diff --git a/data/extracted_text/06067/allotment_results_2026-06-22_2026062202141.txt b/data/extracted_text/06067/allotment_results_2026-06-22_2026062202141.txt new file mode 100644 index 0000000..2768eb1 --- /dev/null +++ b/data/extracted_text/06067/allotment_results_2026-06-22_2026062202141.txt @@ -0,0 +1,1241 @@ +--- page 1 --- +Hong Kong Exchanges and Clearing Limite d, 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 complet eness 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 herein, capitaliz ed terms used in this announcement shall have the +same meanings as those defined in the prospectus dated 12 June 2026 (the “ Prospectus ”) +issued by Shenzhen Senior Technology Material Co., Ltd. ( 深圳市星源材質科技股份有限 +公司)( t h e“ Company ”). +This announcement is for information purposes only and does not constitute an offer or an +invitation to induce an offer by any person t o acquire, purchase or subscribe for any +securities of the Company. This announcement i s not a prospectus. Potential investors +should read the Prospectus for detailed i nformation about the Company and the Global +Offering described below before deciding whether or not to invest in the Offer Shares. Any +investment decision in relation to the Offer S hares should be taken solely in reliance on the +information provided in the Prospectus. +This announcement is not for relea se, publication, distribution, directly or indirectly, in or +into the United States (including its territo ries and possessions, any state of the United +States and the District of Columbia). This announcement does not, and is not intended to, +constitute or form a part of any offer to sell o r solicitation to purchase or subscribe for any +securities in the United States or in any other j urisdiction. The Offer Shares have not been, +and will not be, registered under the United S tates 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, so ld, pledged or otherwise transferred within +the United States, except pursuant to an avail able exemption from, or in a transaction not +subject to, the registration requirements of t he U.S. Securities Act and in compliance with +any applicable state securities laws. The O ffer Shares are being offered and sold solely +outside the United States in offshore transac tions in reliance on Regulation S under the U.S. +Securities Act. There will be no public offer o f the Offer Shares in the United States. +Potential investors of the Offer Shares should note that the Sole Sponsor and the +Sponsor-OC (for itself and on behalf of the other Hong Kong Underwriters) shall be +entitled to terminate their obligations under t he Hong Kong Underwriting Agreement with +immediate effect upon the occurrence of any of the events set out in the paragraph headed +“Underwriting — Underwriting Arrangeme nts 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 (which is currently +expected to be on Tue sday, 23 June 2026). +–1– + + +--- page 2 --- +Shenzhen Senior Technology Material Co., Ltd. +深 圳 市 星 源 材 質 科 技 股 份 有 限 公 司 +(A joint stock company incorporated in the Peopl e’s Republic of China with limited liability) +GLOBAL OFFERING +Number of Offer Shares under the +Global Offering +: 149,523,500 H Shares +Number of Hong Kong Offer Shares : 14,952,500 H Shares +Number of International Offer Shares : 134,571,000 H Shares +Final Offer Price : HK$8.98 per Offer Share, plus brokerage +of 1.0%, SFC transaction levy of +0.0027%, Stock Exchange trading fee of +0.00565%, and AFRC transaction levy of +0.00015% +Nominal Value : RMB1.00 per Share +Stock Code : 6067 +Sole Sponsor, Sponsor-Overall Coordi nator, Joint Global Coordinator, +Joint Bookrunner and Joint Lead Manager +Overall Coordinators, Joint Global Coordinators, +Joint Bookrunners and Joint Lead Managers +Joint Global Coordinators, Join t Bookrunners and Joint Lead Managers +Joint Bookrunners and Joint Lead Managers +–2– + + +--- page 3 --- +SHENZHEN SENIOR TECHNOLOGY MATERIAL CO., LTD. +深圳市星源材質科技股份有限公司 +ANNOUNCEMENT OF ALLOTMENT RESULTS +Unless otherwise defined herein, capitalise d terms used in this announcement shall have the +same meanings as those defined in the Prospectus issued by the Company. +SUMMARY +Company information +Stock code 6067 +Stock short name SENIOR MATERIAL +Dealings commencement date 23 June 2026* +* see note at the end of the announcement +Price Information +Final Offer Price HK$8.98 +Maximum Offer Price HK$8.98 +Offer Shares and Share Capital +Number of Offer Shares 149,523,500 H Shares +Final Number of Offer Shares in Hong Kong Public +Offering +14,952,500 H Shares +Final Number of Offer Shares in International +Offering +134,571,000 H Shares +Number of issued shares upon Listing 1,495,234,139 +Proceeds +Gross proceeds (Note) HK$1,342.7 million +Less: Estimated listing expenses payable based on +Final Offer Price +HK$61.7 million +Net proceeds HK$1,281.0 million +Note: Gross proceeds refers to the amount to which the issuer is entitled receive. For details of the use of +proceeds, please refer to the section headed “Future Plans and Use of Proceeds” in the Prospectus. +–3– + + +--- page 4 --- +ALLOTMENT RESULTS DETAILS +HONG KONG PUBLIC OFFERING +No. of valid applications 209,580 +No. of successful applications 22,263 +Subscription level 1,563.16 times +Claw-back triggered N/A +No. of Offer Shares initially available under the Hong Kong +Public Offering +14,952,500 +No. of Offer Shares reallocated f rom the International Offering 0 +Final no. of Offer Shares under t he Hong Kong Public Offering 14,952,500 +% of Offer Shares under the Hong Kong Public Offering to the +Global Offering +10% +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 perfo r mas e a r c hb yi d e n t i f i c a t i o nn u m b e ro r +www.eipo.com.hk/eIPOAllotment for the full list of allottees. +INTERNATIONAL OFFERING +No. of placees 104 +Subscription Level 14.34 times +No. of Offer Shares initially a vailable under the International +Offering +134,571,000 +No. of Offer Shares reallocated to the Hong Kong Public Offering 0 +Final no. of Offer Shares under the International Offering 134,571,000 +% of Offer Shares under the Inter national Offering to the Global +Offering +90% +The Directors confirm that, to the best of thei r knowledge, information and belief, save for +(a) a waiver from strict compliance with Rul e 10.04 of the Listing Rules and a consent +under paragraph 1C(2) of Appendix F1 to the Listing Rules (the “ Placing Guidelines ”) +granted by the Stock Exchange to permit H Shares in the International Offering to be +placed to certain Permitted Existing Share holders, (b) a consent under paragraph 18 of +Chapter 4.15 of the Guide for New Listing Ap plicants to permit the Company to, among +other things, allocate further H Shares in the International Offering to certain minority +existing shareholders and/or their close associates and cert ain Cornerstone Investors and +their close associates as disclosed in this announcement, and (c) a consent under paragraph +1C(1) of the Placing Guidelines and Chapter 4.15 of the Guide to New Listing Applicants +(the “ Guide ”) granted by the Stock Exchange to pe rmit H Shares in the International +Offering to be placed to certain connected cl ients as disclosed in this announcement, (i) +none of the Offer Shares subscribed by the p lacees and the public have been financed +directly or indirectly by the Company, any of th e Directors, chief executive of the Company, +substantial shareholde rs, existing shareholders of the Com pany or any of its subsidiaries or +–4– + + +--- page 5 --- +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 Comp any, substantial shareholders, existing +shareholders of the Company or any of its subsidia ries or their respective close associates +in relation to the acquisition, disposal, votin g or other disposition of H Shares registered in +his/her/its name or otherwise held by him/her/it. +The placees in the Internationa l Offer include the following: +Cornerstone Investors (Note 1) +Name +No. of Offer +Shares +allocated +%o fO f f e r +Shares +%o ft o t a l +issued H +Shares after +the Global +Offering +% of total +issued Shares +after the +Global +Offering +(Note 3) +Existing +shareholders +or their close +associates +Fullgoal Fund +Management Co., Ltd. +(“Fullgoal ”) +6,720,500 4.49% 4.49% 0.45% Yes +GF Fund Management +Co., Ltd. and GF +International Investment +Management Limited +(together, “ GF Fund ”) +(Note 2) +5,673,000 3.79% 3.79% 0.38% Yes +TAIKANG LIFE +INSURANCE CO., LTD +(“Taikang Life ”) +(Note 2) +5,673,000 3.79% 3.79% 0.38% Yes +HARVEST +INTERNATIONAL +PREMIUM VALUE +(SECONDARY +MARKET) FUND SPC +acting on behalf of and +for HARVEST +SYNERGY SP (“ Harvest +Synergy ”) (Note 2) +4,922,500 3.29% 3.29% 0.33% No +SPRINGS CAPITAL +(HONG KONG) +LIMITED (“ Springs +Capital ”) +5,567,500 3.72% 3.72% 0.37% No +–5– + + +--- page 6 --- +Name +No. of Offer +Shares +allocated +%o fO f f e r +Shares +%o ft o t a l +issued H +Shares after +the Global +Offering +% of total +issued Shares +after the +Global +Offering +(Note 3) +Existing +shareholders +or their close +associates +Gaoteng Enterprise +Management Co., Ltd. +(“Gaoteng Enterprise +Management ”) and +CICC FINANCIAL +TRADING LIMITED +(“CICC FT ”) (in +connection with OTC +Swaps) (Notes 2 and 4) +2,618,000 1.75% 1.75% 0.18% No +Sunwoda Treasury +(Hong Kong) Limited +(“Sunwoda Treasury ”) +2,560,000 1.71% 1.71% 0.17% No +JINKOSOLAR +INVESTMENT +LIMITED (“ Jinkosolar ”) +4,454,000 2.98% 2.98% 0.30% No +Mondeomax Limited +(“Mondeomax ”) +11,024,500 7.37% 7.37% 0.74% No +Bona Star Consultant +Limited (“ Bona Star ”) +(Note 2) +8,351,500 5.59% 5.59% 0.56% No +SINSANWA +HOLDINGS (H.K.) +CO., LIMITED +(“Sinsanwa ”) +5,567,500 3.72% 3.72% 0.37% No +SHEEN NATION +HOLDINGS LIMITED +(“Sheen Nation ”) +2,618,000 1.75% 1.75% 0.18% No +Chen Feng 1,745,500 1.17% 1.17% 0.12% No +Total 67,495,500 45.14% 45.14% 4.51% +Notes: +1. For further details of the Cornerstone Investors, please refer to the section headed “Cornerstone +Investors” in the Prospectus. +–6– + + +--- page 7 --- +2. In addition to the Offer Shares subscribed for as Cornerstone Investors, GF Fund, Taikang Life, +Harvest Synergy, Bona Star, Gaoteng Enterpr ise Management, Fullgoal, Chen Feng and Sheen +Nation and/or their respective close associates, whe re applicable, were allocated further Offer Shares +as placees in the International Offering. Please ref er to the section headed “Allotment Results Details +— International Offering — Allotees with waivers/consents obtained” in this announcement for +details. Only the Offer Shares subscribed for as Cornerstone Investors are subject to lock-up as +indicated below. For details, please refer to the section headed “Lock-up Undertakings — +Cornerstone Investors” in this announcement. +3. Not taking into account any A Shares held by the re levant investors and including the 19,855,640 A +Shares being held as treasury shares as at the date of this announcement. +4. CICC FT will hold the Offer Shares on a non-discre tionary basis to hedge the OTC Swaps (as defined +in the Prospectus), while the economic risks and re turns of the underlying Offer Shares are passed to +the CICC FT Ultimate Client, i.e. Gaoteng Enterp