d9ded898-7100-4335-8e2c-37e9ef3fe6bc.pdf


13 January 2016

Public Disclosure Form



Whitewash transaction


Disclosure of dealings in the shares of L'sea Resources International Holdings Limited


The Executive received the following disclosure of securities dealings pursuant to Rule 22 of the Hong Kong Code on Takeovers and Mergers:


Party

Date

Purchase

/ Sale

Number of shares

Price per share

Resultant balance (including those of any person with whom there is an agreement

or understanding)

Percentage of class (including those of any person with whom there is an agreement

or understanding)

Munsun China Opportunity

Investment Fund

13 January

2016

Sale

690,000

$0.2603

569,828,234

11.108%


End


Note:

Munsun China Opportunity Investment Fund is a Class (6) associate of the Offeree company by virtue of its holdings of ordinary shares in the Offeree company. Dealings were made for its own account.

Munsun China Opportunity Investment Fund is ultimately owned by Munsun Assets Management Ltd.

L’sea Resources International Holdings Limited issued this content on 2016-01-14 and is solely responsible for the information contained herein. Distributed by Public, unedited and unaltered, on 2016-01-14 10:43:05 UTC

Original Document: http://www.lsea-resources.com/attachment/2016011418170100042411723_en.pdf