Axiom 2014 Annual Report - page 67

Notes to the Financial Statements
for the year ended 30 September 2014
65
2014 Annual Report
16. Capital and reserves (continued)
On 14 October 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 12 December 2013 53,827,250 ordinary shares
of $0.02 each were issued and allotted for cash via
private placement.
On 16 December 2013 8,823,529 ordinary shares of $0.02
each were issued and allotted for cash via rights issue.
On 7 January 2014 15,000,000 ordinary shares of $0.02
each were issued and 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 and allotted for cash via rights issue.
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 February 2014 800,000 ordinary shares of $0.013
each were issued and allotted for employee benefits.
On 13 February 2014 50,257,144 ordinary shares of
$0.014 each were issued and allotted for cash via
private placement.
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
eachwere issued and allotted for cash for conversion of
Convertible Notes.
On 10 April 2014 141,857,151 ordinary shares of $0.014
eachwere 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.
GROUP FINANCIAL REPORT
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