INARI-HA

0.055

(%)

Structured Warrants - Final Settlement

INARI-HA: PW INARI AMERTRON BERHAD (MIBB)

Description
MAYBANK INVESTMENT BANK BERHAD ("MAYBANK IB") 
	
EXPIRY OF EUROPEAN STYLE NON-COLLATERALISED CASH SETTLED PUT WARRANTS OVER THE ORDINARY SHARES OF INARI AMERTRON BERHAD ("INARI") ("INARI SHARE(S)") ("INARI-HA")
Instrument Type PUT WARRANTS
Exercise Style European
Settlement Type Cash
Date & Time of Expiry 21 Nov 2022 09:00 AM
Securities Debiting Date
Settlement Indicator In the money
Cash Entitlement
Cash Settlement Amount (Per Unit) Malaysian Ringgit (MYR) 0.0580
Payment Date 30 Nov 2022

We wish to announce that INARI-HA expired at 9.00 a.m. on 21 November 2022 ("Expiry Date") and the Cash Settlement Amount shall be calculated as set out below.
Cash Settlement Amount
= Number of INARI-HA x (1/Entitlement) x (Exercise Price - Settlement Price) - Exercise Expenses*
= Number of INARI-HA x (1/5) x (RM2.8800 - RM2.5901) - Exercise Expenses*
= Number of INARI-HA x RM0.0580 - Exercise Expenses*
* Exercise Expenses for every one (1) unit of structured warrants is equivalent to 0.3% of 1/Entitlement x (Exercise Price - Settlement Price). The Exercise Expenses are subject to tax or duties which are incurred in respect of or in connection with the exercise of Structured Warrants and includes without limitation to any sales or service tax (and includes any value added, consumption, goods and services or other tax imposed by the government on goods and services in Malaysia).
The Settlement Price of RM2.5901 is the arithmetic mean of volume weighted average market price of INARI Shares for five (5) market days prior to and including the market day immediately before the Expiry Date. The structured warrants shall be automatically exercised at 9.00 a.m. on the Expiry Date if the Cash Settlement Amount is greater than zero. If the Cash Settlement Amount is less than or equal to zero all structured warrants shall be deemed to have expired on the Expiry Date and all rights of the warrantholders and our obligations with respect to such structured warrants shall cease and the warrantholders shall not be entitled to receive any payment from us in respect of the structured warrants.
The Cash Settlement Amount (if any) shall be paid, by cheque drawn in favour of the warrantholder or such other mode as may be approved by Bursa Malaysia Securities Berhad and determined by us, subject to any postponement of the valuation dates resulting from any market disruption event or any postponement arising from any settlement disruption event, no later than seven (7) market days following the Expiry Date. For the avoidance of doubt, warrantholders shall not be required to pay or top-up the Exercise Expenses, as the case may be, where the Cash Settlement Amount is less than zero.



Announcement Info

Company Name INARI-HA: PW INARI AMERTRON BERHAD (MIBB)
Stock Name INARI-HA
Date Announced 21 Nov 2022
Category Structured Warrants - Final Settlement
Reference Number SWF-21112022-00034
Corporate Action ID MY221121EXWA0034