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Tue 9 Nov 2010, 9:19 FSE - Firestone Energy Limited - Appendix 3B - New issue announcement
FSE
FSE                                                                             
FSE - Firestone Energy Limited - Appendix 3B - New issue announcement,          
application for quotation of additional securities and agreement                
FIRESTONE ENERGY LIMITED                                                        
(formerly Centralian Minerals Limited)                                          
(Registration number: ABN 058 436 794)                                          
(SA company registration number: 200/023973/10)                                 
Share code on the JSE: FSE                                                      
Share code on the ASX: FSE                                                      
ISIN: AU000000FSE6                                                              
("FSE" or "the Company")                                                        
Appendix 3B                                                                     
New issue announcement,                                                         
application for quotation of additional securities and agreement                
Information or documents not available now must be given to ASX as soon as      
available.  Information and documents given to ASX become ASX`s property and may
be made public.                                                                 
Introduced 1/7/96.  Origin: Appendix 5.  Amended 1/7/98, 1/9/99, 1/7/2000,      
30/9/2001, 11/3/2002, 1/1/2003, 24/10/2005.                                     
Name of entity                                                                  
Firestone Energy Limited                                                        
ABN                                                                             
71 058 436 794                                                                  
We (the entity) give ASX the following information.                             
Part 1  All issues                                                              
You must complete the relevant sections (attach sheets if there is not enough   
space).                                                                         
1  +Class of +securities issued or to     Ordinary Fully paid Shares            
be issued                                                                     
                                                                                
                                                                                
2  Number  of +securities issued or to    39,411,766                            
be issued (if known) or maximum                                               
  number which may be issued                                                    
                                                                                
                                                                                
3  Principal terms of the +securities     Ordinary shares issued upon           
  (eg, if options, exercise price and    conversion of convertible notes.       
  expiry date; if partly paid                                                   
  +securities, the amount outstanding    10,000,000 shares at 2.00 cents        
and due dates for payment; if          per share                              
  +convertible securities, the           29,411,766 shares at 2.04 cents        
  conversion price and dates for         per share                              
  conversion)                                                                   

  Do the +securities rank equally in     Yes shares rank equally in all         
  all respects from the date of          respects.                              
  allotment with an existing +class of                                          
quoted +securities?                                                           
                                                                                
  If the additional securities do not                                           
  rank equally, please state:                                                   
the date from which they do                                                   
  the extent to which they participate                                          
  for the next dividend, (in the case                                           
  of a trust, distribution) or                                                  
interest payment                                                              
  the extent to which they do not rank                                          
  equally, other than in relation to                                            
  the next dividend, distribution or                                            
interest payment                                                              
                                                                                
5  Issue price or consideration           10,000,000 shares at 2.00 cents       
                                         per share                              
29,411,766 shares at 2.04 cents        
                                         per share                              
                                                                                
                                                                                
6  Purpose of the issue                   Conversion of convertible notes       
  (If issued as consideration for the                                           
  acquisition of assets, clearly                                                
  identify those assets)                                                        

                                                                                
                                                                                
                                                                                
7   Dates of entering             9 November 2010                               
   +securities into                                                             
   uncertificated holdings or                                                   
   despatch of certificates                                                     

                                                                                
                                 Number       +Class                            
                                                                                
8   Number and +class of all      2,400,712,2  Ordinary fully paid shares       
   +securities quoted on ASX     30           (FSE)                             
   (including the securities in                                                 
   clause 2 if applicable)                                                      

                                                                                
                                                                                
