ࡱ> g bjbjVV r<r<:(0*****+++8F+*,+@,,,,,/.0/D/ ???????$CPFN@]*P/."/P/P/@**,, d@~1~1~1P/*,*,?~1P/?~1~1r9T:,5/M:?z@0@[:F0F:F*:P/P/~1P/P/P/P/P/@@~1P/P/P/@P/P/P/P/FP/P/P/P/P/P/P/P/P/ ): Hong Kong Exchanges and Clearing Limited and The Stock Exchange of Hong Kong 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.q\qge兡N gPlQSShandong Xinhua Pharmaceutical Company Limited(a joint stock company established in the People s Republic of China with limited liability)(Stock Code: 0719)ANNOUNCEMENT ON THE ADJUSTMENTSTO THE PROPOSED NON-PUBLIC ISSUANCE OF A SHARESReference is made to the circular (the Circular) of Shandong Xinhua Pharmaceutical Company (the Company) dated 14 December 2015 and the announcements, supplemental circular and disclosures of the Company since 8 October 2015 in relation to the proposed non-public issuance and placing of A Shares of the Company (the Proposed Placing). Unless otherwise indicated, the capitalised terms used in this announcement shall have the same meaning as those defined in the Circular.In the fourth extraordinary meeting of the eighth session of the Board for the year 2016 (the Meeting), the Board considered and approved, among other things, the following adjustments (collectively, the Adjustments) to the Proposed Placing.ADJUSTMENTS TO THE SUBSCRIPTION PRICE AND THE NUMBER OF NEW A SHARES TO BE ISSUED AS A RESULT OF THE 2015 PROFIT DISTRIBUTION PLANAs disclosed in the Circular, not more than 77,000,000 A Shares, representing total gross proceeds of approximately RMB 720.72 million, will be issued by the Company under the Proposed Placing. It was disclosed in the Circular that, if there is any ex-dividend or ex-rights event (such as distribution of dividend, bonus issuance or capitalisation of capital reserves) to the Company between the Price Determination Date and the date of issuance of A Shares under the Proposed Placing, the Subscription Price and the number of A Shares to be issued by the Company under the Proposed Placing shall be adjusted in accordance with the Price Adjustment and the Share Adjustment respectively.As disclosed in the announcement of the Company dated 24 March 2016, the number of A Shares to be issued and the total gross proceeds under the Proposed Placing were reduced to 67,000,000 Shares and RMB627.12 million respectively in view of the termination of the SKS Assets Management Limited Subscription Agreement.The profit distribution plan and the declaration of final dividend of the Company for the year 2015 were considered and approved at the annual general meeting of the Company on 29 June 2016, pursuant to which the Company had distributed a final dividend of RMB0.02 (tax included) per Share, based on the total numbers of issued Shares at the end of year 2015 (457,312,830 Shares). Price AdjustmentUpon completion of the 2015 profit distribution plan of the Company, the Subscription Price and the number of A Shares to be issued under the Proposed Placing will be adjusted in accordance with the with the Price Adjustment as follows:Adjusted Subscription Price = Subscription Price dividend per Share = RMB 9.36 per A Share RMB0. 02 per Share = RMB 9.34 per A ShareShare AdjustmentBefore the abovementioned Price Adjustment, 67,000,000 A Shares were expected to be issued by the Company under the Proposed Placing. As a result of the abovementioned Price Adjustment, the number of A Shares to be issued under the Proposed Placing will be adjusted to 67,143,466 A Shares in accordance with the Share Adjustment, the calculation of which is set out as follows:Number of A Shares to be issued after adjustment to the Subscription Price =Subscription amount prior to the Share Adjustment adjusted Subscription Price=RMB627,120,000 / RMB 9.34=67,143,466 Shares (rounded down to the nearest Share)As a result of the abovementioned Price Adjustment and Share Adjustment, the number of A Shares to be issued to each of the subscribers upon completion of the Proposed Placing will be, for illustrative purposes only, as follows:Subscription amountNumber of new A Shares to be subscribedPercentage of the total numbers of Shares in issue upon completion of the Proposed PlacingNo.SubscriberOriginal subscription amount (RMB)After adjustment as a result of 2015 profit distribution plan (RMB)Original new A Shares to be subscribed (Share)After adjustment as a result of 2015 profit distribution plan (Share) Original percentage (%)Note1After adjustment as a result of 2015 profit distribution plan (%)Note21Employee Stock Ownership Scheme35,047,58435,047,5843,744,4003,752,4170.710.722SJY Industrial Fund LLP199,929,600199,929,60021,360,00021,405,7384.074.083BXC