B - 董事的声明、承诺及确认(适用于中国发行人)

Part 1
第一部分
DECLARATION
声明
 
1.      State:–
请填报:
    in English
英文
in Chinese
中文
(a) present surname and any former surname(s)*
现时姓氏及任何前度姓氏*
 

............................

............................
(b) alias, if any *
别名,如有*
 

............................

............................
(c) present forename(s) and any former
forename(s) *
现时名字及任何前度名字*
 


............................


............................
(d) date of birth
出生日期
 

............................

............................
(e) residential address
住址
 

............................

............................
(f) nationality and former nationality, if any
国籍及前度国籍,如有
 

............................

............................
(g)
(i) Hong Kong ID card number
香港身份证号码
 
 
(ii) in the case of a non-Hong Kong ID cardholder, passport number or any identification document number and name of issuing authority
如为非香港身份证持有人,请列明护照号码或任何身份识别文件号码,以及签发机构名称
 
............................




 
............................
............................




 
............................
(h) name of issuer (i.e. the new applicant/listed issuer)
发行人(新申请人╱上市发行人)名称
 


............................


............................
(i) sex (male / female / non-binary / others)
性别(男 / 女 / 
非二元性别 / 其他)



............................



............................

*  As set out in the Hong Kong ID card, or any relevant identification document referred to in 1(g) above.
*  香港身份证或上文1(g) 所述的任何有关身份识别文件上所示者。
 
2. The relevant document that sets out my personal details in the manner described in paragraph41 of Appendix 1A or rule 17.50(2), as the case may be, of the Rules Governing the Listing of Securities on the GEM of The Stock Exchange of Hong Kong Limited from time to time in force (the “GEM Listing Rules”) is:
按不时生效的《香港联合交易所有限公司GEM证券上市规则》(《GEM上市规则》)附录一A第41段第17.50(2)条所述方式(视属何情况而定)载有本人的个人资料的有关文件为:
 
  (Tick as appropriate)
(请在适当方格内加上√号)
 
  In the case of new applicant:
如属新申请人:
the listing document dated......................which has been duly registered with the Companies Registry.
日期为............... 年 ....................月 .......................日并已正式在公司注册处登记的上市文件。
 
  In the case of listed issuer:
如属上市发行人:
the announcement dated............................... by the issuer as required under GEM Listing Rule 17.50(2) with regard to my appointment as a director of the issuer.
发行人按《GEM上市规则》第17.50(2)条的规定,就委任本人为发行人董事的公告。公告日期为............. 年 ................月.................. 日。


Part 2
第二部分

 

UNDERTAKING AND ACKNOWLEDGEMENT
承诺及确认

 
The particulars referred to in this Part 2 are:—
此第二部分所述的资料为:
 
(a) in the exercise of my powers and duties as a director of...............................................(Insert the name of the issuer) I, the undersigned, shall:—
在行使................................................. (填入发行人名字)董事的权力及职责时,本人(签署人)须:
 
(i) comply to the best of my ability with the GEM Listing Rules, and all applicable laws, rules, regulations and normative statements from time to time in force in the PRC relating to the governing, operation, conduct or regulation of public companies in the PRC or elsewhere;
尽力遵守《GEM上巿规则》,及不时生效的所有关于中国或其他地方的公众公司的管辖、运作、行为或监管事宜的适用中国法律、规则、规例及规范声明;
 
(ii) comply to the best of my ability with the provisions of the issuer's articles of association (including all provisions regarding the duties of directors) and use my best endeavours to procure the issuer to act at all times in accordance with its articles of association;
尽力遵守发行人的公司章程的规定(包括有关董事职责的一切规定),并尽力促使发行人在任何时候均按照其公司章程而行事;
 
(iii) use my best endeavours to procure the issuer to comply with the GEM Listing Rules;
尽力促使发行人遵守《GEM上巿规则》;
 
(iv) inform The Stock Exchange of Hong Kong Limited (the “Exchange”) forthwith and in writing, at any time while I am a director of the issuer (or within 12 months of my ceasing to be a director of the issuer), of any administrative or governmental notice or proceeding alleging a breach by the issuer or any of its subsidiaries or directors of any applicable laws, rules, regulations or normative statements in force in the PRC relating to the governing, operation, conduct or regulation of public companies;
在本人担任发行人的董事的任何期间(或本人停止担任发行人的董事后的十二个月内),如有行政或政府部门的通知或涉及任何程序,指称发行人或其任何附属公司或董事,违反有关公众公司的管辖、运作、行为或监管事宜而不时生效的任何适用的中国法律、规则、规例或规范声明,立即通知并以书面通知香港联合交易所有限公司(联交所或本交易所);
 