rise Management. Gortune Investment Co., Ltd. +(廣東民營投資股份有限公司)( “ Gortune Investment ”) is the controlling shareholder of Gaoteng +Enterprise Management, holding 99.94% of its i ssued shares. To the best of CICC FT’s knowledge +having made all reasonable inquiries, the CICC FT Ultimate Client is an independent third party of +CICC FT, CICCHKS and the companies which are members of the same group of CICCHKS, and +there is no single shareholder who holds more 30% or more interests in Gortune Investment. For +details, please refer to the section headed “ Cornerstone Investors” of the Prospectus. +Allotees with waivers/consents obtained +Name +No. of Offer +Shares allocated +% of Offer +Shares +% of total +issued H Shares +after the Global +Offering +% of total +issued Shares +after the Global +Offering (Note +4) Relationship +Allotees with waiver from strict compliance with Rule 10.04 of the Listing Rules and consent under paragraph 1C(2) of the +Placing Guidelines in relation to subscription for H Shares by Permitted Existing Shareholders holding more than 1% of the +issued share capital of the Company immediately prior to the c ompletion of the Global Offering and/or their close associates +(Note 1) +Fullgoal 7,349,000 4.91% 4.91% 0.49% Fullgoal also manages +other fund products, +each holding less than +1% of the issued share +capital but in aggregate +holding more than 1% +of the issued share +capital of the Company +Fullgoal Asset +Management (HK) +Limited +206,500 0.14% 0.14% 0.01% Fullgoal Asset +Management (HK) +Limited is +wholly-owned by +Fullgoal +–7– + + +--- page 8 --- +Name +No. of Offer +Shares allocated +% of Offer +Shares +% of total +issued H Shares +after the Global +Offering +% of total +issued Shares +after the Global +Offering (Note +4) Relationship +Allotees with consent under paragraph 18 of Chapter 4.15 of the G uide for New Listing Applicants i n relation to allocations of +further H Shares to existing shareholders and Corn erstone Investors and/or their close associates (Note 2) +GF Fund 1,112,000 0.74% 0.74% 0.07% Cornerstone Investor +Taikang Life 724,000 0.48% 0.48% 0.05% Cornerstone Investor +Harvest Global +Capital Investments +Limited +1,782,000 1.19% 1.19% 0.12% The fund manager of a +Cornerstone Investor, +namely Harvest Synergy +SP +Bona Star 4,409,000 2.95% 2.95% 0.29% Cornerstone Investor +SEA2SEA +International Pte Ltd +3,087,000 2.06% 2.06% 0.21% Wholly-owned by the +spouse of the sole +shareholder of, and +thus a close associate +of, a Cornerstone +Investor, namely Bona +Star +Yuemintou New +Opportunity No. 1 +Private Securities +Investment Fund and +SHENWAN +HONGYUAN +(INTERNATIONAL) +HOLDINGS +LIMITED (in +connection with OTC +Swaps) +110,000 0.07% 0.07% 0.01% A fund managed by +Yuemin Investment +Private Securities Fund +Management +(Shenzhen) Company +Limited (“ Yuemin +Investment ”). Yuemin +Investment is the GP +Of Yuemintou Private +Securities Management +Co., Ltd, which shares +the same controlling +shareholder as a +Cornerstone Investor, +namely Gaoteng +Enterprise Management +Fullgoal 628,500 0.42% 0.42% 0.04% Cornerstone Investor +Fullgoal Asset +Management (HK) +Limited +206,500 0.14% 0.14% 0.01% Wholly-owned by a +Cornerstone Investor, +namely Fullgoal +Chen Feng 20,000 0.01% 0.01% 0.00% Cornerstone Investor +ICBCUBSI 2,000 0.00% 0.00% 0.00% ICBCUBSI shares the +same ultimate beneficial +owner as a cornerstone +investor, namely Sheen +Nation +–8– + + +--- page 9 --- +Name +No. of Offer +Shares allocated +% of Offer +Shares +% of total +issued H Shares +after the Global +Offering +% of total +issued Shares +after the Global +Offering (Note +4) Relationship +Allotees with consent under paragraph 1C(1) of the Placing Guidelines and Chapter 4.15 of the Guide in relation to +allocations to connected clients (Note 3) +CICC FT +(in connection with +the OTC Swaps) +(Note 5) +25,500 0.02% 0.02% 0.00% CICC FT is a member +of the same group as +China International +Capital Corporation +Hong Kong Securities +Limited (“ CICCHKS ”) +CICC FT (in +connection the OTC +swaps) (Note 12) +2,618,000 1.75% 1.75% 0.18% CICC FT is a member +of the same group as +China International +Capital Corporation +Hong Kong Securities +Limited +Huatai Capital +Investment Limited +(“HTCI”) (Note 6) +11,024,000 7.37% 7.37% 0.74% Huatai Capital +Investment Limited is a +member of the same +group as Huatai +Financial Holdings +(Hong Kong) Limited +(“HTFH ”) +China Asset +Management (Hong +Kong) Limited +(“China AMC HK ”) +(Note 7) +25,500 0.02% 0.02% 0.00% China Asset +Management (Hong +Kong) Limited is a +member of the same +group as CITIC +Securities Brokerage +(HK) Limited (a +distributor of the +Global Offering) +(“CSB ”) +ICBC UBS Asset +Management Co., +(International) Ltd. +(“ICBCUBSI ”) +(Note 8) +2,000 0.00% 0.00% 0.00% ICBC UBS Asset +Management Co., +(International) Ltd. is a +member of the same +group as ICBC +International Securities +Limited (“ ICBCI ”) +–9– + + +--- page 10 --- +Name +No. of Offer +Shares allocated +% of Offer +Shares +% of total +issued H Shares +after the Global +Offering +% of total +issued Shares +after the Global +Offering (Note +4) Relationship +ICBC International +Fund Management +Limited (“ ICBC +International ”) +(Note 9) +2,000 0.00% 0.00% 0.00% ICBC International +Fund Management is a +member of the same +group as ICBC +International Securities +Limited +AEGON-Industrial +Fund Management +Co., Ltd. +(“AEGON ”) +(Note 10) +9,000 0.01% 0.01% 0.00% China Industrial +Securities International +Capital Limited +(“CISI ”) (a distributor +of the Global Offering) +is the controlling +shareholder of +AEGON-Industrial +Fund Management Co., +Ltd. +Red South OFC-Red +South Mining +Technology Fund +(“Red South ”) +(Note 11) +4,652,000 3.11% 3.11% 0.31% VHS is wholly-owned +by Vast Harbour +Financial International +Holding Limited, which +holds 25% interest in +Red South +Notes: +1. Among the Cornerstone Investors, GF Fund, GF International, Fullgoal and Taikang Life are +Permitted Existing Shareholder s. The Stock Exchange has granted a waiver from strict compliance +with the requirements under Rule 10.04 of the Listing Rules and consent under Paragraph 1C(2) of +the Placing Guidelines to permit H Shares in the International Offering to be placed to certain +Permitted Existing Shareholders. Please refer t o the section headed “Waivers — Allocation of H +Shares to Existing Minority Shareholders and Their Close Associates” of the Prospectus for details. +The Stock Exchange granted the waiver and consent on the condition that, among others, details of +the allocation to the Permitted Existing Shareho lders holding more than 1% of the issued share +capital of the Company and/or their close associ ates immediately prior to the completion of the +Global Offering will be disclosed in the Prospectus and/or allotment results announcement. +2. The number of Offer Shares allocated to the relevant in vestors listed in this subsection only represents +the number of Offer Shares allocated to the investo rs as placees in the International Offering. For +allocations of Offer Shares to the relevant invest ors as Cornerstone Investors, please refer to the +section headed “Allotment Results Details — International Offering — Cornerstone Investors” in this +announcement. For details of the consent under paragraph 18 of Chapter 4.15 of the Guide for New +Listing Applicants in relation to allocations of f urther H Shares to the existing Shareholders and +cornerstone investors and/or their close a ssociates, please refer to the section headed +“Others/Additional Information — Allocation of Offer Shares to existing Shareholders and +cornerstone investors and/or th eir close associates with a consent under paragraph 18 of Chapter +4.15 of the Guide for New Listing Applicants” in this announcement. +–1 0– + + +--- page 11 --- +3. For details of the consent under paragraphs 1C(1) of the Placing Guidelines in relation to allocations +to connected clients, please refer to the section hea ded “Others/Additional Information — Placing to +connected clients with prior consent under paragraph 1C(1) of the Placing Guidelines” in this +announcement. +4. Not taking into account any A Shares held by the relevant investors. +5. CICC FT will hold the Offer Shares on a non-discretionary basis for and on behalf the ultimate +clients (the “ CICC FT Ultimate Clients ”). CICC FT and CICCL will enter into a series of cross border +delta-one OTC swap transactions (collectively, the “ OTC Swaps ”) with each other and the CICC FT +Ultimate Clients, pursuant to which CICC FT will ho ld the Offer Shares on a non-discretionary basis +to hedge the OTC Swaps while the economic risks and returns of the underlying Offer Shares are +passed to the CICC FT Ultimate Clients, subject to c ustomary fees and commissions. The OTC Swaps +will be fully funded by the CICC FT Ultimate Clie nts. During the terms of the OTC Swaps, all +economic returns of the Offer Shares subscribe d by CICC FT will be passed to the CICC FT Ultimate +Clients and all economic loss shall be borne by the CICC FT Ultimate Clients through the OTC +Swaps, and CICC FT and CICCL will not take part in any economic return or bear any economic loss +in relation to the Offer Shares. The OTC Swaps a re linked to the Offer Shares and the CICC FT +Ultimate Clients may request to early terminate the OTC Swaps at their own discretions, upon which +CICC FT may dispose of the Offer Shares and settle the OTC Swaps in cash in accordance with the +terms and conditions of the OTC Swaps. Despite t hat CICC FT will hold the legal title of the Offer +Shares by itself, it will not exercise the voting righ ts attaching to the relevant Offer Shares during the +terms of the OTC Swaps according to its internal policy. +The CICC FT Ultimate Clients for purpose of this placee subscription include (i) Yuanlesheng +Qiangye Private Securities Investment Fund ( 源樂晟強業私募證券投資基金), whose fund manager is +Tibet Yuanlesheng Asset Management Company Ltd. (“ Tibet Longrising ”, 西藏源樂晟資產管理有限 +公司) and ultimate beneficial owners holding 30% or more interest are Zeng Xiaojie and Hu Caiyang, +(ii) Yuanlesheng Qiangshu Privat e Securities Investment Fund ( 源樂晟強樹私募證券投資基金), whose +fund manager is Tibet Longrising and ultimate beneficial owner holding 30% or more interest is Zeng +Xiaojie, (iii) Yuanlesheng Qiangshi Pri vate Securities Investment Fund ( 源樂晟強勢私募證券投資基 +金), whose fund manager is Tibet Longrising and ultimate beneficial owner holding 30% or more +interest is Zeng Xiaojie. +To the best knowledge of CICC FT after due enquir y, each of the CICC FT Ultimate Clients and their +ultimate beneficial owners are independent third parties of the Company, its subsidiaries, CICC FT, +CICCHKS and the companies which are members of the same group as CICC FT and CICCHKS. +6. PRC investors are currently not permitted under app licable PRC laws to participate directly in initial +public offerings (“ IPOs ”) in Hong Kong. However, PRC investors are permitted to invest in products +issued by appropriate domestic securities firms licen sed to undertake cross-bo rder derivatives trading +a c t i v i t i e s .I nc o n n e c t i o nw i t hs u c hp r o d u c t s ,t h elicensed