                        Number                  +Class                          
9   Number and +class    Unlisted Options        Unlisted Options               
   of all +securities                           Exercise     Expiry             
   not quoted on ASX    30,000,000  FSEAK       5 cents   30 Nov 12             
   (including the       110,000,000 FSEAM       6 cents   31 May 13             
securities in        96,904,767  FSEAO       6 cents   30 Jun 13             
   clause 2 if          25,875,000 FSEAI        6 cents   30 Jun 14             
   applicable)                                                                  
                        Unlisted Convertible    Conversion number-              
Notes                   Variable  per Note              
                                                Repayment dates -               
                        Con Note 1 - 12 FSEAQ   2 October 2012                  
                        Con Note 2 - 3   FSEAS  16 November 2012                
Con Note 3 - 3   FSEAU  18 December 2012                
                        Con Note 4 - 3   FSEAY  21 January 2013                 
                        Con Note 5- 3    FSEAW  23 February 2013                
                        Con Note 6 - 3  FSEAZ   23 March 2013                   
Con Note 7 - 3 FSEAA    30 April 2010                   
                        Con Note 8 -  1 x       04 June 2013                    
                        ($500k)                 04 June 2013                    
                                                13 July 2013                    
4 x ($100k)             24 August 2013                  
                        Con Note 9 -  9 x       8 November 2013                 
                        ($100k)                                                 
                        Con Note 11 -  6 x                                      
($100k)                                                 
                        Con Note 13 -  6 x                                      
                        ($100k)                                                 
                                                                                

10  Dividend policy (in  Company may pay dividends to ordinary                  
   the case of a        shareholders as the Directors resolve.                  
   trust, distribution                                                          
policy) on the                                                               
   increased capital                                                            
   (interests)                                                                  
Part 2   Bonus issue or pro rata issue                                          
11  Is security holder approval required?                   N/A                 
                                                                                
                                                                                
12  Is the issue renounceable or non-renounceable?          N/A                 

13  Ratio in which the +securities will be offered          N/A                 
                                                                                
14  +Class of +securities to which the offer relates        N/A                 

15  +Record date to determine entitlements                  N/A                 
                                                                                
16  Will holdings on different registers (or subregisters)  N/A                 
be aggregated for calculating entitlements?                                  
                                                                                
17  Policy for deciding entitlements in relation to         N/A                 
   fractions                                                                    

                                                                                
18  Names of countries in which the entity has +security    N/A                 
   holders who will not be sent new issue documents                             
Note: Security holders must be told how their                                
   entitlements are to be dealt with.                                           
   Cross reference: rule 7.7.                                                   
                                                                                
19  Closing date for receipt of acceptances or              N/A                 
   renunciations                                                                
                                                                                
20  Names of any underwriters                               N/A                 

                                                                                
                                                                                
21  Amount of any underwriting fee or commission            N/A                 

22  Names of any brokers to the issue                       N/A                 
                                                                                
                                                                                

23  Fee or commission payable to the  broker to the issue   N/A                 
                                                                                
24  Amount of any handling fee payable to brokers who       N/A                 
lodge acceptances or renunciations on behalf of                              
   +security holders                                                            
                                                                                
25  If the issue is contingent on +security holders`        N/A                 
approval, the date of the meeting                                            
                                                                                
26  Date entitlement and acceptance form and prospectus or  N/A                 
   Product Disclosure Statement will be sent to persons                         
entitled                                                                     
                                                                                
27  If the entity has issued options, and the terms         N/A                 
   entitle option holders to participate on exercise, the                       
date on which notices will be sent to option holders                         
                                                                                
28  Date rights trading will begin (if applicable)          N/A                 
                                                                                
29  Date rights trading will end (if applicable)            N/A                 
                                                                                
                                                                                
                                                                                
30  How do +security holders sell their entitlements in     N/A                 
   full through a broker?                                                       
                                                                                
31  How do +security holders sell part of their             N/A                 
entitlements through a broker and accept for the                             
   balance?                                                                     
                                                                                
32  How do +security holders dispose of their             N/A                   
entitlements (except by sale through a broker)?                              
                                                                                
33  +Despatch date                                        N/A                   
                                                                                

Part 3  Quotation of securities                                                 
You need only complete this section if you are applying for quotation of        
securities                                                                      
34   Type of securities                                                         
    (tick one)                                                                  
                                                                                
