NEW ISSUE OF SECURITIES (CHAPTER 6 OF LISTING REQUIREMENTS) : FUND RAISING PTT SYNERGY GROUP BERHAD ("PTT" OR "COMPANY") PRIVATE PLACEMENT OF UP TO 43,216,216 NEW ORDINARY SHARES IN PTT ("PTT SHARES" OR "SHARES"), REPRESENTING UP TO ABOUT 10.0% OF THE TOTAL ISSUED PTT SHARES ("PRIVATE PLACEMENT")
| PTT SYNERGY GROUP BERHAD |
| Type | Announcement |
| Subject | NEW ISSUE OF SECURITIES (CHAPTER 6 OF LISTING REQUIREMENTS) FUND RAISING |
| Description | PTT SYNERGY GROUP BERHAD ("PTT" OR "COMPANY")
PRIVATE PLACEMENT OF UP TO 43,216,216 NEW ORDINARY SHARES IN PTT ("PTT SHARES" OR "SHARES"), REPRESENTING UP TO ABOUT 10.0% OF THE TOTAL ISSUED PTT SHARES ("PRIVATE PLACEMENT") |
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We refer to the previous announcements dated 17 November 2025, 28 November 2025 and 2 December 2025 in relation to the Private Placement. Unless otherwise stated, the terms used herein shall have the same meanings as defined in the said announcements.
On behalf of the Board, AmInvestment Bank wishes to announce that the Board had on 5 December 2025 (“Price Fixing Date”) fixed the issue price for the first (1st) tranche of the Private Placement comprising up to 5,400,000 PTT Shares at RM1.30 each (“Issue Price”).
The Issue Price represents a discount of about RM0.0650 or 4.76% to the five (5)-day volume weighted average market price of PTT Shares up to and including 4 December 2025, being the last market day immediately preceding the Price Fixing Date, of RM1.3650 per PTT Share.
This announcement is dated 5 December 2025. |
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Announcement Info
| Company Name | PTT SYNERGY GROUP BERHAD |
| Stock Name | PTT |
| Date Announced | 05 Dec 2025 |
| Category | General Announcement for PLC |
| Reference Number | GA1-05122025-00024 |