(v) comply to the best of my ability, and use my best endeavours to procure the issuer to comply, with the Companies Ordinance, the Companies (Winding Up and Miscellaneous Provisions) Ordinance,the Securities and Futures Ordinance, the Code on Takeovers and Mergers, the Code on Share Buy-backs and all other relevant securities laws and regulations from time to time in force in Hong Kong; and
尽力遵守及尽力促使发行人遵守《公司条例》、《公司(清盘及杂项条文)条例》、《证券及期货条例》、《公司收购及合并守则》、《公司股份回购守则》及香港所有其他不时生效的有关证券的法例与规例;及
 
(vi) use my best endeavours to procure any alternate of mine to comply with the GEM Listing Rules including the provisions as set out above;
尽力促使本人的任何替任人遵守《GEM上巿规则》(包括上述各项条文);
 
(b) I shall, when I am a director of the issuer and after I cease to be so:
本人出任发行人董事时以及停止担任发行人董事后均须:
 
(i) provide to the Exchange and the Securities and Futures Commission (the “Commission”) as soon as possible, or otherwise in accordance with time limits imposed by the Exchange or the Commission:
尽快或根据联交所或证券及期货事务监察委员会(证监会)设定的时限向联交所及证监会提供以下资料及文件:
 
(1) any information and documents that the Exchange or the Commission reasonably considers appropriate to protect investors or ensure the smooth operation of the market; and
联交所或证监会合理地认为可保障投资者或确保市场运作畅顺的任何资料及文件;及
 
(2) any other information and documents or explanation that the Exchange may reasonably require for the purpose of verifying compliance with the GEM Listing Rules or as requested by the Commission; and
联交所可为核实是否有遵守《GEM上市规则》事宜而合理地要求或证监会要求的任何其他资料及文件或解释;及
 
(ii) cooperate in any investigation conducted by the Listing Division (as such term is defined in rule 1.01 of the GEM Listing Rules) and/or the Listing Committee (as such term is defined in rule 1.01 of the GEM Listing Rules) or the Commission, including answering promptly and openly any questions addressed to me, promptly producing the originals or copies of any relevant documents and attending before any meeting or hearing at which I am requested to appear;
在上巿科(按《GEM上市规则》第1.01条界定)及╱或上巿委员会(按《GEM上市规则》第1.01条界定)或证监会所进行的任何调查中给予合作,包括及时及坦白地答覆向本人提出的任何问题,及时地提供任何有关文件的正本或副本,并出席本人被要求出席的任何会议或听证会;
 
(c) I, in accepting to be a director of the issuer, hereby (i) irrevocably appoint the issuer as my agent, for so long as I remain as a director of the issuer, for receiving on my behalf any correspondence from and/or service of notices and other documents by the Exchange or the Commission; and (ii) authorise the Executive Director - Listing Division, or any person authorised by the Executive Director – Listing Division, to disclose any of my personal particulars given by me to members of the Listing Committee or the Commission and, with the approval of the Chairman or a Deputy Chairman of the Exchange, to such other persons, as the Executive Director – Listing Division may from time to time think fit;
本人接受出任发行人的董事,即(i)不可撤回地委任发行人为本人的代理人,在本人出任发行人董事期间,代表本人接收任何联交所或证监会发出的信函及╱或送达的通知书及其他文件;及(ii)授权上市科执行总监(或获其授权的任何人士)将本人提供的个人资料向上巿委员会委员或证监会披露;并在联交所主席或一位副主席批准的情况下,向上巿科执行总监不时认为适当的其他人士披露;
 
(d) I shall inform the Exchange (in the manner prescribed by the Exchange from time to time):
本人须在下列情况下(以联交所不时规定的方式)将下述资料通知联交所:
 
(i) as soon as reasonably practicable after my appointment, my telephone number, mobile phone number, facsimile number (if available), email address (if available), residential address and contact address (if different from the residential address) for correspondence from and service of notices and other documents by the Exchange or the Commission;
于获委任后在合理可行情况下尽快提供本人的电话号码、手机号码、传真号码(如有)、电邮地址(如有)、住址及用以接收联交所或证监会所发出的信函及送达的通知书和其他文件的联络地址(如与住址不同);
 
(ii) for so long as I remain as a director of the issuer, any change to the contact information as described in paragraph (i) as soon as reasonably practicable and in any event within 28 days of such change;  and
在出任发行人董事期间,如第(i)段所述联络资料有变,须在合理可行的情况下尽快(无论如何于有关变动出现后 28 日内)通知联交所;及
 