domestic securities firms, through their +Hong Kong affiliates, may partici pate in Hong Kong IPOs either as pl acees or corners tone investors +(the “ Cross-border Derivatives Trading Regime ”). +Huatai Securities Co., Ltd. (“ Huatai Securities ”), the shares of which are listed on both the Shanghai +Stock Exchange (stock code: 601688) and the Stock Exchange (stock code: 6886), is licensed to +undertake cross-border derivatives trading activ ities. Huatai Securities has entered into an ISDA +agreement (the “ ISDA Agreement ”) with its indirectly wholly-owned subsidiary, HTCI, to set out the +principal terms of any future total return swap between Huatai Securities and HTCI. +–1 1– + + +--- page 12 --- +Pursuant to the ISDA Agreement, HTCI, which intends to participate as a placee to subscribe for the +Offer Shares under the International Offering (the “ Proposed Subscription ”), will hold the beneficial +interest of the Offer Shares on a non-discretionary basis as the single underlying holder under a +back-to-back total return swap (the “ Back-to-back TRS ” )t ob ee n t e r e db yH T C Ii nc o n n e c t i o nw i t ha +total return swap order (the “ Client TRS ”) placed by and fully funded (i.e. with no financing provided +by HTCI) by an onshore investor (the “ Huatai Ultimate Client ”), by which HTCI will, subject to +customary fees and commissions, pass the full economic exposure of the Offer Shares ultimately to the +Huatai Ultimate Client. In effect, HTCI will hold the b eneficial interest of the Offer Shares on behalf +of the Huatai Ultimate Client. HTFH and HTCI are i ndirectly wholly-owned subsidiaries of Huatai +Securities. +Pursuant to the Cross-border Derivatives Trading Regime, the Huatai Ultimate Client cannot directly +subscribe for the Offer Shares but may invest in derivative products issued by domestic securities +firms licenced to undertake cross-border derivatives trading activities, such as Huatai Securities, with +the Offer Shares as the underlying assets. Instead of directly subscribing for the Offer Shares, the +Huatai Ultimate Client, through its investment m anager, will place the Client TRS with Huatai +Securities in connection with the Company’s IPO and Huatai Securities w ill place a Back-to-back +TRS order to HTCI on the terms of the ISDA Agreem ent. In order to hedge its exposure under the +Back-to-back TRS, HTCI intends to participate i n the Company’s IPO and subscribe to the Offer +Shares through placing an order with HTFH during the International Offering. +The Huatai Ultimate Client for purpose of the Propo sed Subscription is Wanli No. 3 Private Equity +Investment Fund ( 萬利3號私募證券投資基金). To the best of HTCI’s knowledge having made all +reasonable inquiries, the Huatai Ultimate Clie nt is an independent third party of HTCI, HTFH and +the companies which are members of the same group of HTFH. +The purpose of HTCI to subscribe for the Offer Shares is for hedging the Back-to-back TRS in +connection with the Client TRS order placed by the H uatai Ultimate Client. Pursuant to the terms of +the contracts of the Back-to-back TRS and the Clie nt TRS, during the tenor of the Back-to-back TRS +and the Client TRS, subject to customary fees an d commissions, all economic returns of the Offer +Shares will be ultimately passed to the Huatai Ult imate Client through the Back-to-back TRS and the +Client TRS and all economic loss shall be ultimately borne by the Huatai Ultimate Client. HTCI will +not take any economic return or bear any eco nomic loss in relation to the Offer Shares. +Investment in the Back-to-back TRS and the Clie nt TRS is similar to the investment in a qualified +domestic institutional investor fund (“ QDII ”) in the way that the Huatai Ultimate Client would reap +all the economic benefits of the underlying Offer Shares, except that a QDII fund would pass through +the exchange rate exposure on both the notional value of the investment and the profit and loss of the +investment. In contrast, the profit and loss of th e Back-to-back TRS and the Client TRS factor into +account the fluctuation in RMB exchange rate upon termination of the Client TRS by converting the +profit and loss using the current exchange rate at the time of termination. As such, the Huatai +Ultimate Client would bear the exchange rate expo sure of the profit and loss on settlement date. +The Huatai Ultimate Client may, ending on the date which is six months from the Listing Date, +exercise an early termination right to terminate t he Client TRS at any time from the issue date of the +Client TRS which should be on or after the date on which the Offer Shares are listed on the Stock +Exchange at its own discretion. Upon the termin ation upon maturity or early termination of the +Client TRS by the Huatai Ultimate Client, HTCI will dispose the Offer Shares on the secondary +market and the Huatai Ultimate Client will receive a final settlement amount in cash in accordance +with the terms and conditions of the Back-to-back TRS and the Client TRS which should have taken +into account all the economic returns or economic loss in relation to the Offer Shares. If upon the +maturity of the Client TRS, the Huatai Ultimate C lient intend to extend the investment period, +subject to further agreement between Huatai Secu rities and the Huatai Ultimate Client, the term of +the Client TRS could be extended by way of a new issu ance or a tenor extension. Accordingly, Huatai +Securities will extend the term of the Back-to-back TRS by way of a new issuance or a tenor extension +–1 2– + + +--- page 13 --- +It is proposed that HTCI will hold the legal title and the voting right of the Offer Shares by itself, and +pass through the economic exposure to the Huata i Ultimate Client, being an onshore client who +places a Client TRS order with Huatai Securities in connection with the IPO of the Company. HTCI +will not exercise the voting right of the Offer Shares during the tenor of the Back-to-back TRS. +During the life of the Client TRS and Back-to-b ack TRS, HTCI may continue to hold the Offer +Shares in its custodian account, or to hold some or all of the Offer Shares in a prime brokerage +account for stock borrowing purposes, where HT CI will lend out its holding of underlying Offer +Shares in the form of stock borrowing loans consisten t with market practice to lower its finance costs, +provided that HTCI has the ability to call back the O ffer Shares on loan at any time in order to satisfy +its obligations under the Back-to-back TRS to ensu re the economic interests are ultimately passed to +the Huatai Ultimate Client. +To the best knowledge of HTCI after due enquir y, the Huatai Ultimate Client and its ultimate +beneficial owner(s) are independent third parties of the Company, its subsidiaries, HTCI, HTFH and +the companies which are members o f the same group as HTCI and HTFH. +7. China AMC HK will hold the Offer Shares in its capacity as the discretionary fund manager +managing assets on behalf of its underlying clients o r mandates, which are independent third parties. +To the best knowledge of China AMC HK after due enquiry, each of the underlying clients or +mandates of China AMC HK and their respective ultimate beneficial owner holding 30% or more +interest is an independent third party of China AMC HK and CSB, and the companies which are +members of the same group of companies as CSB. +8. ICBC UBS will hold the Offer Shares in its capacity as the discretionary fund manager managing the +funds on behalf of a discretionary account, who is an independent third party of ICBC UBS and +ICBCI, and the companies which are members of the same group of companies as ICBCI. +9. ICBC International will hold the Offer Shares in i ts capacity as the discretionary fund manager +managing the funds on behalf of a discretionary account, who is an independent third party of ICBC +International and ICBCI, and the companies which are members of the same group of companies as +ICBCI. +10. AEGON will hold the Offer Shares in its capacity as the discretionary fund manager managing assets +on behalf of its underlying clients or mandates, which are independent third parties. To the best +knowledge of AEGON after due enquiry, each of the underlying clients or mandates of AEGON and +their respective ultimate beneficial owners is an independent third party of AEGON and CISI, and +the companies which are members of the same group of companies as AEGON and CISI. +11. Red South will hold the Offer Shares in its capa city as the discretionary fund manager managing +assets on behalf of its underlying clients or mandates, which are independent third parties. To the best +knowledge of Red South after due enquiry, each of the underlying clients or mandates of Red South +and their respective ultimate beneficial owners is an independent third party of Red South and VHS, +and the companies which are members of the same group of companies as Red South and VHS. +12. CICC will hold the Offer Shares on non-discretio nary basis on behalf of the ultimate clients (the +“Gaoteng CICC FT Ultimate Client ”). CICC FT and CICCL will enter into a series of OTC Swaps +with each other and the Gaoteng CICC FT Ultimate C lient, pursuant to which CICC FT will hold the +Offer Shares on a non-discretionary basis to hedge the OTC Swaps while the economic risks and +returns of the underlying Offer Shares are passed to the Gaoteng CICC FT Ultimate Client, subject to +customary fees and commissions. The OTC Swaps will be fully funded by the Gaoteng CICC FT +Ultimate Client. During the terms of the OTC Swa ps, all economic returns of the Offer Shares +subscribed by CICC FT will be passed to the Gaoteng CICC FT Ultimate Client and all economic loss +shall be borne by the Gaoteng CICC FT Ultimate Client through the 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 +OTC Swaps are linked to the Offer Shares and th e Gaoteng CICC FT Ultimate Client may, after +expiration of the lock-up period beginning from t he date of the Cornerstone Investment Agreement +entered into between CICC FT and the Company and ending on the date which is six months from the +–1 3– + + +--- page 14 --- +Listing Date, request to early terminate the OTC S waps at their own discretions, upon which CICC +FT may dispose of the Offer Shares and settle the 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 atta ching to the relevant Offer Shares during the terms +of the OTC Swaps according to its internal policy. To the best of CICC FT’s knowledge having made +all reasonable inquiries, CICC FT Ultimate Client is an independent third party of CICC FT, +CICCHKS and the companies which are members of the same group of CICCHK. +The Gaoteng CICC FT Ultimate Client is Gaoteng E nterprise Management. Gaoteng Enterprise +Management is a joint stock company limited by sh ares incorporated in Zhuhai, Guangdong, the +PRC, with principal activities comprising investm ent holding, business management, investment in +self-owned assets, economic and information consulting, and financial consulting. Gorgone +Investment is the controlling shareholder of Ga oteng Enterprise Management, holding 99.94% of +its issued shares. To the best knowledge of CICC FT, there is no single