect transactions with a view to stabilizing or supporting the market +price of the Shares at a level higher than that which might otherwise prevail for a limited period after the +Listing Date. However, there is no obligation on the Stabilizing Manager, or any person acting for it to +conduct any such stabilizing action, which, if commenced, will be done at the sole and absolute discretion +of the Stabilizing Manager, or any person acting for it, and may be discontinued at any time. Any such +stabilizing action is required to be brought to an end on the 30th day after the last day for the lodging of +applications under the Hong Kong Public Offering. Such stabilizing action, if taken, may be effected in all +jurisdictions where it is permissible to do so, in each case in compliance with all applicable laws, rules and +regulatory requirements, including the Securities and Futures (Price Stabilizing) Rules (Chapter 571W of +the Laws of Hong Kong), as amended, made under the Securities and Futures Ordinance (Chapter 571 of the +Laws of Hong Kong). +Potential investors should be aware that no stabilizing action can be taken to support the price of the Shares +for longer than the stabilization period, which begins on the Listing Date and is expected to expire on the +30th day after the last day for lodging applications under the Hong Kong Public Offering. After this date, +when no further stabilizing action may be taken, demand for the Shares, and therefore the price of the Shares, +could fall. +Potential investors of the Offer Shares should note that the Sponsor-Overall Coordinator (for itself and on +behalf of the Hong Kong Underwriters) shall be entitled to terminate their obligations under the Hong Kong +Underwriting Agreement with immediate effect upon the occurrence of any of the events set out in the section +headed “Underwriting — Underwriting Arrangements and Expenses — The Hong Kong Public Offering — +Hong Kong Underwriting Agreement — Grounds for Termination” in the Prospectus at any time prior to +8:00 a.m. (Hong Kong time) on the Listing Date. + + +--- page 2 --- +– 2 – +Shanghai Seer Intelligent Technology Co., Ltd. +ʮ̡ +(A joint stock company established in the People’s Republic of China with limited liability) +GLOBAL OFFERING +Number of Offer Shares +under the Global Offering +: 10,497,300 H Shares (subject to the +Over-allotment Option) +Number of Hong Kong Offer Shares : 2,099,500 H Shares (as adjusted after +reallocation) +Number of International Offer Shares : 8,397,800 H Shares (as adjusted after +allocation and subject to the Over- +allotment Option) +Offer Price : HK$101.60 per H Share, plus brokerage +of 1.0%, AFRC transaction levy of +0.00015%, SFC transaction levy of +0.0027% and Stock Exchange trading +fee of 0.00565% +Nominal value : RMB1.00 per H Share +Stock code : 06106 +Sole Sponsor, Sponsor-Overall Coordinator, Overall Coordinators, +Joint Global Coordinators, Bookrunners and Joint Lead Managers +Overall Coordinators, Joint Global Coordinators, Joint Bookrunners and +Joint Lead Managers +Joint Global Coordinators, Joint Bookrunners and Joint Lead Managers +Joint Bookrunners and Joint Lead Managers + + +--- page 3 --- +– 3 – +Shanghai Seer Intelligent Technology Co., Ltd. +ʮ̡ +ANNOUNCEMENT OF ALLOTMENT RESULTS +Unless otherwise defined herein, capitalised terms used in this announcement shall have the +same meanings as those defined in the prospectus dated June 15, 2026 (the “Prospectus”) +issued by Shanghai Seer Intelligent Technology Co., Ltd. (the “Company”). +Warning: In view of high concentration of shareholding in a small number of +Shareholders, Shareholders and prospective investors should be aware that the price +of the H Shares could move substantially even with a small number of H Shares traded +and should exercise extreme caution when dealing in the H Shares. +SUMMARY +Company information +Stock code 06106 +Stock short name SEER TECH +Dealings commencement date June 24, 2026* +* see note at the end of the announcement +Price Information +Final Offer Price HK$101.60 +Offer Price Range N/A +Offer Price Adjustment exercised N/A + + +--- page 4 --- +– 4 – +Offer Shares and Share Capital +Number of Offer Shares (before exercise of the Over- +allotment Option) +10,497,300 +Number of Offer Shares in Hong Kong Public +Offering (after reallocation) +2,099,500 +Number of Offer Shares in International Offering +(after reallocation and before exercise of the Over- +allotment Option) +8,397,800 +Number of issued Shares upon Listing (before +exercise of the Over-allotment Option) +110,497,300 +Offer Size Adjustment Option (Upsize option) +Number of additional shares issued under the option 0* +— Hong Kong Public Offering — +— International Offering — +* The Offer Size Adjustment Option has not been exercised. +Over-allocation +No. of Offer Shares over-allocated 1,574,550 +Such over-allocation may be covered by exercising the Over-allotment Option or by +making purchases in the secondary market at prices that do not exceed the Offer Price +or through deferred delivery or a combination of these means. In the event the Over- +allotment Option is exercised, an announcement will be made on the Stock Exchange’s +website. + + +--- page 5 --- +– 5 – +Proceeds +Gross proceeds (Note) HK$1,066.5 million +Less: Estimated listing expenses payable based on +Final Offer Price +HK$(71.2) million +Net proceeds HK$995.4 million +Note: 1. Gross proceeds refers to the amount to which the issuer is entitled to receive. For details of +the use of proceeds, please refer to the section headed “Future Plans and Use of Proceeds” of +the Prospectus. The Company will adjust the allocation of the net proceeds from the exercise +of the Over-allotment Option (if any) for the purposes as set out in the section headed “Future +Plans and Use of Proceeds” of the Prospectus on a pro rata basis. + 2. The discrepancy in the table between total and sums of amounts listed therein is due to +rounding. +ALLOTMENT RESULTS DETAILS +HONG KONG PUBLIC OFFERING +No. of valid applications 222,966 +No. of successful applications 38,687 +Subscription level 5,934.56 times +Claw-back triggered Yes +No. of Offer Shares initially available under the +Hong Kong Public Offering +524,900 +No. of Offer Shares reallocated from the +International Offering (claw-back) +1,574,600 +Final no. of Offer Shares under the Hong Kong +Public Offering (after reallocation) +2,099,500 +% of Offer Shares under the Hong Kong Public +Offering to the Global Offering (before the exercise +of the Over-allotment Option) +20.00% +Note: For details of the final allocation of Shares to the Hong Kong Public Offering, investors +can refer to www.eipo.com.hk/eIPOAllotment to perform a search by identification number +or www.eipo.com.hk/eIPOAllotment for the full list of allottees. + + +--- page 6 --- +– 6 – +INTERNATIONAL OFFERING +No. of placees 134 +Subscription Level 21.29 times +No. of Offer Shares