(iii) for a period of 3 years from the date on which I cease to be a director of the issuer, any change to the contact information as described in paragraph (i) as soon as reasonably practicable and in any event within 28 days of such change.
在本人不再出任发行人董事的日期起计三年内,如第(i)段所述联络资料有变,须在合理可行的情况下尽快(无论如何须于有关变动出现后28日内)通知联交所。
 
I acknowledge and agree that any correspondence from and/or service of notices and other documents by the Exchange or the Commission to me when I am a director of the issuer or after I cease to be so, for whatever purposes (including but not limited to the service of notice of disciplinary proceedings) shall be deemed to have been validly and adequately served on me when the document or notice is served personally or is sent by post, facsimile or email to the address or number I provide to the Exchange. I agree and acknowledge that I am responsible for keeping the Exchange of my up-to-date contact details. I acknowledge that, if I, as the director or former director of the issuer, fail to provide the Exchange with my up-to-date contact details or arrange for notices, documents or correspondence to be forwarded to me, I may not be alerted to any proceedings commenced against me by the Exchange or the Commission; and
本人确认及同意,在本人出任发行人董事期间或不再出任发行人董事之后,但凡联交所或证监会就任何目的向本人发出的信函及╱或送达的通知书及其他文件(包括但不限于送达纪律程序的通知)若以面交本人的方式,或以邮寄、传真或电邮的方式送达本人向联交所提供的地址或号码,即被视为已有效及充分地送达本人。本人同意及确认,本人有责任向联交所提供本人最新的联络资料。本人确认,若本人(作为发行人的董事或前董事)未能向联交所提供本人最新的联络资料,或未有为送呈本人的通知、文件或书信提供转送安排,本人可能会不知悉联交所或证监会向本人展开的任何程序;及
 
(e) I hereby submit to the jurisdiction of the Exchange in respect of all matters relevant to the GEM Listing Rules.
本人在此接受联交所就有关《GEM上市规则》各方面的管辖。
 
I..............................................................., [Insert Chinese name, if any]:
本人 .............................................................[请填上中文姓名(如有)]:
 
  (i) solemnly and sincerely declare that all particulars about me that appear in Part 1(1) of this Form B and in the document referred to in Part 1(2) of this Form B are true, complete and accurate, that I accept responsibility for the truthfulness, accuracy and completeness of the foregoing particulars, that I have not made any statements or omissions which would render such particulars untrue or misleading, that I understand the possible consequences of giving information which is false or misleading in a material particular including those as set forth in Note (1) hereto, and that I understand that the Exchange may rely upon the foregoing particulars in assessing my suitability to act as a director of the issuer; and
谨以至诚郑重声明,在本B表格第一部分(1)及本B表格第一部分(2)所述文件所示有关本人的所有详细资料均为真实、完整及准确,且本人对上述资料的真实性、准确性及完整性承担责任,而本人亦无作出任何声明或遗漏,致使有关资料不真实或具误导性,本人亦明白在要项上提供虚假或具误导性的资料可能引致的后果(包括本表格附注1所载内容);本人并明白,联交所或会倚赖上述资料来评估本人是否适合出任发行人董事;及
 
  (ii) undertake and acknowledge with the Exchange in the terms set out in Part 2 of this Form B.
按本B表格第二部分所载的条款向联交所作出承诺及确认。
 
                 Signature签署:..................
 
   
Name of director董事姓名:...................
 
   
Hong Kong ID Card Number*:                                             
香港身份证号码*:..................
 
   
Dated日期:...................
 
   
Certified as the true signature of........................................
由以下人士证明上述签署为.............................. 的真实签署
 
    By:                                                                                            
   
Signature (Secretary/Director)                                            
签署(秘书╱董事):..................
   
Name (Secretary/Director)                                                  
姓名(秘书╱董事):..................
 
* In the case of a non-Hong Kong ID cardholder, state the passport number or any identification document number and name of issuing authority.
如为非香港身份证持有人,请列明护照号码或任何身份识别文件号码,以及签发机构名称。


Part 3
第三部分

 

 

(A) If the issuer is a new applicant, the following sponsor's certification must be completed:—
如发行人为新申请人,下列的保荐人证明亦须填报:

 
SPONSOR'S CERTIFICATION
保荐人证明

 
We,.................., are the sponsor for the issuer appointed on [Date] for the purpose referred to in GEM Listing Rule 6A.02 and have offices located at................... We hereby certify that we have read the particulars provided by [Insert name of director] in and any document referred to in Part 1 (1) and (2) of this Form B and we are not aware of any information that would lead a reasonable person to inquire further concerning the truthfulness, completeness or accuracy of any of the particulars so provided.
我们 ,..................乃在〔日期〕为《GEM上巿规则》第6A.02条所提及的目的而委任的 发行人的保荐人,办事处设于..................。我们兹证明,我们已阅读..................〔填入董事的姓名〕在B表格第一部份(1)及(2)所作及所述任何文件内作出的回答,我们并不知悉任何资料,足以使一名合理的人士,就如此填报的资料的真实性、完整性及准确性作进一步的查询。
 
 
Executed this.....................day of......................., 20.....................,in..........................
本证明于 20 .....................年 ..................月.................... 日在 ...........................签立。
 
(Signed签署)..........................................
 