shareholder who holds 30% or +more interests in Gortune Investment. +LOCK-UP UNDERTAKINGS +Cornerstone Investors +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 +%o ft o t a l +issued H +Shares after +the Global +Offering +subject to +lock-up +undertakings +upon listing +%o f +shareholding +in the +Company +subject to +lock-up +undertakings +upon listing +Last day subject +to the lock-up +undertakings Note 1 +Fullgoal 6,720,500 6,720,500 4.49% 0.45% 22 December 2026 +GF Fund 5,673,000 5,673,000 3.79% 0.38% 22 December 2026 +Taikang Life 5,673,000 5,673,000 3.79% 0.38% 22 December 2026 +HARVEST +INTERNATIONAL +PREMIUM VALUE +(SECONDARY +MARKET) FUND +SPC acting on +behalf of and for +HARVEST +SYNERGY SP +4,922,500 4,922,500 3.29% 0.33% 22 December 2026 +Springs Capital 5,567,500 5,567,500 3.72% 0.37% 22 December 2026 +Gaoteng Enterprise +Management and +CICC FT (in +connection with +OTC Swaps) +2,618,000 2,618,000 1.75% 0.18% 22 December 2026 +Sunwoda Treasury 2,560,000 2,560,000 1.71% 0.17% 22 December 2026 +Jinkosolar 4,454,000 4,454,000 2.98% 0.30% 22 December 2026 +Mondeomax 11,024,500 11,024,500 7.37% 0.74% 22 December 2026 +–1 4– + + +--- page 15 --- +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 +%o ft o t a l +issued H +Shares after +the Global +Offering +subject to +lock-up +undertakings +upon listing +%o f +shareholding +in the +Company +subject to +lock-up +undertakings +upon listing +Last day subject +to the lock-up +undertakings Note 1 +Bona Star 8,351,500 8,351,500 5.59% 0.56% 22 December 2026 +Sinsanwa 5,567,500 5,567,500 3.72% 0.37% 22 December 2026 +Sheen Nation 2,618,000 2,618,000 1.75% 0.18% 22 December 2026 +Chen Feng 1,745,500 1,745,500 1.17% 0.12% 22 December 2026 +Total 67,495,500 67,495,500 45.14% 4.51% +Note: +1. In accordance with the relevant cornerstone investment agreements, the required lock-up ends on 22 +December 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. +PLACEE CONCENTRATION ANALYSIS +Placees +Number of H +Shares +allotted +Allotment as +%o f +International +Offering +Allotment as +%o ft o t a l +Offer Shares +Number of +H Shares +held upon +Listing +%o ft o t a l +issued share +capital upon +Listing +Top 1 15,847,500 11.78% 10.60% 15,847,500 1.06% +Top 5 56,542,500 42.02% 37.82% 56,542,500 3.78% +Top 10 89,552,000 66.55% 59.89% 89,552,000 7.23% +Top 25 129,770,000 96.43% 86.79% 129,770,000 9.92% +Notes +* Ranking of placees is based on the number of H Shares allotted to the placees. +–1 5– + + +--- page 16 --- +H SHAREHOLDERS CONCENTRATION ANALYSIS +H Shareholders * +Number of +HS h a r e s +allotted +Allotment as % +of International +Offering +Allotment as % +of total Offer +Shares +Number of +H Shares held +upon Listing +% of total +issued +H Shares +capital upon +Listing +Number of +Shares held +upon Listing +Top 1 15,847,500 11.78% 10.60% 15,847,500 10.60% 15,847,500 +Top 5 56,542,500 42.02% 37.82% 56,542,500 37.82% 56,542,500 +Top 10 89,552,000 66.55% 59.89% 89,552,000 59.89% 108,113,590 +Top 25 129,770,000 96.43% 86.79% 129,770,000 86.79% 148,331,590 +Notes +* 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 +HS h a r e sh e l d +upon Listing +Number of +Shares held +upon Listing +%o ft o t a l +issued share +capital upon +Listing +Top 1 0 0.00% 0.00% 0 170,836,191 11.43% +Top 5 7,555,500 5.61% 5.05% 7,555,500 278,768,440 18.64% +Top 10 34,427,500 25.58% 23.02% 34,427,500 364,185,335 24.36% +Top 25 77,358,000 57.48% 51.74% 77,358,000 492,465,959 32.94% +Notes +* Ranking of Shareholders is based on the number of Shares (of all classes) held by the Shareholder upon +Listing. +BASIS OF ALLOCATION UNDER THE HONG KONG PUBLIC OFFERING +Subject to the satisfaction of the conditions set out in the Prospectus, valid applications made by the public +will be conditionally allocated on the basis set out below: +NO. OF SHARES +APPLIED FOR +NO. OF VALID +APPLICATIONS BASIS OF ALLOTMENT/BALLOT +APPROXIMATE +PERCENTAGE +ALLOTTED OF THE +TOTAL NO. OF +SHARES APPLIED +FOR +POOL A +500 75,878 74 out of 75,878 to receive 500 Shares 0.10% +1,000 28,497 55 out of 28,497 to receive 500 Shares 0.10% +1,500 5,421 16 out of 5,421 to receive 500 Shares 0.10% +2,000 3,408 13 out of 3,408 to receive 500 Shares 0.10% +2,500 3,334 16 out of 3,334 to receive 500 Shares 0.10% +3,000 2,608 15 out of 2,608 to receive 500 Shares 0.10% +3,500 1,774 12 out of 1,774 to receive 500 Shares 0.10% +4,000 1,864 15 out of 1,864 to receive 500 Shares 0.10% +4,500 1,343 12 out of 1,343 to receive 500 Shares 0.10% +5,000 18,211 177 out of 18,211 to receive 500 Shares 0.10% +–1 6– + + +--- page 17 --- +NO. OF SHARES +APPLIED FOR +NO. OF VALID +APPLICATIONS BASIS OF ALLOTMENT/BALLOT +APPROXIMATE +PERCENTAGE +ALLOTTED OF THE +TOTAL NO. OF +SHARES APPLIED +FOR +6,000 2,263 26 out of 2,263 to receive 500 Shares 0.10% +7,000 1,454 20 out of 1,454 to receive 500 Shares 0.10% +8,000 1,320 21 out of 1,320 to receive 500 Shares 0.10% +9,000 1,285 22 out of 1,285 to receive 500 Shares 0.10% +10,000 9,725 189 out of 9,725 to receive 500 Shares 0.10% +20,000 5,201 202 out of 5,201 to receive 500 Shares 0.10% +30,000 3,558 207 out of 3,558 to receive 500 Shares 0.10% +40,000 2,952 229 out of 2,952 to receive 500 Shares 0.10% +50,000 3,352 325 out of 3,352 to receive 500 Shares 0.10% +60,000 2,190 255 out of 2,190 to receive 500 Shares 0.10% +70,000 1,806 246 out of 1,806 to receive 500 Shares 0.10% +80,000 1,389 216 out of 1,389 to receive 500 Shares 0.10% +90,000 1,267 221 out of 1,267 to receive 500 Shares 0.10% +100,000 6,531 1,268 out of 6,531 to receive 500 Shares 0.10% +200,000 4,223 1,640 out of 4,223 to receive 500 Shares 0.10% +300,000 2,754 1,605 out of 2,754 to receive 500 Shares 0.10% +400,000 1,909 1,483 out of 1,909 to receive 500 Shares 0.10% +500,000 6,562 6,373 out of 6,562 to receive 500 Shares 0.10% +202,079 Total number of Pool A successful applicants: 14,953 +POOL B +1,000,000 4,151 3,960 out of 4,151 to receive 500 Shares 0.05% +1,500,000 940 500 Shares plus 404 out of 940 to receive additional 500 Shares 0.05% +2,000,000 585 500 Shares plus 530 out of 585 to receive additional 500 Shares 0.05% +2,500,000 403 1,000 Shares plus 155 out of 403 to receive additional 500 +Shares +0.05% +3,000,000 226 1,000 Shares plus 195 out of 226 to receive additional 500 +Shares +0.05% +3,500,000 135 1,500 Shares plus 46 out of 135 to receive additional 500 +Shares +0.05% +4,000,000 122 1,500 Shares plus 100 out of 122 to receive additional 500 +Shares +0.05% +4,500,000 82 2,000 Shares plus 24 out of 82 to receive additional 500 Shares 0.05% +5,000,000 89 2,000 Shares plus 69 out of 89 to receive additional 500 Shares 0.05% +5,500,000 60 2,500 Shares plus 15 out of 60 to receive additional 500 Shares 0.05% +6,000,000 95 2,500 Shares plus 69 out of 95 to receive additional 500 Shares 0.05% +7,476,000 613 3,500 Shares plus 81 out of 613 to receive additional 500 +Shares +0.05% +7,501 Total number of Pool B successful applicants: 7,310 +As of the date of this announcement, the relevant subscription monies previously deposited +in the designated nominee accounts have been r emitted back to the accounts of all HKSCC +participants. Investors should contact the ir relevant brokers for any inquiries. +–1 7– + + +--- page 18 --- +COMPLIANCE WITH LISTING RULES AND GUIDANCE +The Directors confirm that, except for the L isting 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 t o the placing, allotment and listing of the +Company’s H Shares. +The Directors confirm that, to the best of the ir knowledge, the consideration paid by the +placees or the public (as the case may be) di rectly or indirectly for each Offer Share +subscribed for or purchased by them was the sa me as the final Offer Price in additional to +any brokerage, AFRC transaction levy, SFC transaction levy and Stock Exchange +trading fee payable. +OTHERS/ADDITIONAL INFORMATION +Allocation of H Shares to existing minority S hareholders and/or their close associates +The Company has applied for, and the Stock Exchange has granted, a waiver from strict +compliance with Rule 10.04, and a consent u nder paragraph 1C(2) of Appendix F1 to the +Listing Rules to permit H Shares in the Inte r n a t i o n a lO f f e r i n gt ob ep l a c e dt oc e r t a i n +existing minority Shareholders and/or their c lose associates who (i) hold less than 5% of +the voting rights in the Company prior to th e completion of the Global Offering and (ii) +are not and will not become (upon the complet ion of the Global Offering) core connected +persons of the Company or the close asso ciates of any such core connected person +(together, the “ Permitted Existing Shareholders ”), on the following conditions: +(a) each Permitted Existing Shareholder to whom the Company may allocate the H +Shares under the International Offering, to gether with their close associates, holds +less than 5% of the voting rights in the Company prior to the completion of the +Global Offering; +(b) each Permitted Existing Shareholder is n ot, and will not be, a core connected person +of the Company or any close associat e of any such core connected person +immediately prior to or following the Global Offering; +(c) none of the Permitted Existing Share holders has the power to appoint any Directors +nor have any other special rights in the Company; +( d ) a l l o c a t i o nt ot h eP e r m i t t e dE x i s t i n gS h areholders and/or their close associates will +not affect the Company’s abil ity to satisfy the public float requirement under Rule +19A.13A(2) of the Listing Rules; +–1 8– + + +--- page 19 --- +(e) based on discussions between the Com pany and the Overall Coordinators and +confirmations required to be submitted t o the Stock Exchange by the Sole Sponsor +and the Overall Coordinators, the Company will confirm to the Stock Exchange +that: +a. in case of participation as Cornerstone Investors, no preferential treatment has +been, nor will be, given to the Permitted Existing Shareholders and/or their close +associates by virtue of their relati onship with the Company, other than the +preferential treatment of assured entitlement under a cornerstone investment +following the principles set out in Chapter 4.15 of the Guide, and the +cornerstone investment agreements en tered into between the Permitted +Existing Shareholder and/or their close associates do not contain any material +terms which are more favourable to the Permitted Existing Shareholders and/or +their close associates than those in other cornerstone investment agreements; or +b. in case of participation as placees, no p referential treatment will be given to the +Permitted Existing Shareho lders and/or their close associates in the allocation +process by virtue of their relationship with the Company; +(f) in the case of participation as placees, t he Overall Coordinators will confirm to the +Stock Exchange that, to the best of their knowledge and belief, no preferential +treatment has been, nor will be, given to any of the Permitted Existing Shareholders +or their close associates by virtue of th eir relationship with the Company in any +allocation in the Inter national Offering; and +(g) the Sole Sponsor will confirm to the Stoc k Exchange that based on (a) its discussions +with the