Non-collateralised Structured ProductsStructured Products Agreement • August 10th, 2012
Contract Type FiledAugust 10th, 2012This document includes particulars given in compliance with the Rules Governing the Listing of Securities on The Stock Exchange of Hong Kong Limited (the Stock Exchange’s Listing Rules) for the purpose of giving information with regard to the issuer, the guarantor and the warrants referred to in this document. The issuer and the guarantor accept full responsibility for the accuracy of the information contained in the base listing document dated 20 March 2012 as supplemented by our first addendum to the base listing document dated 9 May 2012 and our second addendum to the base listing document dated 4 June 2012 (the base listing document as so supplemented, the Applicable Base Listing Document) and this document and confirm, having made all reasonable enquiries, that to the best of their knowledge and belief there are no other facts the omission of which would make any statement in these documents, when read together, misleading. This document should be read together with our Applicable