Monthly Return of Equity Issuer on Movements in Securities

For the month ended (dd/mm/yyyy) :

30/09/2017

To : Hong Kong Exchanges and Clearing Limited

Name of Issuer

Longfor Properties Co. Ltd.

Date Submitted

06/10/2017

  1. Movements in Authorised Share Capital

    1. Ordinary Shares

      (1) Stock code :

      960

      Description :

      No. of ordinary shares

      Par value

      (State currency)

      Authorised share capital

      (State currency)

      Balance at close of preceding month

      10,000,000,000

      HK$0.10

      HK$1,000,000,000

      Increase/(decrease)

      Nil

      Nil

      Balance at close of the month

      10,000,000,000

      HK$0.10

      HK$1,000,000,000

      (2) Stock code :

      Description :

      No. of ordinary shares

      Par value

      (State currency)

      Authorised share capital

      (State currency)

      Balance at close of preceding month

      N/A

      Increase/(decrease)

      Balance at close of the month

    2. Preference Shares

      Stock code :

      Description :

      No. of preference shares

      Par value

      (State currency)

      Authorised share capital

      (State currency)

      Balance at close of preceding month

      N/A

      Increase/(decrease)

      Balance at close of the month

    3. Other Classes of Shares

      Stock code :

      Description :

      No. of other classes of shares

      Par value

      (State currency)

      Authorised share capital

      (State currency)

      Balance at close of preceding month

      N/A

      Increase/(decrease)

      Balance at close of the month

      Total authorised share capital at the end of the month (State currency) :

      HK$1,000,000,000

    4. Movements in Issued Share Capital

      Balance at close of preceding month

      No. of ordinary shares

      No of preference shares

      No. of other classes of shares

      (1)

      (2)

      5,891,933,605

      N/A

      N/A

      N/A

      Increase/ (decrease) during the month

      4,634,000

      N/A

      N/A

      N/A

      Balance at close of the month

      5,896,567,605

      N/A

      N/A

      N/A

    5. Details of Movements in Issued Share Capital

    6. Share Options (under Share Option Schemes of the Issuer)

      Particulars of share option scheme including EGM

      approval date (dd/mm/yyyy) and

      class of shares issuable

      Movement during the month

      No. of new shares of issuer issued during the month pursuant thereto

      No. of new shares of issuer which may be issued pursuant thereto as at close of the month

      Granted

      Exercised

      Cancelled

      Lapsed

      1. Post-IPO

      Nil

      Nil

      Nil

      Nil

      Nil

      400,000

      Share Option

      Scheme

      Granted on 23/12/2009

      Exercise price: HK$8.44

      (01 /11/2009)

      Ordinary shares

      (Note 1)

      12,040,000

      2. Post-IPO

      Nil

      1,651,000

      Nil

      Nil

      1,651,000

      Share Option

      Scheme

      Granted on 17/01/2011

      Exercise price: HK$12.528 (01/11/2009)

      Ordinary shares

      (Note 1)

      63,858,500

      3. Post-IPO

      Nil

      1,450,000

      Nil

      Nil

      1,450,000

      Share Option

      Scheme

      Granted on 28/09/2011

      Exercise price: HK$8.28 (01/11/2009)

      Ordinary shares

      (Note 1)

      89,322,000

      4. Post-IPO

      Nil

      1,533,000

      Nil

      Nil

      1,533,000

      Share Option

      Scheme

      Granted on 04/11/2014

      Exercise price: HK$9.37 (01/11/2009)

      Ordinary shares

      (Note 1)

      Total A. (Ordinary shares)

      4,634,000

      (Preference shares)

      N/A

      (Other class)

      N/A

      Total funds raised during the month from exercise of

      options (State currency) HK$ 47,053,938

      Warrants to Issue Shares of the Issuer which are to be Listed

      nominal close

      value preceding

      No. of new shares of issuer issued during the month pursuant thereto

      No. of new shares of issuer which may be issued pursuant thereto as at close of the month

      Description of warrants

      (Date of expiry - dd/mm/yyyy)

      1. N/A

      ( / / )

      Stock code (if listed)

      Class of shares

      issuable (Note 1)

      Subscription price

      EGM approval date (if applicable)

      (dd/mm/yyyy)

      ( / / )

      2.

      ( / / )

      Stock code (if listed)

      Class of shares

      issuable (Note 1)

      Subscription price

      EGM approval date (if applicable)

      (dd/mm/yyyy)

      ( / / )

      3.

      ( / / )

      Stock code (if listed)

      Class of shares

      issuable (Note 1)

      Subscription price

      EGM approval date (if applicable)

      (dd/mm/yyyy)

      ( / / )

      4.

      ( / / )

      Stock code (if listed)

      Class of shares

      issuable (Note 1)

      Subscription price

      EGM approval date (if applicable)

      (dd/mm/yyyy)

      ( / / )

      Total B. (Ordinary shares)

      (Preference shares)

      (Other class)

    Longfor Properties Co. Ltd. published this content on 06 October 2017 and is solely responsible for the information contained herein.
    Distributed by Public, unedited and unaltered, on 06 October 2017 09:54:06 UTC.

    Original documenthttp://www.longfor.com/upload/file/2017-10-06/1f8e26ea-3bfd-46f7-97f8-1042fb36ecd9.pdf

    Public permalinkhttp://www.publicnow.com/view/D4A861266F91A0B871F04FA93C8851DC1F6FF829