Company and the Overall Coordinators; and (b) the confirmations provided +to the Stock Exchange by the Company and th e Overall Coordinators (confirmations +(e) and (f) mentioned above), and to the best of their knowledge and belief, it has no +reason to believe that the Permitted Exi sting Shareholders and/or their close +associates received any preferential tre atment in the allocation process either as +cornerstone investors or as placees by virt ue of their relationship with the Company, +other than, in the case of participation as cornerstone investors, the preferential +treatment of assured entitlement under a cornerstone investment following the +principles set out in Chapter 4.15 of the G uide, and details of allocation to the +Permitted Existing Shareholders holding more than 1% of the issued share capital of +the Company and/or their close associates immediately prior to the completion of +the Global Offering will be disclosed in thi s prospectus (for cornerstone investors) +and allotment results announcem ent (for both cornerstone investors and placees) of +the Company. +Please refer to the section headed “Waivers — Allocation of H Shares to Existing +Minority Shareholders and their close associa tes” in the Prospectus for further details of +the waiver and consent. +Among the Cornerstone Investors, GF Fund, F ullgoal and Taikang Life are Permitted +Existing Shareholders. Such allocations of Offer Shares to the Permitted Existing +Shareholders are in compliance with all t he conditions under the waiver and consent +granted by the Stock Exchange. +–1 9– + + +--- page 20 --- +Allocation of Offer Shares to existing Share holders and Cornerstone Investors and/or their +close associates with a consent under parag raph 18 of Chapter 4.15 of the Guide for New +Listing Applicants +The Company has applied to, and the Stock Exchange has granted, a consent under +paragraph 18 of Chapter 4.15 of the Guide for New Listing Applicants to permit the +Company to allocate further Offer Shares in th e International Offering to certain existing +Shareholders and Cornerstone In vestors and/or their close associates as placees, subject +to the following conditions: +(a) the final offering size of the Global Off ering will be of a total value of at least HK$1 +billion; +(b) the Offer Shares allocated to all existing Shareholder sa n dt h e i rc l o s ea s s o c i a t e s +(whether as cornerstone investors and/ or as placees) as permitted under the +Size-based Exemption (as defined in the G uide for New Listing Applicants) do not +exceed 30% of the total number of the H Shares offered under the Global Offering; +(c) each Director and chief executive of the Company confirms that no securities have +been allocated to them or their respective close associates under this exemption; +(d) the Company will comply with the public fl oat requirement under Rule 8.08(1) of the +Listing Rules; and +(e) details of the allocation to such existin g shareholders and Cornerstone Investors +under the Size-based Exemption will be disclosed in this announcement. +Such allocations of Offer Shares to the existi ng Shareholders and Cornerstone Investors +and/or their close associates are in complia nce with all the conditions under the consent +granted by the Stock Exchange. For details of the placing to connected clients, please see +“Allotees with waivers/consents obtained — Allotees with consent under paragraph 18 of +Chapter 4.15 of the Guide for New Listing Appli cants in relation to allocations of further +H Shares to existing shareholders and Co rnerstone Investors and/or their close +associates” in this announcement. +Placing to connected clients with prior c onsent under paragraph 1C(1) of the Placing +Guidelines +The Company has applied to the Stock Exchange for, and the Stock Exchange has +granted, a consent under paragraph 1(C)(1) of the Placing Guidelines to permit CICC FT +to participate in the Global Offering as a Corne rstone Investor. For details of the consent +granted, please refer to the section headed “ Allotment Results Details — International +Offering — Cornerstone Invest ors” in this announcement. +In addition, under the International Offer ing, certain Offer Shares were placed to +connected clients of their co nnected distributors pursuan t to the Placing Guidelines. +Please refer to the section headed “Allotmen t Results Details — International Offering — +Allotees with waivers/consents obtaine d” 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 Plac ing Guidelines to permit the Company to +–2 0– + + +--- page 21 --- +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. +For details of the placing to connected clients, please see “Allotees with waivers/consents +obtained — Allotees with consent under para graph 1C(1) of the Placing Guidelines and +Chapter 4.15 of the Guide in relation to al locations to connected clients” in this +announcement. +DISCLAIMERS +Hong Kong Exchanges and Clearing Li mited, 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 complet eness and expressly d isclaim any liability +whatsoever for any loss howsoever arising f rom or in reliance upon the whole or any part +of the contents of this announcement. +This announcement is not for relea se, publication, distribution, directly or indirectly, in or +into the United States (including its terri tories 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 purchas e or subscribe for securities in the United +States. The securities mentioned herein hav e not been, and will not be, registered under +the United States Securities Act of 1933, as amended (the “ U.S. Securities Act ”). The +s e c u r i t i e sm a yn o tb eo f f e r e do rs o l di nt h eU nited 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. The re will be no public offer of securities in +the United States. +The Offer Shares are being offered and so ld outside the United States in offshore +transactions in reliance on Regulat ion 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 subscrib e for securities. This announcement is not a +prospectus. Potential investors should rea d the Prospectus dated 12 June 2026 issued by +Shenzhen Senior Technology Material Co., Ltd . for detailed information about the Global +Offering described below be fore deciding whether or not to invest in the Shares thereby +being offered. +*Potential investors of the Offer Shares should note that the Sole Sponsor and the +Sponsor-OC (for itself and on behalf of the other Hong Kong Underwriters) shall be +entitled to terminate their obligations unde r 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 Agre ement — 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 on Tuesday, 23 June 2026). +–2 1– + + +--- page 22 --- +PUBLIC FLOAT AND FREE FLOAT +Under Rule 19A.13A(2) of the Listing Rules , the portion of H Shares held by the public, +at the time of Listing, must (a) represent at least 10% of the Company’s total number of +issued Shares (excluding treasury shares); or (b) have an expected market value of not +less than HK$3,000,000,000. Immediately following the completion of the Global +Offering, the total number of the H Share s issued pursuant to the Global Offering +represents 10.13% of the total issued share c apital of our Company (excluding treasury +shares), which satisfy the minimum public fl oat requirement under Rule 19A.13A(2)(a) of +the Listing Rules. +Each of the Cornerstone Investors has agreed to a lock-up period of six months following +the Listing Date. Based on an Offer Pri ce of HK$8.98 per H Share, the Company will +satisfy the free float requirement unde r Rule 19A.13C(2) of the Listing Rules. +The Directors confirm that, immediatel y following the completion of the Global +Offering, (i) no placee will, individually, b e placed more than 10% of the enlarged issued +share capital of the Company immediately aft er the Global Offering; (ii) there will not be +any new substantial Shareholder immediately a fter the Global Offering; (iii) the three +largest public shareholders of the Company do not hold more than 50% of the shares in +public hands at the time of the Listing in com pliance 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 on ly become valid evidence of title at 8 : 00 a.m. on Tuesday, +23 June 2026 (Hong Kong time), provided that the Global Offering has become +unconditional and the right of termination des cribed in the section headed “Underwriting +— Underwriting Arrangements and Expen ses — 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 alloc ation details prior to the receipt of H Share +certificates or prior to the H Share certific ates becoming valid evidence of title do so +entirely at their own risk. +Assuming that the Global Offering become s unconditional at or before 8 : 00 a.m. on +Tuesday, 23 June 2026 (Hong Kong time), it is expected that dealings in the H Shares on +the Stock Exchange will commence at 9 : 0 0 a.m. on Tuesday, 23 June 2026 (Hong Kong +time). The H Shares will be traded in board lots of 500 H Shares each, and the stock code +of the H Shares will be 6067. +By order of the Board +Shenzhen Senior Technology Material Co., Ltd. +深圳市星源材質科技股份有限公司 +Prof. Chen Xiufeng +Chairman and Executive Director +Hong Kong, 22 June 2026 +–2 2– + + +--- page 23 --- +As at the date of this announcement, the Board comprises: Prof. Chen Xiufeng, Dr. Zhang +Xiaomin and Mr. Xu Liqiang as executive dir ectors, Mr. Zhu Bide as a non-executive +director and Mr. Tang Changjiang, Dr. Lin Zhiwei and Ms. Sun Zhenzhen as independent +non-executive directors. +–2 3– diff --git a/data/extracted_text/06132/allotment_results_2026-06-22_2026062201627.txt b/data/extracted_text/06132/allotment_results_2026-06-22_2026062201627.txt new file mode 100644 index 0000000..40b00ac --- /dev/null +++ b/data/extracted_text/06132/allotment_results_2026-06-22_2026062201627.txt @@ -0,0 +1,1342 @@ +--- 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 herein, capitalized terms used in this announcement shall have the same meanings as those +defined in the prospectus dated June 12, 2026 (the “Prospectus ”) issued by HJ Science Co., Ltd. ( ശ͊Ը (ϓே)߅ +ʮ̡ ) (the “Company ”). +This announcement is for information purposes only and does not constitute an offer or an invitation to induce an +offer by any person to acquire, purchase or subscribe for any securities of the Company. This announcement is not a +prospectus. 