initially available under the +International Offering +9,972,400 +Final no. of Offer Shares under the International +Offering (after reallocation and before the exercise +of the Over-allotment Option) +8,397,800 +% of Offer Shares under the International Offering +to the Global Offering before the exercise of the +Over-allotment Option +80.00% +The Directors confirm that, to the best of their knowledge, information and belief, (i) none +of the Offer Shares subscribed by the placees and the public have been financed directly or +indirectly by the Company, any of the Directors, chief executive of the Company, controlling +shareholders, substantial shareholders, existing shareholders of the Company or any of +its subsidiaries or their respective close associates; and (ii) none of the placees and the +public who have purchased the Offer Shares are accustomed to taking instructions from the +Company, any of the Directors, chief executive of the Company, controlling shareholders, +substantial shareholders, existing shareholders of the Company or any of its subsidiaries +or their respective close associates in relation to the acquisition, disposal, voting or other +disposition of Shares registered in his/her/its name or otherwise held by him/her/it. + + +--- page 7 --- +– 7 – +Cornerstone Investors +Name Note 1 +No. of +Offer Shares +allocated +Approximate +% of +the Offer +Shares Note 2 +Approximate % +of total issued +share capital +after the Global +Offering Note 3 +Existing +shareholders +or their close +associates +HHLR Advisors, Ltd. (“HHLRA”) 1,156,650 11.02% 1.05% No +Yuanbao Family Office Limited +(“Yuanbao Family Office (፬)”) 1,156,650 11.02% 1.05% No +3W Fund Management Limited (“3W Fund”) 771,100 7.35% 0.70% No +GF Fund Management Co., Ltd. +(ʮ̡) (“GF Fund Management”) +and GF International Investment Management Limited +(ʮ̡) (“GF Fund HK”, +together with GF Fund Management, “GF Fund”) 462,650 4.41% 0.42% No +Ruihua (International) Investment Limited +(ശ(ყ)ʮ̡) (“Ruihua Investment”) 385,550 3.67% 0.35% No +Zhonghe Capital (through GF Securities Asset Management +(Guangdong) Co., Ltd (“GF Securities AM”) as the +qualified domestic institutional investor)3 231,300 2.20% 0.21% No +Yishao Capital Management (HK) Limited +(“Yishao Capital”) 231,300 2.20% 0.21% No +Nova Kerry Inc. 154,200 1.47% 0.14% No +Subtotal 4,549,400 43.34% 4.12% +Notes: +1. For further details of the cornerstone investors, please refer to the section headed “Cornerstone Investors” of the Prospectus. +2. Assuming the Over-allotment Option is not exercised. +3. Splendid Zhonghe (Tianjin) Investment Management Co., Ltd. (ᎀᔐʕձ(ݵ)ʮ̡ ) (“Splendid Zhonghe Investment”) has entered into Cornerstone +Investment Agreement with the Company. Splendid Zhonghe Investment is a limited liability company incorporated in China on January 17, 2017. It is a wholly-owned +subsidiary of Splendid Zhonghe (Beijing) Capital Co., Ltd. ( ᎀᔐʕձ (̏ԯ )ʮ̡ ) (“Zhonghe Capital ”). Since the date of the prospectus, Zhonghe +Capital has finalized its subscription arrangements. Splendid Zhonghe Investment has engaged GF Securities AM, an asset manager that is a qualified domestic +institutional investor as approved by the relevant PRC authority, to subscribe for and hold such Offer Shares on a non-discretionary basis on behalf of Zhonghe +Capital, in the name of: (1) CIB-GFAM CHINA HK STOCKS MULTISTRATEGY AMA NO.7 (εʩഄଫ 7ྌ (QDII))) and (ii) SPDB +— GF SECURITIES ASSET MANAGEMENT (GUANGDONG) CO.,LTD. CHKMS AMA NO.12 (εʩഄଫ 12ྌ (QDII)). + + +--- page 8 --- +– 8 – +Allottees with Waivers/Consents Obtained +Investor +No. of Offer +Shares +allocated +% of Offer +Shares Note 1 +% of total +issued +H-shares after +the Global +Offering upon +listing Note 1 +% of +shareholding +in the +Company upon +listing Note 1 Relationship +Allottees with consent under paragraph 1C(1) of the Appendix F1 to the Listing Rules (the “Placing Guidelines”) and Chapter 4.15 of the Guide for +New Listing Applicants in relation to allocations to connected clients +CICC Financial Trading Limited (“CICC FT”) +(in connection with Hangzhou Zheshi OTC +Swaps) +430,700 4.10% 0.39% 0.39% Connected client +CICC FT (in connection with Aochuang +Hangzhou OTC Swaps) +501,200 4.77% 0.45% 0.45% Connected client +CICC FT (in connection with Tibet Longrising +OTC Swaps) +3,700 0.04% 0.0033% 0.0033% Connected client +CICC FT (in connection with Shanghai Tongyi +OTC Swaps) +400 0.0038% 0.0036% 0.0036% Connected client +China Asset Management (Hong Kong) Limited +(“China AM”) +1,600 0.02% 0.0014% 0.0014% Connected client +China Universal Asset Management (Hong Kong) +Company Limited (“China UAM”) +7,700 0.07% 0.01% 0.01% Connected client +Fullgoal Asset Management (HK) Limited +(“Fullgoal AMHK”) +270,450 2.58% 0.24% 0.24% Connected client +Fullgoal Fund Management Company Limited +(“Fullgoal Fund”) +115,100 1.10% 0.10% 0.10% Connected client +Notes: +1. Assuming the Over-allotment Option is not exercised. +2. For details of the consent under paragraph 1C(1) of the Placing Guidelines and Chapter 4.15 of the Guide for New Listing Applicants in +relation to allocations to connected clients, please refer to the section headed “Allottees with waivers/consents obtained — International +Offering — Allottees with consent under paragraph 1C(1) of the Placing Guidelines and Chapter 4.15 of the Guide for New Listing +Applicants in relation to allocations to connected clients” of this announcement. + + +--- page 9 --- +– 9 – +LOCK-UP UNDERTAKINGS +Controlling Shareholders +Name +Number of +Shares held in +the Company +subject to lock-up +undertakings upon +listing +% of total issued +Shares after the +Global Offering +subject to lock-up +undertakings upon +listing Note 1 +Last day subject +to the lock-up +undertakings Note 2 +Mr. Zhao Yue (“Mr. Zhao”) 17,050,617 15.43% June 24, 2027 +Shanghai Xianyi Enterprise Management Partnership +(Limited Partnership) (ɪऎ̀ɓΆุ၍ଣΥྫΆุ(ࠢ +Υྫ)) (“ Shanghai Xianyi”) +15,461,117 13.99% June 24, 2027 +Shanghai Xiansan Enterprise Management Partnership +(Limited Partnership) (ɪऎ̀ɧΆุ၍ଣΥྫΆุ(ࠢ +Υྫ)) (“Shanghai Xiansan”) +7,960,265 7.20% June 24, 2027 +Shanghai Xianwu Enterprise Management Partnership +(Limited Partnership) (ɪऎ̀ʞΆุ၍ଣΥྫΆุ(ࠢ +Υྫ)) (“Shanghai Xianwu”) +4,823,140 4.36% June 24, 2027 +Shanghai Xianliu Enterprise Management Partnership +(Limited Partnership) (ɪऎ̀ʬΆุ၍ଣΥྫΆุ(ࠢ +Υྫ)) (“Shanghai Xianliu”) +3,324,871 3.01% June 24, 2027 +Shanghai Xianqi Enterprise Management Partnership +(Limited Partnership) (ɪऎ̀ɖΆุ၍ଣΥྫΆุ(ࠢ +Υྫ)) (“Shanghai Xianqi”) +4,265,688 3.86% June 24, 2027 +Subtotal 52,885,698 47.86% +Notes: +1. Assuming the Over-allotment Option is not exercised. +2. The expiry date of the lock-up period shown in the table above is pursuant to applicable PRC laws and relevant lock-up undertakings as +disclosed in the Prospectus. + + +--- page 10 --- +– 10 – +Key Persons (as defined under Rule 18C.14 of the Listing Rules) +Name +Number