Next Day Disclosure Report (Issuer of Shares - Changes in Issued Shares or Treasury Shares, Share Buybacks and/or Sale of Treasury Shares in the Market)
Form Type: Stock
Status: Newly Submitted
Company Name: China International Marine Containers (Group) Co., Ltd.
Submission Date: May 22, 2026
If there are changes in the issued shares or treasury shares of the listed issuer that require disclosure under the Securities Listing Rules of The Stock Exchange of Hong Kong Limited ("Hong Kong Stock Exchange") Rule 13.25A / GEM Listing Rules Rule 17.27A, the first section must be completed.
First Section
- Share Classification
- Ordinary Shares
- Share Type: H
- Listed on Hong Kong Stock Exchange: Yes
- Stock Code (if listed): 02039
- Description: H Shares
A. Changes in Issued Shares or Treasury Shares
| Event | Issued Shares (excluding treasury shares) | Change in Issued Shares (excluding treasury shares) | Percentage of Change (Note 3) | Change in Treasury Shares | Treasury Shares | Price per Share Issued/Sold (Note 4) | Total Issued Shares at the Beginning of the Following Date (Note 1) |
|---|---|---|---|---|---|---|---|
| Date of Change | 2026-05-21 | 3,027,699,195 | 62,138,700 | 3,089,837,895 | |||
| Buyback of Shares (held as treasury shares) | 2026-05-22 | -3,360,000 | 0.11% | 3,360,000 | HKD 9.1454 | 3,024,339,195 | 65,498,700 |
| Total at the End of the Following Date (Note 5 and 6) | 2026-05-22 | 3,024,339,195 | 65,498,700 | 3,089,837,895 |
B. Redemption/Buyback of Shares (intended for cancellation but not yet cancelled as of the end date) (Note 5 and 6)
Confirmation: Not Applicable