Fund / SNOTnj"u{t gPlQSyRbnj1_Wё(BXC Assets Management Limited Private Investment Fund No.1*) Note3199,929,600199,929,60021,360,00021,405,7384.074.084CBR Fund / ͑va[doyRbnj1_Wё (CBR PI Fund No.1*) Note4192,213,216192,213,21620,535,60020,579,5733.923.92Total627,120,000627,120,00067,000,00067,143,46612.78%12.80%Notes:Before the Price Adjustment and the Share Adjustment consequent on the 2015 profit distribution plan of the Company, the total number of Shares in issue upon completion of the Proposed Placing would have been 524,312,830 Shares.After the Price Adjustment and the Share Adjustment consequent on the 2015 profit distribution plan of the Company, the total number of Shares in issue upon completion of the Proposed Placing is expected to be 524,456,296 Shares.As disclosed in the Circular, BXC Assets Management Limited will establish a fund (defined as BXC Fund in the Circular) to subscribe for the specified amount of A Shares to be issued under the Proposed Placing in accordance to the BXC Assets Management Limited Subscription Agreement; On 27 July 2016, BXC Assets Management Limited Private Investment Fund No.1 (BXC PI Fund No.1) was established for this purpose..As disclosed in the Circular, CBR Investment Fund Management Limited will establish a fund (defined as CBR Fund in the Circular) to subscribe for the specified amount of A Shares to be issued under the Proposed Placing in accordance to the CBR Investment Fund Management Limited Subscription Agreement; on 7 September 2016, CBR PI Fund No.1 (together with Employee Stock Ownership Scheme, SJY Industrial Fund LLP and BXC PI Fund No. 1, collectively the Subscribers) was established for this purpose.ADJUSTMENT OF THE PRICE ADJUSTMENT MECHANISM AND SHARE ADJUSTMENT MECHANISM AT THE REQUEST OF CSRCThe Board has in response to the request of CSRC resolved at the Meeting to adopt a supplemental measure in respect of Price Adjustment mechanism and Share Adjustment mechanism as follows:Price Adjustment mechanismWhere the Subscription Price is less than 70% of the average trading price (the 20-day Average Trading Price) per A Share for the 20 trading days prior to the first day of the issuance period (the First Issuance Day) of the new A Shares under the Proposed Placing, the Subscription Price will be adjusted to a level that is equivalent to 70% of the 20-day Average Trading Price (the 20-Day Average Trading Price will be the quotient of the total transaction value of A Shares for the 20 trading days prior to the First Issuance Day divided by the total trading volume of A Shares for the 20 trading days prior to the First Issuance Day). Share adjustment mechanismWhere the Subscription Price is less than 70% of the 20-day Average Trading Price prior to the First Issuance Day, the Subscription Price will be adjusted to 70% of the 20-day Average Trading Price in accordance with the Price Adjustment and the number of new A Shares to be issued under the Proposed Placing will be adjusted accordingly (number of new A Shares to be issued under the Proposed Placing will be the quotient of the subscription amount divided by the Subscription Price after Price Adjustment).OTHERSSave as disclosed in this announcement, there are no other changes to the Proposed Placing. The Adjustments are for the purposes of reflecting the impact of the 2015 profit distribution plan of the Company, responding to the regulatory updates of the CSRC and avoiding the possibility of serious deviation of the Subscription Price from the market price of the Shares and do not involve any material amendments to the Proposed Placing. All Directors who are interested in the Proposed Placing have not voted in the Meeting.For the purpose of reflecting the Adjustments, the Plan of the Non-Public Issuance of A Shares of the Company, the draft Employee Stock Ownership Scheme, the Feasibility Report on the Use of Proceeds from the Proposed Placing and the Remedial Measures in Relation to Dilution on Current Returns by the Proposed Placing will be updated and supplemental agreements to the Employee Scheme Subscription Agreement, the SJY Industrial Fund LLP Subscription Agreement, BXC Assets Management Limited Subscription Agreement and CBR Investment Fund Management Limited Subscription Agreement will be entered into between the Company and each of the respective Subscribers. The Proposed Placing is conditional on, amongst things, the obtainment of the approvals of CSRC and the State-owned Assets Supervision and Administration Commission of Shandong Provincial Peoples Government. 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