of +Shares held in +the Company +subject to lock- +up undertakings +upon listing +% of total issued +Shares after the +Global Offering +subject to lock- +up undertakings +upon listing Note 1 +Last day subject +to the lock-up +undertakings +Note 2 +Mr. Zhao 17,050,617 15.43% June 24, 2027 +Shanghai Xianyi 15,461,117 13.99% June 24, 2027 +Shanghai Xiansan 7,960,265 7.20% June 24, 2027 +Shanghai Xianwu 4,823,140 4.36% June 24, 2027 +Shanghai Xianliu 3,324,871 3.01% June 24, 2027 +Shanghai Xianqi 4,265,688 3.86% June 24, 2027 +Subtotal 52,885,698 47.86% +Notes: +1. Assuming the Over-allotment Option is not exercised. +2. Each of such core R&D members of the Company and/or Directors has undertaken that the partnership interests held by +him/her in these partnerships are subject to a lock-up period of 12 months after the Listing Date (the “Partnership Lock-up +Period”) pursuant to Rule 18C.14 of the Listing Rules. +3. The Company determined the key personnel, namely Mr. Zhao, Mr. Wang Qun, Mr. Ye Yangsheng, Dr. Huang Qiangsheng and +Dr. Zhang Tengyu, based on their roles and expertise in leading the development of our core technologies in relation to the +Specialist Technology Products and their seniority within the R&D department of the Company. These key personnel play +critical roles in driving the Company’s product innovation and overall business development. Please refer to section headed +“Business — Research and Development — R&D Team and Core Members” in the Prospectus for further details of their +biographies. The key personnel directly or indirectly hold the Shares through Shanghai Xianyi, Shanghai Xiansan, Shanghai +Xianwu, Shanghai Xianliu, Shanghai Xianqi, Suzhou Xianwu No. 1 and Suzhou Xianwu No. 2, and all the respective ultimate +beneficial interests in these platforms held by the key personnel shall be subject to disposal restrictions pursuant to Rules +18C.14 of the Listing Rules at the time of the Listing. + + +--- page 11 --- +– 11 – +Pathfinder SIIs +Name +Number of +Shares held in +the Company +subject to lock- +up undertakings +upon listing +% of total issued +Shares after the +Global Offering +subject to lock- +up undertakings +upon listing Note 1 +Last day subject +to the lock-up +undertakings +Note 2 +Zhuhai Yinshan Modern Logistics Industry Equity +Investment Fund (Limited Partnership) (मऎ +ږ(Υྫ)) +(“Zhuhai Yinshan”) 14,249,432 12.90% June 24, 2027 +Ecovacs (Hainan) Investment Co., Ltd. (Ӝ +(ی)ʮ̡) (“Ecovacs Investment +Hainan”) 6,446,709 5.83% June 24, 2027 +Nanjing SAIF Equity Investment Fund (L.P.) (ԯ +ږ(Υྫ)) (“Nanjing SAIF”) 2,327,951 2.11% June 24, 2027 +Hangzhou Fuyang SAIF Yi’an Equity Investment +Partnership (Limited Partnership) (ψబජᒄ +ᛆҳ༟ΥྫΆุ(Υྫ)) (“SAIF +Yi’an”) 1,306,751 1.18% June 24, 2027 +Nanjing SAIF Yulin Equity Investment Partnership +Enterprise (Limited Partnership) (ٰ؍ڠ +ᛆҳ༟ΥྫΆุ(Υྫ)) (“SAIF Yulin”) 390,078 0.35% June 24, 2027 +Jiaxing Tengyuan Investment Partnership (Limited +Partnership) (ྗጳᙜʩҳ༟ΥྫΆุ(Υྫ)) +(“Jiaxing Tengyuan”) 234,042 0.21% June 24, 2027 +Subtotal 24,954,963 22.58% +Notes: +1. Each of the Shareholders listed in the above table is a pathfinder SII of the Company as defined under Chapter 2.5 of the +Guide for New Listing Applicants. Please refer to the section headed “History, Development and Corporate Structure — +Capitalization of the Company” in the Prospectus for further details. +2. All Pathfinder SIIs shall not dispose of any of the Shares held by them within the 12 months following the Listing Date as +required under the applicable PRC laws and relevant lock-up undertakings as disclosed in the Prospectus. In accordance +with Rule 18C.14(2) of the Listing Rules, the required lock-up period commences on the date by reference to which disclosure +of its shareholding is made in the Prospectus and ends on the date which is six months from the Listing Date. In addition to +the lock-up requirement under Rule 18C.14(2) of the Listing Rules, all existing Shareholders shall not dispose of any of the +Shares held by them within the 12 months following the Listing Date, i.e. June 24, 2026, as required under the applicable +PRC laws. + + +--- page 12 --- +– 12 – +Other Pre-IPO Investors +Name +Number of +Shares held in +the Company +subject to lock- +up undertakings +upon listing +% of total issued +Shares after the +Global Offering +subject to lock- +up undertakings +upon listing Note 1 +Last day subject +to the lock-up +undertakings +Note 2 +Ningbo Meishan Bonded Port Area Huilidaoqin +Investment Management Center (Limited +Partnership) (ಥਜිл༸ාҳ༟၍ +ଣʕː(Υྫ)) (“Ningbo Huilidaoqin”) 9,654,483 8.74% June 24, 2027 +Tianjin Dehui Investment Management Partnership +(Limited Partnership) (ᅃሾҳ༟၍ଣΥྫΆ +ุ(Υྫ)) (“Tianjin Dehui”) 5,349,599 4.84% June 24, 2027 +Hangzhou Yuanqiao Zhixing Venture Capital +Partnership Enterprise (Limited Partnership) ( +ψჃ౽Б௴ุҳ༟ΥྫΆุ(Υྫ) ) +(“Hangzhou Yuanqiao”) 4,455,980 4.03% June 24, 2027 +Hangzhou Xiaoshan Haolan Equity Investment +Fund Partnership Enterprise (Limited Partnership) +ΥྫΆุ(Υྫ) +(“Hangzhou Haolan”) 1,170,225 1.06% June 24, 2027 +Wuxi Liangxi Science and Technology City +Hongtai Xinzhi Investment Partnership Enterprise +(Limited Partnership) (ݳ۬ +इอ౽ҳ༟ΥྫΆุ(Υྫ)) (“ Hongtai +Investment”) 1,529,052 1.38% June 24, 2027 +Subtotal 22,159,339 20.05% +Notes: +1. Assuming the Over-allotment Option is not exercised. +2. The expiry date of the lock-up period shown in the table above is pursuant to applicable PRC laws. + + +--- page 13 --- +– 13 – +Cornerstone Investors +Name +Number of +Shares held in +the Company +subject to lock- +up undertakings +upon listing +% of total issued +Shares after the +Global Offering +subject to lock- +up undertakings +upon listing Note 1 +Last day subject +to the lock-up +undertakings +Note 2 +HHLRA 1,156,650 1.05% December 24, 2026 +Yuanbao Family Office (፬) 1,156,650 1.05% December 24, 2026 +3W Fund 771,100 0.70% December 24, 2026 +GF Fund 462,650 0.42% December 24, 2026 +Ruihua Investment 385,550 0.35% December 24, 2026 +Zhonghe Capital (through GF Securities AM as the +qualified domestic institutional investor) 231,300 0.21% December 24, 2026 +Yishao Capital 231,300 0.21% December 24, 2026 +Nova Kerry Inc. 154,200 0.14% December 24, 2026 +Subtotal 4,549,400 4.12% +Notes: +1. Assuming the Over-allotment Option is not exercised. +2. In accordance with the relevant cornerstone investment agreements, the required lock-up ends on December 24, 2026. The +Cornerstone Investors will cease to be prohibited from disposing of or transferring H Shares subscribed for pursuant to the +relevant cornerstone investment agreements after the indicated date. + + +--- page 14 --- +– 14 – +PLACEE CONCENTRATION ANALYSIS +Placees* +Number of H +Shares allotted +Allotment as % +of International +Offering +(assuming no +exercise of the +Over-allotment +Option) +Allotment as % +of International +Offering +(assuming the +Over-allotment +Option is fully +exercised) +Allotment