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. Any investment decision in +relation to the Offer Shares should be taken solely in reliance on the information provided in the Prospectus. +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, and is not intended to, constitute or form a part of any offer to sell or solicitation to purchase +or subscribe for any securities in the United States or in any other jurisdiction. The Offer Shares 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 pursuant to an available 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 solely outside the United States in +offshore transactions in reliance on Regulation S under the U.S. Securities Act. There will be no public offer of the +Offer Shares in the United States. +In connection with the Global Offering, CLSA Limited, as stabilizing manager (the “Stabilizing Manager ”), or any +person acting for it, on behalf of the Underwriter, may over-allocate or effect transactions with a view to stabilizing +or supporting the market price of the H 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 of the Offer Shares should note that the Sole Overall Coordinator (acting in such capacity and as the +Hong Kong Underwriter) shall be entitled to terminate its 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 – 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 (which +is currently expected to be on Tuesday, June 23, 2026). + + +--- page 2 --- +2 +HJ Science Co., Ltd. +ശ͊Ը (ϓே)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 +: 13,600,000 H Shares (subject to the Over- +allotment Option) +Number of Hong Kong Offer Shares : 1,360,000 H Shares +Number of International Offer Shares : 12,240,000 H Shares (subject to the Over- +allotment Option) +Offer Price : HK$81.80 per Offer Share, plus brokerage +of 1.0%, SFC transaction levy of +0.0027%, Stock Exchange trading fee of +0.00565%, and AFRC transaction levy of +0.00015% +Nominal Value : RMB1.00 per Share +Stock Code : 6132 +Sole Sponsor, Sponsor-Overall Coordinator, Sole Overall Coordinator, Sole Global +Coordinator, Sole Bookrunner and Sole Lead Manager + + +--- page 3 --- +3 + +HJ SCIENCE CO., LTD. / 華健未來(成都)科技股份有限公司 +ANNOUNCEMENT OF ALLOTMENT RESULTS +Unless otherwise defined herein, capitalized terms used in this announcement shall have the same meanings +as those defined in the Prospectus issued by 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 6132 +Stock short name HJ SCIENCE-B +Dealings commencement date June 23, 2026* +*see note at the end of the announcement +Price Information +Offer Price HK$81.80 + +Offer Shares and Share Capital +Number of Offer Shares (before exercise of Over-allotment +Option) +13,600,000 H Shares +Final Number of Offer Shares in Hong Kong Public +Offering +1,360,000 H Shares +Final Number of Offer Shares in International Offering +(before exercise of Over-allotment Option) +12,240,000 H Shares +Number of issued shares upon Listing (before exercise of +Over-allotment Option) +73,599,605 Shares + +Over-allocation +Number of Offer Shares over-allocated 2,040,000 H Shares + +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. +Proceeds +Gross proceeds (Note) HK$1,112.5 million +Less: Estimated listing expenses payable based on Offer +Price +HK$93.7 million +Net proceeds HK$1,018.7 million +Note: Gross proceeds refers to the amount to 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. +Any discrepancies in the table between the aggregate amount and the sums of individual amounts listed +therein are due to rounding. + + +--- page 4 --- +4 + +ALLOTMENT RESULTS DETAILS +HONG KONG PUBLIC OFFERING + +No. of valid applications 173,284 +No. of successful applications 13,418 +Subscription level 2,007.60 times +Reallocation N/A +No. of Offer Shares initially available under the Hong Kong Public +Offering +1,360,000 +No. of Offer Shares reallocated from the International Offering N/A +Final no. of Offer Shares under the Hong Kong Public Offering 1,360,000 +% of Offer Shares under the Hong Kong Public Offering to the +Global Offering (before exercise of Over-allotment Option) +10.00% + +Note: For details of the final allocation of H 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. +INTERNATIONAL OFFERING + +No. of placees 91 +Subscription Level 7.00 times +No. of Offer Shares initially available under the International +Offering +12,240,000 +Final no. of Offer Shares under the International Offering (before +exercise of Over-allotment Option) +12,240,000 +% of Offer Shares under the International Offering to the Global +Offering (before exercise of Over-allotment Option) +90.00% + +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 , (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, Supervisors, +chief executive of the Company, 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, +Supervisors, chief executive of the Company, 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: + + +--- page 5 --- +5 + +Cornerstone Investors +Investor Note 1 +No. of +Offer +Shares +allocated +% of Offer +Shares +(assuming the +Over-allotment +Option is not +exercised) +% of total +issued share +capital after +the +Global +Offering +(assuming the +Over- +allotment +Option is not +exercised) + +Existing +shareholders +or +their close +associates +Foresight Global Superior Choice +SPC — Global Superior Choice +Fund 1 SP, Foresight Global +Superior Choice SPC — Vision +Fund 1 SP, Foresight Global +Superior Choice SPC — Horizon +Fund 1 SP, Foresight Global +Superior Choice SPC — Horizon +Next Fund SP and Foresight +International Series — Foresight +China Equity Fund (collectively, +“Foresight Funds”) +2,395,400 17.61% 3.25% No +Key Broad Future Limited (凱博 +未來有限公司) (“Key Broad”) + 2,395,400 17.61% 3.25% No +LBC HK Opportunity Fund +Limited (“LBC HK”) + 479,000 3.52% 0.65% No +Sage Partners Master Fund +(“Sage Partners”) + 383,200 2.82% 0.52% No +Panjing Harbourview Investment +Fund (盤京港景投資基金) +(“Panjing Fund”) + 287,400 2.11% 0.39% No +Taikang Life Insurance Co., Ltd. +(泰康人壽保險有限責任公司) +(“Taikang Life”) + 287,400 2.11% 0.39% No +Total 6,227,800 45.79% 8.46% +Notes: +1. For further details of the Cornerstone Investors, please refer to the section headed “Cornerstone Investors” in +the Prospectus. + + +--- page 6 --- +6 + +Allotees with Consents Obtained +Investor +No. of Offer +Shares +allocated +% of Offer Shares +(assuming the +Over-allotment +Option is not +exercised) +% of total issued +share capital after +the Global +Offering +(assuming the +Over-allotment +Option is not +exercised) + +Relationship +Allotees with consents under paragraph 1C(1) of Appendix F1 to the Listing Rules (the "Placing Guidelines") in +relation to allocations to connected clients Note 1 +CITIC Securities +International Capital +Management +Limited ("CSI") +213,000 1.57% 0.29% Connected client as a +placee +Shanxi Securities +International +Asset Management +Limited ("SSIAM") +244,400 1.80% 0.33% Connected client as a +placee +Allottee with consent under paragraph 1C(2) of the Placing Guidelines in relation to allocation to a close associate +of existing Shareholders +Wealth Shine Asia +Pacific Limited +("Wealth Shine") +Note 2 +96,800 0.71% 0.13% A close associate of +existing +Shareholders +Notes: +1. For details of the consent s under paragraph 1C (1) of the Placing Guidelines in relation to allocations to +connected clients, please refer to the section headed “Others / Additional Information – Placing to connected +clients with prior consents under paragraph 1C(1) of the Placing Guidelines” in this announcement. + +2. Ruiji Phase III Venture Capital Partnership (Limited Partnership) (安義瑞吉三期創業投資合夥企業(有限合 +夥)) (“Ruiji Phase III”) and Anyi Ruiji Phase X Venture Capital Partnership Enterprise (Limited Partnership) +(安義瑞吉十期創業 投資合夥企業 (有限合夥 ) ("Ruiji Phase X ") own approximately 1.72% and 1.11%, +respectively, of the total number of issued Shares of the Company before the Global Offering. Such shareholding +is expected to be approximately 2.44% immediately following the completion of the Global Offering (and before +any exercise of the Over-allotment Option), after taking into account the Shares to be subscribed by Wealth Shine +under the International Offering. For further details, please refer to the section headed " Others / Additional +Information – Placing to a close associate of existing Shareholder s as placee with a prior consent under +paragraph 1C(2) of the Placing Guidelines" in this announcement. + + +LOCK-UP UNDERTAKINGS +Controlling Shareholders +Name +Number of Shares +held in the Company +subject to lock-up +undertakings +immediately upon +Listing +% of shareholding in +the Company subject +to lock-up +undertakings upon +Listing (assuming the +Over-allotment +Last day subject to the +lock-up undertakings +Note 2 + + +--- page 7 --- +7 + +Option is not +exercised) +Dr. Ji Jianxin (姬建新) (“Dr. Ji”) +Note 1 +12,424,624 16.88% June 22, 2027 +Chengdu Wenshao Enterprise +Management Center (Limited +Partnership) (成都聞韶企業管理 +中心(有限合夥)) (“Chengdu +Wenshao”) Note 1 +19,971,379 27.14% June 22, 2027 +Suzhou Jishitang Enterprise +Management Center (Limited +Partnership) (蘇州積石堂企業管 +理中心(有限合夥)) (“Suzhou +Jishitang”) Note 1 +2,097,440 2.85% June 22, 2027 +Total 34,493,443 46.87% +Notes: +1. Dr. Ji, Chengdu Wenshao and Suzhou Jishitang will be regarded as a group of Controlling Shareholders upon +Listing. For further details, please refer to “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. In +accordance with the relevant Listing Rules/guidance materials, the required lock-up for existing Shareholders +ends on June 22, 2027, being 12 months following the Listing Date. + +Cornerstone Investors +Name +Number of Shares +held in the +Company subject to +lock-up +undertakings upon +Listing +% of shareholding in +the Company subject +to lock-up +undertakings upon +Listing (assuming +the Over-allotment +Option is not +exercised) +Last day subject to the +lock-up undertakings Note +2 +Foresight Funds 2,395,400 3.25% December 22, 2026 +Key Broad 2,395,400 3.25% December 22, 2026 +LBC HK 479,000 0.65% December 22, 2026 +Sage Partners 383,200 0.52% December 22, 2026 +Panjing Fund 287,400 0.39% December 22, 2026 +Taikang Life 287,400 0.39% December 22, 2026 +Total 6,227,800 8.46% + + +--- page 8 --- +8 + +Name +Number of Shares +held in the +Company subject to +lock-up +undertakings upon +Listing +% of shareholding in +the Company subject +to lock-up +undertakings upon +Listing (assuming +the Over-allotment +Option is not +exercised) +Last day subject to the +lock-up undertakings Note +2 +Notes: +1. In accordance with the relevant cornerstone investment agreements, the required lock-up ends on December +22, 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. + +Pre-IPO Investors (as defined in the "History, Development and Corporate Structure" section of the +Prospectus) +Name +Number of shares held in +the Company subject to +lock-up undertakings +upon listing +% of shareholding in the +Company subject to lock-up +undertakings upon listing +(assuming the Over- +allotment Option is not +exercised) +Last day subject to the lock- +up undertakings Note 1 +(SDIC) VC Fund (Shanghai) of +Technology Transfer and +Commercialization (Limited +Partnership) (國投(上海)科技成 +果轉化創業投資基金企業(有限 +合夥)) + 5,520,100 7.50% June 22, 2027 +Suzhou Junlian Xinkang Venture +Capital Partnership (Limited +Partnership) (蘇州君聯欣康創 +業投資合夥企業(有限合夥)) + 4,246,253 5.77% June 22, 2027 +Chongqing Jiangjin District +Private Equity Investment Fund +Partnership (Limited +Partnership) (重慶市江津區私 +募股權投資基金合夥企業(有限 +合夥)) + 2,222,218 3.02% June 22, 2027 +Chongqing Chengyu Tuanjie +Lake Strategic Emerging +Industry Private Equity +Investment Fund Partnership +(Limited Partnership) (重慶市成 +渝團結湖戰略性新興產業私募 +1,777,751 2.42% June 22, 2027 + + +--- page 9 --- +9 + +Name +Number of shares held in +the Company subject to +lock-up undertakings +upon listing +% of shareholding in the +Company subject to lock-up +undertakings upon listing +(assuming the Over- +allotment Option is not +exercised) +Last