11:17 Exotic Warrant Information (6) The Exchange endeavours to ensure the accuracy and reliability of the information provided, but does not guarantee its accuracy and expressly disclaims any liability whatsoever for any loss howsoever arising from or in reliance upon the whole or any part of the contents of the information relating to exotic warrants. Investors are reminded to refer to the related warrant listing documents for details of the terms and conditions of the warrant. Stock Code (List Date) Salient Features -------------- ------------------------------------------------------ 9200 European-style Locked-In Return Call Warrants 17/10/2003 May only be exercised on 28/6/2005 Cash Settlement Amount is the sum of all Periodic Cash Settlement Amounts divided by the number of Periodic Fixing Dates, less the Exercise Expenses. The Periodic Cash Settlement Amount in respect of each Periodic Fixing Date is the greater of (i) zero and (ii) the arithmetic mean of the closing price of one underlying share on the five business days immediately preceding the relevant Periodic Fixing Date less the Exercise Price. 9202 European-style Locked-In Return Put Warrants 17/10/2003 May only be exercised on 28/6/2005 Cash Settlement Amount is the sum of all Periodic Cash Settlement Amounts divided by the number of Periodic Fixing Dates, less the Exercise Expenses. The Periodic Cash Settlement Amount in respect of each Periodic Fixing Date is the greater of (i) zero and (ii) the Exercise Price less the arithmetic mean of the closing price of one underlying share on the five business days immediately preceding the relevant Periodic Fixing Date. The Periodic Fixing Dates are 29th March 2004, 30th August 2004, 28th January 2005 and 28th June 2005. 9242 European-style Locked-In Return Call Warrants 29/10/2003 May only be exercised on 28/10/2005 Cash Settlement Amount is the sum of all Periodic Cash Settlement Amounts divided by the number of Periodic Fixing Dates, less the Exercise Expenses. The Periodic Cash Settlement Amount in respect of each Periodic Fixing Date is the greater of (i) zero and (ii) the arithmetic mean of the closing price of one underlying share on the five business days immediately preceding the relevant Periodic Fixing Date less the Exercise Price. The Periodic Fixing Dates are 28th January 2004, 27th August 2004, 28th March 2005 and 28th October 2005. 9260 European-style Locked-In Return Call Warrants 4/11/2003 May only be exercised on 28/9/2005 Cash Settlement Amount is the sum of all Periodic Cash Settlement Amounts divided by the number of Periodic Fixing Dates, less the Exercise Expenses. The Periodic Cash Settlement Amount in respect of each Periodic Fixing Date is the greater of (i) zero and (ii) the arithmetic mean of the closing price of one underlying share on the five business days immediately preceding the relevant Periodic Fixing Date less the Exercise Price. The Periodic Fixing Dates are 18th March 2004, 17th September 2004, 18th March 2005 and 28th September 2005. 9284 European-style Locked-In Return Call Warrants 13/11/2003 May only be exercised on 28/9/2005 Cash Settlement Amount is the sum of all Periodic Cash Settlement Amounts divided by the number of Periodic Fixing Dates, less the Exercise Expenses. The Periodic Cash Settlement Amount in respect of each Periodic Fixing Date is the greater of (i) zero and (ii) the arithmetic mean of the closing price of one underlying share on the five business days immediately preceding the relevant Periodic Fixing Date less the Exercise Price. The Periodic Fixing Dates are 18th March 2004, 17th September 2004, 18th March 2005 and 28th September 2005. 4. Barits Securities (Hong Kong) Limited, Room 3406, 34/F., Edinburgh Tower, The Landmark, 15 Queen's Road Central, Hong Kong; 5. BCOM Securities Company Limited, Room 201-202, Far East Consortium Building, 121 Des Voeux Road Central, Hong Kong; 6. Core Pacific - Yamaichi International (H.K.) Limited, 36th Floor, Cosco Tower, Grand Millennium Plaza, 183 Queen's Road Central, Hong Kong; 7. CSC Securities (HK) Limited, 3204-07, 32/F, Cosco Tower, 183 Queen's Road Central, Hong Kong; 8. First Shanghai Securities Limited, 19th Floor, Wing On House, 71 Des Voeux Road, Central, Hong Kong; 9. KCG Securities Asia Limited, Room 1914-1917, 19/F, Hutchison House, 10 Harcourt Road, Central, Hong Kong; 10. SinoPac Securities (Asia) Limited, 23rd Floor, Two International Finance Centre, No. 8 Finance Street, Central, Hong Kong; 11. South China Securities Limited, 28/F, Bank of China Tower, 1 Garden Road, Central, Hong Kong; 12. Tai Fook Securities Company Limited, 25th Floor, New World Tower, 16-18 Queen's Road Central, Hong Kong; 13. TIS Securities (HK) Limited, Unit 1010, 10/F, Tower Two , Lippo Centre, 89 Queensway, Hong Kong; and 14. any of the following branches of the Hang Seng Bank Limited:- District Branch Address Hong Kong Island:- Head Office 83 Des Voeux Road Central Central District Basement Central Branch Building, Pedder Street Causeway Bay Branch 28 Yee Wo Street Wanchai Branch 200 Hennessy Road North Point Branch 335 King's Road Kowloon:- Kowloon Main Branch 618 Nathan Road Tsimshatsui Branch 18 Carnarvon Road Kwun Tong Branch 70 Yue Man Square Mongkok Branch 677 Nathan Road Yaumati Branch 363 Nathan Road New Territories:- Shatin Branch Shop 18 Lucky Plaza, Wang Pok Street Tsuen Wan Branch 289 Sha Tsui Road Completed WHITE and YELLOW Application Forms (to which cheques or banker's cashier orders should be securely stapled) should be deposited in the special collection boxes provided at the branches of the Hang Seng Bank Limited referred to above at the following times on the following dates: Monday, 24 January - 9:00 a.m. to 4:00 2005 p.m. Tuesday, 25 January - 9:00 a.m. to 4:00 2005 p.m. Wednesday, 26 - 9:00 a.m. to 4:00 January p.m. 2005 Thursday, 27 - 9:00 a.m. to 12:00 January noon 2005 Application by giving electronic application instructions to HKSCC Investors can apply for Hong Kong Public Offer Shares by giving Electronic Application Instructions to HKSCC as follows:- 1.