as +% of total +Offer Shares +(assuming no +exercise of the +Over-allotment +Option) +Allotment as +% of total +Offer Shares +(assuming the +Over-allotment +Option is fully +exercised) +Number of +Shares held +upon Listing +% of total issued +share capital +upon Listing +(assuming no +exercise of the +Over-allotment +Option) +% of total issued +share capital +upon Listing +(assuming the +Over-allotment +Option is fully +exercised) +Top 1 1,156,650 13.7733 11.5986 11.0185 9.5814 1,156,650 1.0468 1.0321 +Top 5 4,124,250 49.1112 41.3569 39.2886 34.1642 4,124,250 3.7325 3.68 +Top 10 6,129,100 67.0166 56.4351 53.6125 46.6201 6,129,100 5.0932 5.0216 +Top 25 9,136,350 102.8265 86.591 82.2603 71.5313 9,136,350 7.8151 7.7049 +Note +* Ranking of placees is based on the number of H Shares allotted to the placees. + + +--- page 15 --- +– 15 – +H SHAREHOLDER CONCENTRATION ANALYSIS +H Shareholders* +Number of +H Shares +allotted +Allotment +as % of +International +Offering +(assuming +no exercise +of the Over- +allotment +Option) +Allotment +as % of +International +Offering +(assuming +the Over- +allotment +Option +is fully +exercised) +Allotment as +% of total +Offer Shares +(assuming +no exercise +of the Over- +allotment +Option) +Allotment as +% of total +Offer Shares +(assuming +the Over- +allotment +Option +is fully +exercised) +Number of +H Shares +held upon +Listing +% of total +issued Share +capital upon +Listing +(assuming +no exercise +of the Over- +allotment +Option) +% of total +issued share +capital upon +Listing +(assuming +the Over- +allotment +Option +is fully +exercised) +Top 1 0 N/A N/A 0.0000 0.0000 17,050,617 15.4308 15.2140 +Top 5 0 N/A N/A 0.0000 0.0000 64,375,914 58.2601 57.4416 +Top 10 0 N/A N/A 0.0000 0.0000 89,717,030 81.1938 80.0531 +Top 25 6,399,550 76.2053 64.1730 60.9635 53.0123 106,399,550 94.9385 94.0412 +Note +* Ranking of H Shareholders is based on the number of H Shares (of all classes) held by the H +Shareholders upon Listing. + + +--- page 16 --- +– 16 – +BASIS OF ALLOCATION UNDER THE HONG KONG PUBLIC OFFERING +Subject to the satisfaction of the conditions set out in the Prospectus, a total of 38,687 valid +applications made by the public will be conditionally allocated on the basis set out below: +NO. OF +H SHARES +APPLIED FOR +NO. OF VALID +APPLICATIONS BASIS OF ALLOCATION/BALLOT +APPROXIMATE +PERCENTAGE +ALLOTED OF +THE TOTAL NO. +OF H SHARES +APPLIED FOR +POOL A +50 70,566 3,528 out of 70,566 to receive 50 Shares 5.00% +100 10,449 627 out of 10,449 to receive 50 Shares 3.00% +150 5,530 373 out of 5,530 to receive 50 Shares 2.25% +200 4,371 314 out of 4,371 to receive 50 Shares 1.80% +250 3,763 287 out of 3,763 to receive 50 Shares 1.53% +300 3,298 264 out of 3,298 to receive 50 Shares 1.33% +350 3,045 254 out of 3,045 to receive 50 Shares 1.19% +400 2,617 226 out of 2,617 to receive 50 Shares 1.08% +450 14,742 1,312 out of 14,742 to receive 50 Shares 0.99% +500 7,310 669 out of 7,310 to receive 50 Shares 0.92% +600 3,410 327 out of 3,410 to receive 50 Shares 0.80% +700 2,370 237 out of 2,370 to receive 50 Shares 0.71% +800 1,765 183 out of 1,765 to receive 50 Shares 0.65% +900 3,854 411 out of 3,854 to receive 50 Shares 0.59% +1,000 6,394 701 out of 6,394 to receive 50 Shares 0.55% +1,500 4,303 525 out of 4,303 to receive 50 Shares 0.41% +2,000 3,327 438 out of 3,327 to receive 50 Shares 0.33% +2,500 2,527 352 out of 2,527 to receive 50 Shares 0.28% +3,000 2,395 350 out of 2,395 to receive 50 Shares 0.24% +3,500 1,832 279 out of 1,832 to receive 50 Shares 0.22% +4,000 1,780 281 out of 1,780 to receive 50 Shares 0.20% +4,500 1,450 236 out of 1,450 to receive 50 Shares 0.18% +5,000 3,436 575 out of 3,436 to receive 50 Shares 0.17% +6,000 2,496 438 out of 2,496 to receive 50 Shares 0.15% +7,000 3,053 558 out of 3,053 to receive 50 Shares 0.13% +8,000 1,672 316 out of 1,672 to receive 50 Shares 0.12% +9,000 1,424 278 out of 1,424 to receive 50 Shares 0.11% +10,000 8,958 1,797 out of 8,958 to receive 50 Shares 0.10% +20,000 6,846 1,648 out of 6,846 to receive 50 Shares 0.06% +30,000 4,268 1,143 out of 4,268 to receive 50 Shares 0.04% +40,000 7,179 2,068 out of 7,179 to receive 50 Shares 0.04% +Total 200,430 Total number of Pool A successful applicants: 20,995 + + +--- page 17 --- +– 17 – +NO. OF +H SHARES +APPLIED FOR +NO. OF VALID +APPLICATIONS BASIS OF ALLOCATION/BALLOT +APPROXIMATE +PERCENTAGE +ALLOTED OF +THE TOTAL NO. +OF H SHARES +APPLIED FOR +POOL B +50,000 7,560 4,443 out of 7,560 to receive 50 Shares 0.06% +60,000 2,376 1,583 out of 2,376 to receive 50 Shares 0.06% +70,000 2,373 1,759 out of 2,373 to receive 50 Shares 0.05% +80,000 1,249 1,015 out of 1,249 to receive 50 Shares 0.05% +90,000 725 639 out of 725 to receive 50 Shares 0.05% +100,000 2,713 50 Shares 0.05% +150,000 1,599 50 Shares plus 406 out of 1,599 to receive additional 50 Shares 0.04% +200,000 1,376 50 Shares plus 729 out of 1,376 to receive additional 50 Shares 0.04% +262,450 2,565 50 Shares plus 2,168 out of 2,565 to receive additional 50 +Shares +0.04% + +Total: 22,536 Total number of Pool B successful applicants: 17,692 +As of the date of this announcement, the relevant subscription monies previously deposited +in the designated nominee accounts have been remitted back to the accounts of all HKSCC +participants. Investors should contact their relevant brokers for any inquiries. +COMPLIANCE WITH LISTING RULES AND GUIDANCE +The Directors confirm that, except for the Listing Rules that have been waived and/ +or in respect of which consent has been obtained, the Company has complied with the +Listing Rules and guidance materials in relation to the placing, allotment and listing of the +Company’s H Shares. +The Directors confirm that, to the best of their knowledge, the consideration paid by +the placees or the public (as the case may be) directly or indirectly for each Offer Share +subscribed for or purchased by them was the same as the final Offer Price in addition to any +brokerage, AFRC transaction levy, SFC transaction levy and Stock Exchange trading fee +payable. +The Directors and the Overall Coordinators confirm that at least 50% of the total number of +the Offer Shares (excluding any Shares issued and/or to be issued pursuant to the exercise +of any offer Size Adjustment Option and/or Over-allotment Option) have been allocated to +and taken up by independent price setting investors in compliance with Rule 18C.08 of the +Listing Rules. + + +--- page 18 --- +– 18 – +The Directors further confirm that at least 20% of the issued share capital of the Company +will be held by sophisticated independent investors at the time of Listing in compliance with +Chapter 2.5 of the Guide for New Listing Applicants. +OTHERS/ADDITIONAL INFORMATION +Reallocation +As (i) the Hong Kong Public Offering is oversubscribed by more than 50 times and (ii) the +reallocation pursuant to Paragraph 4.2 of Practice Note 18 of the Listing Rules (as modified +by Rule 