Axiom 2014 Annual Report - page 104

Notes to the Financial Statements
for the year ended 30 September 2014
102
Axiom Mining Limited
16. Share capital (continued)
On 14 Oct 2013, 54,582,000 ordinary shares of $0.02 each
were issued and allotted for cash via private placement.
On 14 October 2013, 585,727 ordinary shares of $0.02
each were issued and allotted for services rendered.
On 2 December 2013, 51,552,296 ordinary shares of $0.02
each were issued and allotted for cash via rights issue.
On 13 December 2013, 50,257,144 ordinary shares of $0.014
each were issued and allotted for cash via rights issue.
On 16 December 2013, 8,823,529 ordinary shares of $0.02
each were issued an allotted for cash via rights issue.
On 7 January 2014, 15,000,000 ordinary shares of $0.02
each were issued an allotted for cash via rights issue.
On 3 February 2014, 12,700,000 ordinary shares of $0.014
each were issued and allotted for services rendered.
On 3 February 2014, 5,000,000 ordinary shares of $0.02
each were issued and allotted for services rendered.
On 3 February 2014, 12,500,000 ordinary shares of $0.02
each were issued an allotted for cash via rights issue.
On 11 February 2014, 800,000 ordinary shares of $0.013
each were issued and allotted for employee benefits.
On 11 February 2014, 15,000,000 ordinary shares of
$0.014 each were issued and allotted for Convertible
Note Security as announced 10 February 2014.
On 11 February 2014, 7,956,153 ordinary shares of $0.014
each were issued and allotted for a commencement fee
for a funding facility as announced 10 February 2014.
On 13 March 2014, 15,737,418 ordinary shares of $0.011
each were issued and allotted for cash under the
agreement as announced 10 February 2014.
On 9 April 2014, 2,444,400 ordinary shares of $0.011 each
were issued and allotted for cash under the agreement
as announced 10 February 2014.
On 9 April 2014, 7,142,858 ordinary shares of $0.014 each
were issued and allotted for cash under the agreement
as announced 10 February 2014.
On 9 April 2014, 82,142,863 ordinary shares of $0.014
each were issued and allotted for cash for conversion of
Convertible Notes.
On 10 April 2014, 141,857,151 ordinary shares of $0.014
each were issued and allotted for cash for conversion of
Convertible Notes.
On 10 April 2014, 1,000,000 ordinary shares of $0.014
each were issued and allotted for services rendered.
On 10 April 2014, 7,142,858 ordinary shares of $0.014
each were issued and allotted under the agreement as
announced 10 February 2014.
On 17 April 2014, 16,666,667 ordinary shares of $0.012
each were issued and allotted for cash under the
agreement as announced 10 February 2014.
On 21 May 2014, 16,666,667 ordinary shares of $0.012
each were issued and allotted for cash under the
agreement as announced 10 February 2014.
On 23 June 2014, 60,877,779 ordinary shares of $0.018
each were issued and allotted for cash via private
placement.
On 23 June 2014, 26,666,667 ordinary shares of $0.015
each were issued and allotted for cash under the
agreement as announced 10 February 2014.
On 30 June 2014, 15,000,000 ordinary shares of $0.014
each were issued and allotted for cash on exercise of
options.
On 8 July 2014, 3,000,000 ordinary shares of $0.015
each were issued and allotted for cash on exercise
of options.
On 21 July 2014, 12,000,000 ordinary shares of $0.015
each were issued and allotted and for cash on exercise
of options.
On 29 July 2014, 550,000 ordinary shares of $0.018 each
were issued and allotted for services rendered.
On 30 July 2014, 26,666,667 ordinary shares of $0.015
each were issued and allotted for cash under the
agreement as announced 10 February 2014.
On 27 August 2014, 13,333,334 ordinary shares of $0.015
each were issued and allotted for cash via private
placement.
On 5 September 2014, 25,000,000 ordinary shares of
$0.012 each were issued and allotted for cash under the
agreement as announced 10 February 2014.
On 8 September 2014, 3,131,000 ordinary shares of
$0.015 were issued and allotted for services rendered.
On 8 September 2014, 1,333,334 ordinary shares of
$0.015 were issued and allotted for employee benefits.
On 8 September 2014, 132,644,969 ordinary shares of
$0.015 were issued and allotted for cash via private
placement.
On 10 September 2014, 8,000,002 ordinary shares of
$0.015 were issued and allotted for cash via private
placement.
On 12 September 2014, 9,355,035 ordinary shares of
$0.015 were issued and allotted for cash via private
placement.
On 17 September 2014, 3,333,334 ordinary shares of
$0.015 were issued and allotted for cash via private
placement.
On 26 September 2014, 3,565,000 ordinary shares of
$0.02 each were issued and allotted for cash on exercise
of options.
On 30 September 2014, 30.643,203 ordinary shares of
$0.02 were issued and allotted for cash on exercise of
options.
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