day subject to the lock- +up undertakings Note 1 +股權投資基金合夥企業(有限合 +夥)) +Ningbo Huaige Ruixin Venture +Capital Partnership Enterprise +(Limited Partnership) (寧波懷格 +銳信創業投資合夥企業(有限合 +夥)) +1,617,322 2.20% June 22, 2027 +Shanghai Junshi Biosciences +Co., Ltd. (上海君實生物醫藥科 +技股份有限公司) +1,261,749 1.71% June 22, 2027 +Chengdu Peikun Jingrong +Venture Capital Partnership +(Limited Partnership) (成都沛坤 +菁蓉創業投資合夥企業(有限合 +夥)) +1,204,357 1.64% June 22, 2027 +Anyi Ruiji Phase III Venture +Capital Partnership (Limited +Partnership) (安義瑞吉三期創 +業投資合夥企業(有限合夥)) +1,032,356 1.40% June 22, 2027 +Sichuan Science and Technology +Achievement Transformation +Equity Investment Fund +Partnership (Limited +Partnership) (四川省科技成果 +轉化股權投資基金合夥企業(有 +限合夥)) +946,326 1.29% June 22, 2027 +Xiamen Jianfa Emerging +Industries Equity Investment +Partnership No. 2 (Limited +Partnership) (廈門建發新興產 +業股權投資貳號合夥企業(有限 +合夥)) +876,544 1.19% June 22, 2027 +Zhang Naiye (張乃燁) 876,544 1.19% June 22, 2027 +Hefei Xingtai Huike Venture +Capital Partnership (Limited +Partnership) (合肥興泰慧科創 +業投資合夥企業(有限合夥)) +666,671 0.91% June 22, 2027 + + +--- page 10 --- +10 + +Name +Number of shares held in +the Company subject to +lock-up undertakings +upon listing +% of shareholding in the +Company subject to lock-up +undertakings upon listing +(assuming the Over- +allotment Option is not +exercised) +Last day subject to the lock- +up undertakings Note 1 +Anyi Ruiji Phase X Venture +Capital Partnership Enterprise +(Limited Partnership) (安義瑞吉 +十期創業投資合夥企業(有限合 +夥)) +666,662 0.91% June 22, 2027 +Suzhou Yuanju Fanmao +Investment Partnership +Enterprise (Limited Partnership) +(蘇州元聚帆茂投資合夥企業 +(有限合夥)) +606,591 0.82% June 22, 2027 +Chengdu Chunlei Xingming +Technology Venture Capital +Partnership Enterprise (Limited +Partnership) (成都春壘星溟科 +技創業投資合夥企業(有限合 +夥)) +499,997 0.68% June 22, 2027 +Wuxi Runyuan +Biopharmaceutical Venture +Capital Partnership (Limited +Partnership) (無錫潤元生物醫 +藥創業投資合夥企業(有限合 +夥)) +444,467 0.60% June 22, 2027 +Fuzhou Huace Xinming +Pharmaceutical Investment +Partnership Enterprise (Limited +Partnership) (福州華策新明醫 +藥投資合夥企業(有限合夥)) +444,442 0.60% June 22, 2027 +Hefei Baohe District Linghang +Venture Capital Fund +Partnership Enterprise (Limited +Partnership) (合肥市包河區領 +航創業投資基金合夥企業(有限 +合夥)) +444,442 0.60% June 22, 2027 +Ningbo Huaige Health +Investment Management +Partnership (Limited +Partnership) (寧波懷格健康投 +資管理合夥企業(有限合夥)) +103,212 0.14% June 22, 2027 + + +--- page 11 --- +11 + +Name +Number of shares held in +the Company subject to +lock-up undertakings +upon listing +% of shareholding in the +Company subject to lock-up +undertakings upon listing +(assuming the Over- +allotment Option is not +exercised) +Last day subject to the lock- +up undertakings Note 1 +Chengdu Peikun Songfu +Technology Partnership (Limited +Partnership) (成都沛坤宋富科 +技合夥企業(有限合夥)) +48,158 0.07% June 22, 2027 +Total 25,506,162 34.66% +Notes: +1. The expiry date of the lock-up period shown in the table above is pursuant to the PRC Company Law. + + +--- page 12 --- +12 + +PLACEE CONCENTRATION ANALYSIS + +Placees* Number of +H Shares +allotted +Allotment as % +of International +Offering +(assuming the +Over-allotment +Option is not +exercised) +Allotment as % +of International +Offering +(assuming the +Over-allotment +Option is +exercised and +new H Shares are +issued) +Allotment as % +of total Offer +Shares (assuming +the Over- +allotment Option +is not exercised) +Allotment as % of +total Offer Shares +(assuming the +Over-allotment +Option is +exercised and +new H Shares are +issued) +Number of +Shares held upon +Listing +% of total issued +share capital +upon Listing +(assuming the +Over-allotment +Option is not +exercised) +% of total issued +share capital +upon Listing +(assuming the +Over-allotment +Option is +exercised and +new H Shares +are issued) +Top 1 2,395,400 19.57% 16.77% 17.61% 15.32% 2,395,400 3.25% 3.17% +Top 5 7,576,000 61.90% 53.05% 55.71% 48.44% 7,576,000 10.29% 10.02% +Top 10 10,449,000 85.37% 73.17% 76.83% 66.81% 10,449,000 14.20% 13.81% +Top 25 13,001,900 106.22% 91.05% 95.60% 83.13% 14,700,918 19.97% 19.44% + +Note +* Ranking of placees is based on the number of H Shares allotted to the placees. + +H SHAREHOLDERS CONCENTRATION ANALYSIS + +H +Shareholders* +Number of H +Shares +allotted +Allotment as +% of +International +Offering +(assuming the +Over- +allotment +Option is not +exercised) +Allotment as +% of +International +Offering +(assuming the +Over- +allotment +Option is +exercised and +new H Shares +are issued) +Allotment as +% of total +Offer Shares +(assuming the +Over- +allotment +Option is not +exercised) +Allotment as +% of total +Offer Shares +(assuming the +Over- +allotment +Option is +exercised and +new H Shares +are issued) +Number of H +Shares held +upon Listing +% of total +issued H +Share capital +upon Listing +(assuming the +Over- +allotment +Option is not +exercised) +% of total +issued H share +capital upon +Listing +(assuming the +Over- +allotment +Option is +exercised and +new H Shares +are issued) +Number of +Shares held +upon Listing + +Top 1 - 0.00% 0.00% 0.00% 0.00% 34,493,443 46.87% 45.60% 34,493,443 +Top 5 2,395,400 19.57% 16.77% 17.61% 15.32% 50,655,165 68.83% 66.97% 50,655,165 +Top 10 4,887,600 39.93% 34.23% 35.94% 31.25% 59,525,648 80.88% 78.70% 59,525,648 +Top 25 10,545,800 86.16% 73.85% 77.54% 67.43% 70,100,963 95.25% 92.68% 70,100,963 + +Note +* Ranking of H Shareholders is based on the number of H Shares held by the H Shareholders upon Listing. + + +--- page 13 --- +13 + + +SHAREHOLDER CONCENTRATION ANALYSIS + +Shareholders* Number of H +Shares allotted +Allotment as +% of +International +Offering +(assuming the +Over-allotment +Option is not +exercised) +Allotment as +% of +International +Offering +(assuming the +Over-allotment +Option is +exercised and +new H Shares +are issued) +Allotment as +% of total +Offer Shares +(assuming the +Over-allotment +Option is not +exercised) +Allotment as +% of total +Offer Shares +(assuming the +Over-allotment +Option is +exercised and +new H Shares +are issued) +Number of H +Shares held +upon Listing +Number of +Shares held +upon Listing + +% of total +issued Share +capital upon +Listing +(assuming the +Over-allotment +Option is not +exercised) +% of total +issued share +capital upon +Listing +(assuming the +Over-allotment +Option is +exercised and +new H Shares +are issued) +Top 1 - 0.00% 0.00% 0.00% 0.00% 34,493,443 34,493,443 46.87% 45.60% +Top 5 2,395,400 19.57% 16.77% 17.61% 15.32% 50,655,165 50,655,165 68.83% 66.97% +Top 10 4,887,600 39.93% 34.23% 35.94% 31.25% 59,525,648 59,525,648 80.88% 78.70% +Top 25 10,545,800 86.16% 73.85% 77.54% 67.43% 70,100,963 70,100,963 95.25% 92.68% + +Note +* Ranking of Shareholders is based on the number of Shares (of all classes) held by the Shareholder upon Listing. + + +--- page 14 --- +14 + +BASIS OF ALLOCATION UNDER THE HONG KONG PUBLIC OFFERING +Subject to the satisfaction of the conditions set out in the Prospectus, valid applications made by the +public will be conditionally allocated on the basis set out below: + + APPROXIMATE +PERCENTAGE +ALLOTTED OF +THE TOTAL NO. +OF SHARES +APPLIED FOR + +NO. OF SHARES +APPLIED FOR +NO. OF VALID +APPLICATIONS + + +BASIS OF ALLOTMENT / BALLOT + +POOL A + +100 81,913 1,638 out of 81,913 to receive 100 Shares 2.00% +200 8,450 215 out of 8,450 to receive 100 Shares 1.27% +300 4,357 128 out of 4,357 to receive 100 Shares 0.98% +400 2,851 93 out of 2,851 to receive 100 Shares 0.82% +500 3,371 118 out of 3,371 to receive 100 Shares 0.70% +600 12,470 467 out of 12,470 to receive 100 Shares 0.62% +700 1,814 72 out of 1,814 to receive 100 Shares 0.57% +800 1,076 45 out of 1,076 to receive 100 Shares 0.52% +900 874 38 out of 874 to receive 100 Shares 0.48% +1,000 8,505 381 out of 8,505 to receive 100 Shares 0.45% +1,500 2,514 130 out of 2,514 to receive 100 Shares 0.34% +2,000 2,125 121 out of 2,125 to receive 100 Shares 0.28% +2,500 1,454 90 out of 1,454 to receive 100 Shares 0.25% +3,000 1,418 93 out of 1,418 to receive 100 Shares 0.22% +3,500 1,009 70 out of 1,009 to receive 100 Shares 0.20% +4,000 1,259 92 out of 1,259 to receive 100 Shares 0.18% +4,500 920 70 out of 920 to receive 100 Shares 0.17% +5,000 1,991 157 out of 1,991 to receive 100 Shares 0.16% +6,000 1,587 133 out of 1,587 to receive 100 Shares 0.14% +7,000 1,367 121 out of 1,367 to receive 100 Shares 0.13% +8,000 1,191 111 out of 1,191 to receive 100 Shares 0.12% +9,000 942 91 out of 942 to receive 100 Shares 0.11% +10,000 5,288 531 out of 5,288 to receive 100 Shares 0.10% + + +--- page 15 --- +15 + +20,000 3,418 438 out of 3,418 to receive 100 Shares 0.06% +30,000 2,480 366 out of 2,480 to receive 100 Shares 0.05% +40,000 1,710 279 out of 1,710 to receive 100 Shares 0.04% +50,000 1,387 245 out of 1,387 to receive 100 Shares 0.04% +60,000 2,484 467 out of 2,484 to receive 100 Shares 0.03% + +160,225 + +Total number of Pool A successful applicants: +6,800 + + + +POOL B + +70,000 4,235 + +1,503 out of 4,235 to receive 100 Shares 0.05% +80,000 1,293 493 out of 1,293 to receive 100 Shares 0.05% +90,000 748 304 out of 748 to receive 100 Shares 0.05% +100,000 2,337 1,007 out of 2,337 to receive 100 Shares 0.04% +150,000 1,188 638 out of 1,188 to receive 100 Shares 0.04% +200,000 836 526 out of 836 to receive 100 Shares 0.03% +250,000 511 363 out of 511 to receive 100 Shares 0.03% +300,000 360 282 out of 360 to receive 100 Shares 0.03% +350,000 203 173 out of 203 to receive 100 Shares 0.02% +400,000 206 189 out of 206 to receive 100 Shares 0.02% +450,000 109 107 out of 109 to receive 100 Shares 0.02% +500,000 204 +100 Shares plus 7 out of 204 to receive additional +100 Shares 0.02% +600,000 137 +100 Shares plus 20 out of 137 to receive +additional 100 Shares 0.02% +680,000 692 +100 Shares plus 155 out of 692 to receive +additional 100 Shares 0.02% + +13,059 + +Total number of Pool B successful +applicants: 6,618 + + +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 in respect of which consents have been + + +--- page 16 --- +16 + +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 Offer Price in addition to any brokerage, AFRC transaction levy, SFC +transaction levy and Stock Exchange trading fee payable. + +OTHERS / ADDITIONAL INFORMATION + +Placing to connected clients with prior consents under paragraph 1C(1) of the Placing Guidelines + +The Company has applied to the Stock Exchange for, and the Stock Exchange has granted, consent s +under paragraph 1C(1) of the Placing Guidelines to permit certain Offer Shares to be placed to +connected clients of connected distributor s under the International Offering pursuant to the Placing +Guidelines. Details of the placement to connected client s are set out below. The allocation of Offer +Shares to such connected client s is in compliance with all the conditions under the consent s granted +by the Stock Exchange. Please also refer to the section headed “Allotees with Consent s Obtained” in +this announcement for details. + +Connected Clients holding the beneficial interest of the Offer Shares on behalf of independent third +parties + +Connected +Distributor +Connected +Client +Relationship +with the +Connected +Distributor +Whether the +connected +client will +hold +beneficial +interests of +Offer