18C.09 of the Listing Rules) as described in the section headed “Structure of the +Global Offering — The Hong Kong Public Offering — Reallocation” of the Prospectus +is exercised, the clawback arrangement is triggered and Offer Shares were reallocated to +the Hong Kong Public Offering from the International Offering, so that the total number +of Offer Shares available under the Hong Kong Public Offering is 2,099,500 Offer Shares, +representing 20% of the Offer Shares initially available under the Global Offering. +Placing to connected clients with a prior consent under paragraph 1C(1) of the Placing +Guidelines +Under the International Offering, certain Offer Shares were placed to connected clients of +their connected distributors pursuant to the Placing Guidelines. Please refer to the section +headed “Allotment Results Details — International Offering — Allottees with Waivers/ +Consents Obtained” in this announcement for details. The Company has applied to the Stock +Exchange for, and the Stock Exchange has granted, a consent under paragraph 1C(1) of the +Placing Guidelines to permit the Company to allocate such Offer Shares in the International +Offering to the connected clients. The allocation of Offer Shares to such connected clients +is in compliance with all the conditions under the consent granted by the Stock Exchange. +Details of the placement to connected clients are set out below. + + +--- page 19 --- +– 19 – +No. +Connected +distributor Connected client +Relationship with +the connected +distributor +Whether the +connected +clients will hold +the beneficial +interests of the +Offer Shares on a +non-discretionary +basis or +discretionary +basis for +independent third +parties +Whether the +connected client +is a collective +investment +scheme which is +not authorised +by the SFC or is +expected to hold +the Offer Shares +on behalf of such +scheme +Number of +Offer Shares +allocated to +the connected +client +Approximate +percentage of +total number of + Offer Shares +(assuming +the Over- +allotment +Option is not +exercised) +Approximate +percentage of +total Shares +in issue +immediately +following the +completion of +Global Offering +(assuming the +Over-allotment +Option is not +exercised) +1. China International +Capital +Corporation +Hong Kong +Securities +Limited +(“CICCHKS”) +CICC FT +(in connection +with Hangzhou +Zheshi OTC +Swaps)1 +CICC FT is a +member of the +same group of +CICCHKS +Non-discretionary +basis +No 430,700 4.10% 0.39% +CICC FT (in +connection +with Aochuang +Hangzhou OTC +Swaps)2 +CICC FT is a +member of the +same group of +CICCHKS +Non-discretionary +basis +No 501,200 4.77% 0.45% +CICC FT (in +connection with +Tibet Longrising +OTC Swaps)3 +CICC FT is a +member of the +same group of +CICCHKS +Non-discretionary +basis +No 3,700 0.04% 0.0033% +CICC FT (in +connection with +Shanghai Tongyi +OTC Swaps)4 +CICC FT is a +member of the +same group of +CICCHKS +Non-discretionary +basis +No 400 0.0038% 0.0036% + +Sub Total 936,000 8.92% 0.85% + + +--- page 20 --- +– 20 – +No. +Connected +distributor Connected client +Relationship with +the connected +distributor +Whether the +connected +clients will hold +the beneficial +interests of the +Offer Shares on a +non-discretionary +basis or +discretionary +basis for +independent third +parties +Whether the +connected client +is a collective +investment +scheme which is +not authorised +by the SFC or is +expected to hold +the Offer Shares +on behalf of such +scheme +Number of +Offer Shares +allocated to +the connected +client +Approximate +percentage of +total number of + Offer Shares +(assuming +the Over- +allotment +Option is not +exercised) +Approximate +percentage of +total Shares +in issue +immediately +following the +completion of +Global Offering +(assuming the +Over-allotment +Option is not +exercised) +1. CITIC Securities +Brokerage (HK) +Limited (“CSB”) +China Asset +Management +(Hong Kong) +Limited +(“China AM”) +China AM is a +member of the +same group of +companies as +CSB +Discretionary basis No 1,600 0.02% 0.0014% +2. Orient Securities +(Hong Kong) +Limited +(“Orient”) +China Universal +Asset +Management +(Hong Kong) +Company +Limited (“China +UAM”) +China UAM is a +member of the +same group of +companies as +Orient +Discretionary basis No 7,700 0.07% 0.01% +3. Haitong +International +Securities +Company +Limited (“HTI”) +Fullgoal Asset +Management +(HK) Limited +(“Fullgoal +AMHK”) +Fullgoal AMHK is +a member of the +same group of +the companies +as HTI +Discretionary basis No 270,450 2.58% 0.24% +Fullgoal Fund +Management +Company +Limited +(“Fullgoal +Fund”) +Fullgoal Fund is a +member of the +same group of +the companies +as HTI +Discretionary basis No 115,100 1.10% 0.10% +Sub Total 394,850 3.76% 0.36% +Total 1,330,850 12.68% 1.20% + + +--- page 21 --- +– 21 – +Notes: +1. CICC Financial Trading Limited (“CICC FT”) is a wholly-owned subsidiary of China International +Capital Corporation Limited, of which its shares are listed on the Shanghai Stock Exchange (stock +code: 601995) and the Stock Exchange (stock code: 3908). CICC FT and China International +Capital Corporation Limited will enter into a series of cross border delta-one OTC swap transactions +(collectively, the “Hangzhou Zheshi OTC Swaps”) with each other and the ultimate clients (the “CICC +FT Ultimate Clients (Hangzhou Zheshi)”), pursuant to which CICC FT will hold the Offer Shares +on a non-discretionary basis to hedge the Hangzhou Zheshi OTC Swaps while the economic risks and +returns of the underlying Offer Shares are passed to the CICC FT Ultimate Clients (Hangzhou Zheshi), +subject to customary fees and commissions. The Hangzhou Zheshi OTC Swaps will be fully funded +by the CICC FT Ultimate Clients (Hangzhou Zheshi). During the terms of the Hangzhou Zheshi OTC +Swaps, all economic returns of the Offer Shares subscribed by CICC FT will be passed to the CICC +FT Ultimate Clients (Hangzhou Zheshi) and all economic loss shall be borne by the CICC FT Ultimate +Clients (Hangzhou Zheshi) through the Hangzhou Zheshi OTC Swaps, and CICC FT will not take part +in any economic return or bear any economic loss in relation to the Offer Shares. + The Hangzhou Zheshi OTC Swaps are linked to the Offer Shares and the CICC FT Ultimate Clients +(Hangzhou Zheshi) may request CICC FT to redeem it at their own discretions, upon which CICC FT +may dispose of the Offer Shares and settle the Hangzhou Zheshi OTC Swaps in cash in accordance +with the terms and conditions of the OTC Swaps. Despite that CICC FT will hold the legal title of the +Offer Shares by itself, it will not exercise the voting rights attaching to the relevant Offer Shares during +the terms of the Hangzhou Zheshi OTC Swaps according to its internal policy. The CICC FT Ultimate +Clients (Hangzhou Zheshi) for purpose of this placee subscription comprise ZheShi Quanying Private +Securities Investment Fund (ږ“( )Zheshi Quanying”) and ZheShi Puzhuo +No. 