(a)  X  Securities described in Part 1.                                         

(b)       All other securities                                                  
         Example: restricted securities at the end of the escrowed              
         period, partly paid securities that become fully paid,                 
employee incentive share securities when restriction ends,             
         securities issued on expiry or conversion of convertible               
         securities                                                             
Entities that have ticked box 34(a)                                             
Additional securities forming a new class of securities                         
Tick to indicate you are providing the information or documents                 
35      If the +securities are +equity securities, the names of the 20          
       largest holders of the additional +securities, and the number            
and percentage of additional +securities held by those holders           
                                                                                
36      If the +securities are +equity securities, a distribution               
       schedule of the additional +securities setting out the number of         
holders in the categories                                                
       1 - 1,000                                                                
       1,001 - 5,000                                                            
       5,001 - 10,000                                                           
10,001 - 100,000                                                         
       100,001 and over                                                         
                                                                                
37      A copy of any trust deed for the additional +securities                 
Entities that have ticked box 34(b)                                             
38  Number of securities for which +quotation is      N/A                       
   sought                                                                       
                                                                                

39  Class of +securities for which quotation is       N/A                       
   sought                                                                       
                                                                                

40  Do the +securities rank equally in all respects   N/A                       
   from the date of allotment with an existing                                  
   +class of quoted +securities?                                                

   If the additional securities do not rank                                     
   equally, please state:                                                       
   the date from which they do                                                  
the extent to which they participate for the                                 
   next dividend, (in the case of a trust,                                      
   distribution) or interest payment                                            
   the extent to which they do not rank equally,                                
other than in relation to the next dividend,                                 
   distribution or interest payment                                             
                                                                                
41  Reason for request for quotation now              N/A                       
Example: In the case of restricted securities,                               
   end of restriction period                                                    
                                                                                
   (if issued upon conversion of another security,                              
clearly identify that other security)                                        
                                                                                
                                                                                
                                                     Number      +Class         
42  Number and +class of all +securities quoted on                              
   ASX (including the securities in clause 38)                                  
                                                                                
                                                                                

Quotation agreement                                                             
1    +Quotation of our additional +securities is in ASX`s absolute discretion.  
    ASX may quote the +securities on any conditions it decides.                 
2    We warrant the following to ASX.                                           
*    The issue of the +securities to be quoted complies with the law and is not 
    for an illegal purpose.                                                     
*    There is no reason why those +securities should not be granted +quotation. 
*    An offer of the +securities for sale within 12 months after their issue    
    will not require disclosure under section 707(3) or section 1012C(6) of the 
    Corporations Act.                                                           
    Note: An entity may need to obtain appropriate warranties from subscribers  
for the securities in order to be able to give this warranty                
*    Section 724 or section 1016E of the Corporations Act does not apply to any 
    applications received by us in relation to any +securities to be quoted and 
    that no-one has any right to return any +securities to be quoted under      
sections 737, 738 or 1016F of the Corporations Act at the time that we      
    request that the +securities be quoted.                                     
*    If we are a trust, we warrant that no person has the right to return the   
    +securities to be quoted under section 1019B of the Corporations Act at the 
time that we request that the +securities be quoted.                        
3    We will indemnify ASX to the fullest extent permitted by law in respect of 
    any claim, action or expense arising from or connected with any breach of   
    the warranties in this agreement.                                           
4    We give ASX the information and documents required by this form.  If any   
    information or document not available now, will give it to ASX before       
    +quotation of the +securities begins.  We acknowledge that ASX is relying   
    on the information and documents.  We warrant that they are (will be) true  
and complete.                                                               
Pretoria                                                                        
9 November 2010                                                                 
Company Secretary                                                               
Jerry Monzu                                                                     
Sponsor and Corporate Advisor                                                   
Date: 09/11/2010 09:19:01 Produced by the JSE SENS Department.                  
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