Shares +on a -non +discretionary +or +discretionary +basis for +independent +third parties +Number of +Offer +Shares to be +allocated to +the +connected +client +Appropriate +percentage +of total +number of +Offer +Shares +(assuming +the Over - +allotment +Option is +not +exercised) +Approximate +percentage +of total +issued share +capital in the +Company +upon Listing +(assuming +the Over - +allotment +Option is not +exercised) +CLSA +Limited +(“CLSA”) +CSI CSI is a +member of +the same +group of +companies as +CLSA +Non- +discretionary +basis +213,000 1.57% 0.29% +Shanxi +Securities +International +Limited +("SSI") Note 2 +SSIAM Both SSI and +SSIAM are +ultimately +controlled by +Shanxi +Discretionary +basis +244,400 1.80% 0.33% + + +--- page 17 --- +17 + +Connected +Distributor +Connected +Client +Relationship +with the +Connected +Distributor +Whether the +connected +client will +hold +beneficial +interests of +Offer Shares +on a -non +discretionary +or +discretionary +basis for +independent +third parties +Number of +Offer +Shares to be +allocated to +the +connected +client +Appropriate +percentage +of total +number of +Offer +Shares +(assuming +the Over - +allotment +Option is +not +exercised) +Approximate +percentage +of total +issued share +capital in the +Company +upon Listing +(assuming +the Over - +allotment +Option is not +exercised) +Securities +International +Financial +Holdings +("SSIFH"). + +Notes: + +(1) CSI will act as the single counterparty of a back-to-back total return swap transaction (the “CSI Back +to-back TRS”) to be entered into by CSI in connection with a total return swap order (the “CSI Client +TRS”) placed and fully funded by its ultimate clients (the “CSI Ultimate Client(s)”), by which CSI will +pass the full economic exposure of the Offer Shares placed to CSI to the CSI Ultimate Clients. CSI will +hold the beneficial interest of the Offer Shares on behalf of the CSI Ultimate Client on a non - +discretionary basis. The CSI Ultimate Client may exercise an early termination right to early terminate +the CSI Client TRS at any time from the trade date of the CSI Client TRS which should be on or after +the date on which the Offer Shares are listed on the Stock Exchange. Upon the final maturity or +termination of the CSI Client TRS by the CSI Ultimate Client, CSI will dispose of the Offer Shares on +the secondary market and the CSI Ultimate Client will rece ive a final termination amount of the CSI +Back-to-back TRS which should have taken into account all the economic returns or economic loss in +relation to the Offer Shares and the fixed amount of transaction fees of the CSI Back-to-back TRS and +the CSI Client TRS. CSI will not exercise the voting right of the Offer Shares during the terms of the +CSI Back-to-back TRS. CSI is not a collective investment scheme which is not authorized by the SFC, +or is expected to hold the Offer Shares on behalf of such scheme. + +The details of the CSI Ultimate Clients are as follows: + +Name of CSI Ultimate +Client +Limited Partner/ +Shareholding +holding 30% or +more in the CSI +Ultimate Clients +Fund Manager/ +General Partner +Ultimate beneficial +owners of Fund +Manager / General +Partner +Liangpai Exclusive Fund +No. 43 Private Securities +Investment Fund (量派 +專享四十三號私募證券 +投資基金) +Sun Lin (孫林) Shanghai QuantPi +Investment Limited +(上海量派投資管理有限 +公司) +Sun Lin (孫林) and Yu +Hang (余航) +Canaan China Flagship +Fund +Liang Hao N/A N/A +Hover4pi Fund I OFC N/A Hover4pi Capital He Hui + + +--- page 18 --- +18 + +Name of CSI Ultimate +Client +Limited Partner/ +Shareholding +holding 30% or +more in the CSI +Ultimate Clients +Fund Manager/ +General Partner +Ultimate beneficial +owners of Fund +Manager / General +Partner +Management +Tongyi Taoli No. 1 +Private Securities +Investment Fund (通怡 +桃李1號私募證券投資 +基金) +Wang Jing (王靜) Shanghai Tongyi +Investment Management +Co., Ltd. (上海通怡投資 +管理有限公司) +Chu Yibo (儲貽波) +Tongyi Taoli No. 10 +Private Securities +Investment Fund (通怡 +桃李10號私募證券投資 +基金) +N/A Shanghai Tongyi +Investment Management +Co., Ltd. (上海通怡投資 +管理有限公司) +Chu Yibo (儲貽波) +Heyi Xuehu No. 1 +Private Securities +Investment Fund (合易 +雪湖1號私募證券投資 +基金) +N/A Beijing Heyi Yingtong +Asset Management Co., +Ltd (北京合易盈通資產 +管理有限公司) +Liu Zhe (劉喆) and Liu +Yang (劉洋) +Evolution Darwin +Shangshan No. 3 Private +Securities Investment +Fund (進化論達爾文上 +善三號私募證券投資基 +金) +N/A Hainan Evolution Asset +Management Co., LTD (海 +南進化論私募基金管理 +有限公司) +Wang Yiping (王一平) +Heijing Capital +Management Co., Ltd. +(黑晶資本管理有限公 +司) +Li Chuxin (李出新) +and Shao Yukai (邵 +宇開) +N/A N/A + +To the best knowledge of CSI and after making all reasonable enquiries, each of the CSI Ultimate +Clients is an independent third party of the Company, its subsidiaries and substantial shareholders, +CSI, CLSA and the companies which are members of the same group of CLSA. + +(2) SSI is a non-syndicate distributor in relation to the Global Offering. In relation to the subscription, +SSIAM shall hold the Offer Shares in its capacity as the discretionary fund manager on behalf of its +investor holding over 30% interest (the " SSIAM Ultimate Client "). SSIAM is not a collective +investment scheme which is not authorised by the SFC or is expected to hold the Offer Shares on +behalf of such scheme. The SSIAM Ultimate Client is Zeng Jinjing (曾金晶). To the best knowledge +of SSIAM, the SSIAM Ultimate Client is an independent third party of the Company, its subsidiaries, +its substantial shareholders, SSIFH and the companies which are members of the same group of +companies as SSIFH. + +Placing to a close associat e of existing Shareholder s as placee with a prior consent under +paragraph 1C(2) of the Placing Guidelines + +The Company has applied to the Stock Exchange, and the Stock Exchange has granted, a consent under +paragraph 1C(2) of the Placing Guidelines to permit the Company to allocate such Offer Shares in the +International Offering to Wealth Shine, a close associate of Ruiji Phase III and Ruiji Phase X (the +"Existing Shareholders "), each an existing Shareholder, on the following grounds which are +consistent with the conditions as set out in Paragraph 18 of Chapter 2.3 and Chapter 4.15 of the Guide + + +--- page 19 --- +19 + +for New Listing Applicant: + +(1) the Company will comply with the public float requirement under Rule 19A.13A of the Listing +Rules and the free float requirement under Rule 19A.13C of the Listing Rules; + +(2) no preference in allocation has been, nor will be, given to Wealth Shine as a placee by virtue +of being a close associate of the Existing Shareholders in any allocation in the placing tranche +of the Global Offering; + +(3) each of the Company, the Sole Sponsor and the Sole Overall Coordinator has provided the +Stock Exchange with written confirmations in accordance with Chapters 2.3 and 4.15 of the +Guide; and + +(4) the relevant information in respect of the allocation to Wealth Shine as a placee has been +disclosed in this allotment results announcement. + +Such allocation of Offer Shares is in compliance with all the conditions under the consent granted by +the Stock Exchange. + + +--- page 20 --- +20 + +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). This announcement does not const itute 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 Sec urities 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 unles s in compliance with +Regulation S under 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. +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 June 12, 2026 issued by HJ Science Co., Ltd. for detailed +information about the Global Offering described below before deciding whether or not to invest in +the H Shares thereby being offered. +*Potential investors of the Offer Shares should note that the Sole Sponsor and the Sole Overall +Coordinator (acting in such capacity and as the Underwriter and the Capital Market Intermediary) +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 — 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 (which is currently expected to be on June +23, 2026). + + +--- page 21 --- +21 +PUBLIC FLOAT AND FREE FLOAT +Immediately after the completion of the Global Offering (before any exercise of the Over-allotment +Option), an aggregate of 39,106,162 H Shares, representing 53.13% of the total issued Shares upon +the Listing which is higher than the prescribed percentage of H Shares required to be held in public +hands of 25% under Rule 19A.13A(1) of the Listing Rules, will be counted towards the public +float. Hence, the Company will be able to comply with Rule 19A.13A(1) of the Listing Rules. +Pursuant to the applicable PRC law, within the 12 months following the Listing Date, all existing +Shareholders (including the Pre-IPO Investors) cannot dispose of any of the Shares held by them. +Pursuant to the relevant cornerstone investment agreements, each Cornerstone Investor has agreed +to a lock-up period of six months following the Listing Date. As such, the H Shares held by the +existing Shareholders and the Cornerstone Investors upon the Listing shall not be counted towards +the free float of the H Shares of the Company at the time of Listing. Based on the Offer Price of +HK$81.80 per Offer Share, the expected market value of the H Shares held by the public and not +subject to disposal restrictions exceeds HK$600,000,000. Therefore, the Company will comply +with the free float requirement under Rule 19A.13C(1)(b) of the Listing Rules. +The Directors confirm that, immediately following completion of the Global Offering (assuming +the Over-allotment Option is not exercised): (i) no placee will, individually, be placed more than +10% of the enlarged issued share capital of the Company immediately after the Global Offering; +(ii) there will not be any new substantial Shareholder under the Listing Rules immediately after the +Global Offering; (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 Tuesday, June +23, 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. +Assuming that the Global Offering becomes unconditional at or before 8:00 a.m. on Tuesday, June +23, 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 Tuesday, June 23, 2026 (Hong Kong time). The H Shares will be +traded in board lots of 100 H Shares each, and the stock code of the H Shares will be 6132. +By order of the Board +HJ Science Co., Ltd. +Dr. Ji Jianxin +Executive Director, chairman of the Board, +chief executive officer and general manager +Hong Kong, June 22, 2026 +As at the date of this announcement, the executive Directors are Dr. Ji Jianxin, Mr. Yang Xiangyu, +Mr. Wu Zhen and Ms. Zhang Yao; the non-executive Directors are Ms. Geng Xueli, Mr. Du +Jiangbo, Mr. Wang Junfeng and Mr. Zhang Zhiyong; and the independent non-executive Directors +are Mr. Wong Jovi Chi Wing, Mr. Jiang He, Ms. Lin Fangzhu and Mr. Liu Zhe. diff --git a/data/hk_ipo.sqlite b/data/hk_ipo.sqlite index 39d96d7..026818b 100644 Binary files a/data/hk_ipo.sqlite and b/data/hk_ipo.sqlite differ diff --git a/data/raw/01392/price_history_yahoo_2026-06-19_2026-06-22.json b/data/raw/01392/price_history_yahoo_2026-06-19_2026-06-22.json new file mode 100644 index 0000000..bc56df3 --- /dev/null +++ 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