1 Private Securities Investment Fund (ږ“( )ZheShi Puzhuo”), +both of which are managed by Hangzhou Zheshi Private Fund Management Co., Ltd. (ͩӷ +ʮ̡) (“Hangzhou Zheshi”), in which Zhu Yin (ϡ), its legal representative, holds +30.5% equity interest. Save for Huang Lu (䔔ᚣ) (in respect of Zheshi Quanying) and Weng Jinjing +(ॽᡜዽ) (in respect of ZheShi Puzhuo), no investor holds 30% or more interest in either Zheshi +Quanying or ZheShi Puzhuo. To the best knowledge of Hangzhou Zheshi after due enquiry, each of +Zheshi Quanying, ZheShi Puzhuo, Hangzhou Zheshi and their respective ultimate beneficial owners is +an independent third party of the Group, CICC FT, CICCHKS and the companies which are members +of the same group of companies as each of the Underwriters. +2. CICC FT and China International Capital Corporation Limited will enter into a series of cross border +delta-one OTC swap transactions (collectively, the “Aochuang Hangzhou OTC Swaps”) with each +other and the ultimate client (the “CICC FT Ultimate Client (Aochuang Hangzhou)”), pursuant +to which CICC FT will hold the Offer Shares on a non-discretionary basis to hedge the Aochuang +Hangzhou OTC Swaps while the economic risks and returns of the underlying Offer Shares are passed +to the CICC FT Ultimate Client (Aochuang Hangzhou), subject to customary fees and commissions. +The Aochuang Hangzhou OTC Swaps will be fully funded by the CICC FT Ultimate Client (Aochuang +Hangzhou). During the terms of the Aochuang Hangzhou OTC Swaps, all economic returns of the +Offer Shares subscribed by CICC FT will be passed to the CICC FT Ultimate Client (Aochuang +Hangzhou) and all economic loss shall be borne by the CICC FT Ultimate Client (Aochuang +Hangzhou) through the Aochuang Hangzhou OTC Swaps, and CICC FT will not take part in any +economic return or bear any economic loss in relation to the Offer Shares. + + +--- page 22 --- +– 22 – + The Aochuang Hangzhou OTC Swaps are linked to the Offer Shares and the CICC FT Ultimate +Client (Aochuang Hangzhou) may request CICC FT to redeem it at their own discretions, upon which +CICC FT may dispose of the Offer Shares and settle the Aochuang Hangzhou OTC Swaps in cash in +accordance with the terms and conditions of the OTC Swaps. Despite that CICC FT will hold the legal +title of the Offer Shares by itself, it will not exercise the voting rights attaching to the relevant Offer +Shares during the terms of the Aochuang Hangzhou OTC Swaps according to its internal policy. The +CICC FT Ultimate Client (Aochuang Hangzhou) for purpose of this placee subscription comprises +Aochuang Jinchentaihe No. 1 Private Securities Investment Fund (इձ1ӷᗇՎҳ༟ਿ +ږ“( )Aochuang No.1”) which is managed by Aochuang (Hangzhou) Asset Management Co., Ltd. (ශ +௴(ψ)ʮ̡) (“Aochuang Hangzhou”). No investor holds 30% or more interest in +Aochuang No.1. Aochuang Hangzhou is wholly owned by Chen Lingxi (Ҏ). To the best knowledge +of Aochuang Hangzhou after due enquiry, each of Aochuang No.1, Aochuang Hangzhou and their +respective ultimate beneficial owners is an independent third party of the Group, CICC FT, CICCHKS +and the companies which are members of the same group of companies as each of the Underwriters. +3. CICC Financial Trading Limited (“CICC FT”) and China International Capital Corporation Limited +will enter into a series of cross border delta-one OTC swap transactions (collectively, the “Tibet +Longrising OTC Swaps”) with each other and the ultimate clients (the “CICC FT Ultimate Clients +(Tibet Longrising)”), pursuant to which CICC FT will hold the Offer Shares on a non-discretionary +basis to hedge the Tibet Longrising OTC Swaps while the economic risks and returns of the underlying +Offer Shares are passed to the CICC FT Ultimate Clients (Tibet Longrising), subject to customary fees +and commissions. The Tibet Longrising OTC Swaps will be fully funded by the CICC FT Ultimate +Clients (Tibet Longrising). During the terms of the Tibet Longrising OTC Swaps, all economic returns +of the Offer Shares subscribed by CICC FT will be passed to the CICC FT Ultimate Clients (Tibet +Longrising) and all economic loss shall be borne by the CICC FT Ultimate Clients (Tibet Longrising) +through the Tibet Longrising OTC Swaps, and CICC FT will not take part in any economic return or +bear any economic loss in relation to the Offer Shares. + The Tibet Longrising OTC Swaps are linked to the Offer Shares and the CICC FT Ultimate Clients +(Tibet Longrising) may request CICC FT to redeem it at their own discretions, upon which CICC FT +may dispose of the Offer Shares and settle the Tibet Longrising OTC Swaps in cash in accordance +with the terms and conditions of the OTC Swaps. Despite that CICC FT will hold the legal title of +the Offer Shares by itself, it will not exercise the voting rights attaching to the relevant Offer Shares +during the terms of the Tibet Longrising OTC Swaps according to its internal policy. The CICC FT +Ultimate Clients (Tibet Longrising) for purpose of this placee subscription comprise Longrising +Qiangshu Private Securities Investment Fund (ږ“( )Longrising +Qiangshu”), Longrising Qiangye Private Securities Investment Fund (๕ᆀ᳅੶ุӷᗇՎҳ༟ +ږ“( )Longrising Qiangye”), Longrising Qiangshi Private Securities Investment Fund (๕ᆀ᳅ +ږ“( )Longrising Qiangshi”), all of which are managed by Tibet Longrising +Asset Management Co., Ltd. (ʮ̡) (“Tibet Longrising”), in which Zeng +Xiaojie (ಀወᆎ), its legal representative, holds 61.75% equity interest. Save for (i) Zeng Xiaojie who +holds 30% or more interest in each of Longrising Qiangshu and Longrising Qiangshi, and (ii) Zeng +Xiaojie and Hu Caiyang (ජ), who each hold 30% or more interest in Longrising Qiangye, no +investor holds 30% or more interest in the above entities. To the best knowledge of Tibet Longrising +after due enquiry, each of Longrising Qiangshu, Longrising Qiangye, Longrising Qiangshi, Tibet +Longrising and their respective ultimate beneficial owners is an independent third party of the Group, +CICC FT, CICCHKS and the companies which are members of the same group of companies as each +of the Underwriters. + + +--- page 23 --- +– 23 – +4. CICC Financial Trading Limited (“CICC FT”) and China International Capital Corporation Limited +will enter into a series of cross border delta-one OTC swap transactions (collectively, the “Shanghai +Tongyi OTC Swaps”) with each other and the ultimate clients (the “CICC FT Ultimate Clients +(Shanghai Tongyi)”), pursuant to which CICC FT will hold the Offer Shares on a non-discretionary +basis to hedge the Shanghai Tongyi OTC Swaps while the economic risks and returns of the underlying +Offer Shares are passed to the CICC FT Ultimate Clients (Shanghai Tongyi), subject to customary fees +and commissions. The Shanghai Tongyi OTC Swaps will be fully funded by the CICC FT Ultimate +Clients (Shanghai Tongyi). During the terms of the Shanghai Tongyi OTC Swaps, all economic returns +of the Offer Shares