(B) The following solicitor's certification must be completed whenever this Form B is required to be lodged with The Stock Exchange of Hong Kong Limited:—
按规定须向香港联合交易所有限公司呈报本B表格的,均须填报下列律师证明:

 
SOLICITOR'S CERTIFICATION
律师证明

 
We,................................ are a firm of solicitors qualified to advise on Hong Kong law with offices located at........................... . We hereby certify that we have explained all applicable requirements and procedures for completing and executing this Form B or the documents referred to in this Form B, and the possible consequences of making a false declaration or giving false information, to......................... [Insert name of director]. Further,we hereby certify that .....................................[Insert name of director] has acknowledged to us that he/she understands the foregoing.
我 们,........................................ , 为 一 家 有 资 格 就 香 港 法 律 提 供 意 见 的 律 师 行, 办 事 处 设 于..........................................。我们兹证明,我们已向............................................ 〔填入董事的姓名〕解释填报及签立本B表格及本B表格所指的文件的所有适用规定和程序,以及作出虚假声明或提供虚假信息所可能引致的后果。此外,我们兹证明 .....................................〔填入董事的姓名〕已向我们承认其了解上述各项。
 
 
Executed this..................... day of........................ , 20.................... , in....................................
本证明于 20..................... 年...................... 月 ...................日在 ..........................................签立。
 
(Signed签署)..........................................
 
Notes:
附注:
(1) The failure of any person required to lodge this Form B to complete Part 1 of this Form B truthfully, completely and accurately, or the failure to execute Part 2 of this Form B or to observe any of the undertakings made under that Part, constitutes a breach of the GEM Listing Rules. In addition, every director of the issuer supplying information sought or referred to in this Form B, should note that such information constitutes information which is provided to the Exchange in purported compliance with a requirement to provide information under the “relevant provisions” (as defined in Part 1 of Schedule 1 to the Securities and Futures Ordinance, Cap. 571) and is likely to be relied upon by the Exchange. In relation to this, you should be aware that giving to the Exchange any information which is false or misleading in a material particular will render the relevant person liable for prosecution for an offence under section 384 of the Securities and Futures Ordinance. If you have any queries you should consult the Exchange or your professional adviser immediately.
按规定须呈交本B表格的任何人士,若未能真实、完整及准确地填妥本B表格第一部分,或未能签立本B表格第二部分又或未能遵守该部分所作的任何承诺,均构成违反《GEM上市规则》。此外,凡提供本B表格所要求或所述资料的发行人董事均应注意,该等资料构成本意是为遵守「有关条文」(定义见香港法例第571章《证券及期货条例》附表1第1部)项下关于提供资料的规定而向本交易所提供的资料,本交易所或会依赖该等资料。就此, 阁下应注意,根据《证券及期货条例》第384条,在要项上向本交易所提供虚假或具误导性的资料,有关人士即属犯法,会遭检控。若 阁下有任何疑问,应立即谘询本交易所或 阁下的专业顾问。

 
(2) To the extent that this form is required to be signed by the Sponsor, the Exchange expects that it would be signed by the Principal(s) who act(s) as the supervisor(s) of the Transaction Team (as defined in the SFC Sponsor Provisions) undertaking the listing assignment. However, notwithstanding who signs this form on behalf of the Sponsor, the Management (as defined in the SFC Sponsor Provisions) of the Sponsor will be ultimately responsible for supervision of the work carried out by the Sponsor firm and quality assurance in respect of that work. The Exchange reminds Sponsors of their obligations to have effective internal systems and controls and proper supervision and oversight including but not limited to those obligations under the SFC Sponsor Provisions.
只要此表格是规定须由保荐人签署,本交易所认为,此表格须由承担有关上市工作的交易小组(定义见「证监会保荐人条文」)的监督的主事人签署。不过,无论是谁代表保荐人签署此表格,保荐人的管理层(定义见「证监会保荐人条文」)须就保荐人公司工作的监督及质素保证负有最终责任。本交易所提醒保荐人:其有责任设立有效的内部系统及监控,并作出妥善的监督及监管;有关责任包括但不限于「证监会保荐人条文」所载的责任。