subscribed by CICC FT will be passed to the CICC FT Ultimate Clients (Shanghai +Tongyi) and all economic loss shall be borne by the CICC FT Ultimate Clients (Shanghai Tongyi) +through the Shanghai Tongyi OTC Swaps, and CICC FT will not take part in any economic return or +bear any economic loss in relation to the Offer Shares. + The Shanghai Tongyi OTC Swaps are linked to the Offer Shares and the CICC FT Ultimate Clients +(Shanghai Tongyi) may request CICC FT to redeem it at their own discretions, upon which CICC FT +may dispose of the Offer Shares and settle the Shanghai Tongyi OTC Swaps in cash in accordance +with the terms and conditions of the OTC Swaps. Despite that CICC FT will hold the legal title of the +Offer Shares by itself, it will not exercise the voting rights attaching to the relevant Offer Shares during +the terms of the Shanghai Tongyi OTC Swaps according to its internal policy. The CICC FT Ultimate +Clients (Shanghai Tongyi) for purpose of this placee subscription comprise Tongyi Taoli No.10 +Private Securities Investment Fund (ҽ10ږ“( )Tongyi Taoli No.10”), +Tongyi Global Value No.5 Private Securities Investment Fund (࠽5 ӷᗇՎҳ༟ਿ +ږ“( )Tongyi Global Value No.5”) and Tongyi Active Equity Enhancement No.9 Private Securities +Investment Fund (ਿᄣ੶9ږ“( )Tongyi Active No.9”), all of which +are managed by Shanghai Tongyi Investment Management Co., Ltd. (ʮ +̡) (“Shanghai Tongyi”) in which Chu Yibo (تits legal representative, holds 40.48% equity +interest. No investor holds 30% or more interest in Tongyi Taoli No.10, Tongyi Global Value No.5 and +Tongyi Active No.9. To the best knowledge of Shanghai Tongyi after due enquiry, each of Tongyi Taoli +No.10, Tongyi Global Value No.5, Tongyi Active No.9, Shanghai Tongyi and their respective ultimate +beneficial owners is an independent third party of the Group, CICC FT, CICCHKS and the companies +which are members of the same group of companies as each of the Underwriters. +5. China AM is a member of the same group of companies as CSB. To the best of its knowledge after due +enquiry, each of its underlying clients and their respective ultimate beneficial owners is an independent +third party of China AM, CSB and their respective group companies. China AM will hold the Offer +Shares in its capacity as discretionary investment manager on behalf of such underlying clients, details +of which are set out below: +(i) CHINAAMC SELECT GREATER CHINA TECHNOLOGY FUND — Save for Futu Securities +International (Hong Kong) Limited-client account, no other ultimate beneficial owner holds +more than 30% of interest therein. Futu Securities International (Hong Kong) Limited is a +member of the underwriting syndicates, acts solely as a placing broker for its underlying +clients on a non-discretionary basis and does not take any proprietary position in respect such +subscription. +(ii) CHINAAMC FUND — CHINAAMC CHINA OPPORTUNITIES FUND — No investor holds +30% or more interest therein. +(iii) CHINAAMC CHINA FOCUS FUND — Save for Manulife (International) Limited, no other +ultimate beneficial owner holds more than 30% of interest therein. +(iv) CHINAAMC CHINA GROWTH FUND (SICA V) — Save for Yuanta Securities (HK) Company +LTD, no other ultimate beneficial owner holds more than 30% of interest therein. + + +--- page 24 --- +– 24 – +6. China UAM is a member of the same group of companies as Orient. To the best of its knowledge +after due enquiry, each of its underlying clients and their respective ultimate beneficial owners is an +independent third party of China UAM, Orient and their respective group companies. China UAM will +hold the Offer Shares in its capacity as discretionary investment manager on behalf of such underlying +clients, details of which are set out below: +(i) China Universal Special Situation Fund SPC — CUAM Flexible Strategy Fund SP — No +investor holds 30% or more interest therein. +(ii) China Universal Asset Management (Hong Kong) Company Limited — CLIENT’S A/C +BETTER SUPPLY CHAIN (HK) HOLDINGS CO., LIMITED — Save for Peng Zimei, no +other ultimate beneficial owner holds more than 30% of interest therein. +(iii) China Universal Asset Management (Hong Kong) Company Limited — CLIENT A/C +EXCELLENT TIDE SECURITIES LIMITED — EXCELLENT TIDE EURASIA OFC — +EXCELLENT TIDE EURASIA NO.1 FUND — Save for Hua Zhongjie and Zhang Ping, no +other ultimate beneficial owner holds more than 30% of interest therein. +(iv) CHINA UNIVERSAL ASSET MANAGEMENT (HONG KONG) COMPANY LIMITED +— CLIENT’S A/C LC LOGISTICS, INC — Save for Xu Xin and Li Yan, no other ultimate +beneficial owner holds more than 30% of interest therein. +(v) CUAM China-Hong Kong Strategy Fund is a SFC authorized fund (CE no.: AZW731) — No +investor holds 30% or more interest therein. + + +--- page 25 --- +– 25 – +7. Fullgoal AMHK is a member of the same group of companies as HTI. To the best of its knowledge +after due enquiry, each of its underlying clients and their respective ultimate beneficial owners is +an independent third party of Fullgoal AMHK, HTI and their respective group companies. Fullgoal +AMHK will hold the Offer Shares in its capacity as discretionary investment manager on behalf of +such underlying clients, details of which are set out below: +(i) Fullgoal Asset Management (HK) Limited SUB A/C HI-Aktien China 1-Sfonds — Save for +A European pension fund, no other ultimate beneficial owner holds more than 30% of interest +therein. +(ii) Fullgoal Hong Kong and China Equity Fund — Save for The University of Hong Kong, no other +ultimate beneficial owner holds more than 30% of interest therein. +(iii) Fullgoal China Growth Select Fund — Save for Zhao Xueming, no other ultimate beneficial +owner holds more than 30% of interest therein. +(iv) Fullgoal China Opportunities Fund — Save for China Everbright Fortune Investment Limited, +L Industries Limited and Orient Sun Rise Fund Series SPC-Orient Sun Rise Enhanced Balanced +Fund Segregated Portfolio, no other ultimate beneficial owner holds more than 30% of interest +therein. +(v) Fullgoal China Small-Mid Cap Growth Fund is a SFC authorized fund (CE no.: BNY686) — +No investor holds 30% or more interest therein. +(vi) BMO Greater China Fund — No investor holds 30% or more interest therein. +8. Fullgoal Fund is a member of the same group of companies as HTI. To the best of its knowledge after +due enquiry, save as the internal funds from Fullgoal Fund in China Merchants Bank-Fullgoal Hong +Kong Equity Select Hybrid Fund (QDII) (“Fullgoal HK Equity Select”), with the proprietary capital +contribution not exceeding 0.05% of the total fund size of Fullgoal HK Equity Select, each of the +other underlying clients and their respective ultimate beneficial owners is an independent third party of +Fullgoal Fund, HTI and their respective group companies. Fullgoal Fund will hold the Offer Shares in +its capacity as discretionary investment manager on behalf of the underlying clients includes Fullgoal +HK Equity Select, CMB-Fullgoal Blue Chip Selected Equity Fund (QDII) and ICBC Fullgoal Global +Technology & Internet Fund. To the best knowledge of Fullgoal Fund after due enquiry, no investor +holds 30% or more interest in any of such underlying clients. + + +--- page 26 --- +– 26 – +DISCLAIMERS +Hong Kong Exchanges and Clearing Limited, The Stock Exchange of Hong Kong Limited +(the “Stock Exchange”) and Hong Kong Securities Clearing Company Limited (“HKSCC”) +take no responsibility for the contents of this announcement, make no representation as to +its accuracy or completeness and expressly disclaim any liability whatsoever for any loss +howsoever arising from or in reliance upon the whole or any part of the contents of this +announcement. +This announcement is not for release, publication, distribution, directly or indirectly, in +or into the United States (including its territories and possessions, any state of the United +States and the District of Columbia). This announcement does not constitute or form a part +of any offer or solicitation to purchase or subscribe for securities in the United States. The +securities mentioned herein have not been, and will not be, registered under the United +States Securities Act of 1933, as amended (the “U.S. Securities Act”). The securities +may not be offered or sold in the United States except pursuant to an exemption from the +registration requirements of the U.S. Securities Act and in compliance with any applicable +state securities laws, or outside the United States unless in compliance with Regulation S +under the U.S. Securities Act. There will be no public offer of securities in the United States. +This announcement is for information purposes only and does not constitute an invitation +or offer to acquire, purchase or subscribe for securities. This announcement is not a +prospectus. Potential investors should read the Prospectus dated 15 June 2026 issued by +Shanghai Seer Intelligent Technology Co., Ltd. for detailed information about the Global +Offering described below before deciding whether or not to invest in the Shares thereby +being offered. +* Potential investors of the Offer Shares should note that the Overall Coordinators (for themselves and +on behalf of the Hong Kong Underwriters and Overall Coordinators) shall be entitled to terminate +their obligations under the Hong Kong Underwriting Agreement with immediate effect upon the +occurrence of any of the events set out in the paragraph headed “Underwriting — Underwriting +Arrangements and Expenses — Hong Kong Public Offering — Hong Kong Underwriting Agreement +— Grounds for Termination” in the Prospectus at any time prior to 8:00 a.m. (Hong Kong time) on the +Listing Date. + + +--- page 27 --- +– 27 – +PUBLIC FLOAT +Pursuant to Rule 19A.13A(1) of the Listing Rules, assuming that the Over-allotment Option +are not exercised, based on the Offer Price of HK$101.60 per Offer Share, our expected +market capitalization upon the Listing is HK$11.23 billion, and the minimum prescribed +public float percentage applicable to our Shares is 15.0%. +Immediately following the completion of the Global Offering (before any exercise of the +Over-allotment Option) an aggregate of 43,362,170 H Shares, representing approximately +39.24% of the issued share capital of our Company will count towards the public float. +Therefore, the number of H Shares held in public hands is higher than the prescribed +percentage of H Shares required to be held in public hands of 15% under Rule 19A.13A(1) +of the Listing Rules. +Based on the final Offer Price of HK$101.60 per H Share, the Company satisfies the free +float requirement under Rule 19A.13C of the Listing Rules. +The Directors confirm that, immediately following the completion of the Global Offering: +(i) no placee will, individually, be placed more than 10% of the enlarged issued share capital +of our Company; (ii) there will not be any new substantial Shareholder (as defined in the +Listing Rules) of our Company; (iii) the three largest public shareholders of the Company +do not hold more than 50% of the H Shares in public hands at the time of the Listing in +compliance with Rules 8.08(3) and 8.24 of the Listing Rules; and (iv) there will be at least +300 Shareholders at the time of the Listing in compliance with Rule 8.08(2) of the Listing +Rules. +COMMENCEMENT OF DEALINGS +The H Share certificates will only become valid evidence of title at 8:00 a.m. on Wednesday, +June 24, 2026 (Hong Kong time), provided that the Global Offering has become +unconditional and the right of termination described in the section headed “Underwriting +— Underwriting Arrangements and Expenses — Hong Kong Public Offering — Hong +Kong Underwriting Agreement — Grounds for Termination” in the Prospectus has not been +exercised. Investors who trade the H Shares on the basis of publicly available allocation +details prior to the receipt of H Share certificates or prior to the H Share certificates +becoming valid evidence of title do so entirely at their own risk. + + +--- page 28 --- +– 28 – +Assuming that the Global Offering becomes unconditional at or before 8:00 a.m. on +Wednesday, June 24, 2026 (Hong Kong time), it is expected that dealings in the H Shares on +the Stock Exchange will commence at 9:00 a.m. on Wednesday, June 24, 2026 (Hong Kong +time). The H Shares will be traded in board lots of 50 H Shares each, and the stock code of +the H Shares will be 06106. +By order of the Board +Shanghai Seer Intelligent Technology Co., Ltd. +Mr. Zhao Yue +Executive Director and Chairman of the Board +Hong Kong, June 23, 2026 +Directors of the Company named in the application to which this announcement relates are: (i) Mr. Zhao Yue, +Ms. Ding Xia, Mr. Ye Yangsheng and Mr. Wang Qun as executive directors, (ii) Dr. Cheng Lin, Dr. Liu Yong +and Mr. Chen Fei as independent non-executive directors. diff --git a/data/hk_ipo.sqlite b/data/hk_ipo.sqlite index 5ea125b..a1df5d0 100644 Binary files a/data/hk_ipo.sqlite and b/data/hk_ipo.sqlite differ diff --git a/data/raw/02335/allotment_results_2026-06-23_2026062301227.pdf b/data/raw/02335/allotment_results_2026-06-23_2026062301227.pdf new file mode 100644 index 0000000..2008645 Binary files /dev/null and b/data/raw/02335/allotment_results_2026-06-23_2026062301227.pdf differ diff --git a/data/raw/06106/allotment_results_2026-06-23_2026062302143.pdf b/data/raw/06106/allotment_results_2026-06-23_2026062302143.pdf new file mode 100644 index 0000000..b598c9d Binary files /dev/null and b/data/raw/06106/allotment_results_2026-06-23_2026062302143.pdf differ diff --git a/data/raw/a_share_quotes/002600_sz_yahoo_chart_20260623T150019Z.json b/data/raw/a_share_quotes/002600_sz_yahoo_chart_20260623T150019Z.json new file mode 100644 index 0000000..99f27bd --- /dev/null +++ b/data/raw/a_share_quotes/002600_sz_yahoo_chart_20260623T150019Z.json @@ -0,0 +1 @@ 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