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Form Serial Number: |
CS20260612E00089 |
| 1.
Date of relevant event: |
09/06/2026 (dd/mm/yyyy)
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| 2.
Date when the substantial shareholder becomes aware of the relevant event / interest in the shares (if later): |
(dd/mm/yyyy)
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| 3.
Stock code: |
01918 |
| 4.
Name of listed corporation: |
融创中国控股有限公司 |
| 5.
Class of shares: |
Ordinary Shares |
| 6.
Number of issued shares in class: |
17,059,859,960 |
| 7.
Name of substantial shareholder: |
South Dakota Trust Company LLC(该公司为孙宏斌先生家族信托的受托人) |
| 8.
Registered office: |
201 South Philips Avenue, Suite 200, Sioux Falls, SD 57104 USA |
| 9.
Principal place of business in Hong Kong: |
N/A |
| 15.
Exchange on which listed: |
N/A |
| 16.
Name of listed parent and exchange on which parent is listed: |
N/A |
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| 17.
Details of relevant event: |
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Brief description of relevant event
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Capacity in which shares were/are held
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Number of shares bought/sold or involved |
Currency of transaction |
On Exchange
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Off Exchange
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| Before relevant event
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After relevant event
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Highest price (per share)
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Average price (per share)
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Average consideration (per share)
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Nature of consideration
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Long position |
| 1711 | Miscellaneous Other (you must briefly describe the relevant event in the Supplementary Information box) |
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253,150,925 |
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| Short position |
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| 18.
Total shares immediately before the relevant event: |
| | Total number of shares | Percentage figure (%) |
| Long position | 5,479,980,308 | 33.84 |
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| 19.
Total shares immediately after the relevant event: |
| | Total number of shares | Percentage figure (%) |
| Long position | 5,733,131,234 | 33.61 |
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| 20.
Capacity in which interests disclosed in Box 19 are held: |
| Capacity code | Number of shares |
| | Long position | 5,733,131,234 |
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| 21.
Further information in respect of derivative interests: |
| Derivatives code | Number of shares |
| 4105 | Unlisted derivatives - Physically settled |
| | Long position | 2,315,111,707 |
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| 22.
Further information in relation to interests of corporations controlled by substantial shareholder: |
| Name of controlled corporation | Address and place of incorporation | Name of controlling person | % control | Direct interest (Y/N) | Number of shares |
| Sunac Holdings LLC | 201 South Philips Avenue, Suite 200, Sioux Falls, SD 57104, USA (USA) | South Dakota Trust Company LLC | 100.00 | N | | Long position | 2,740,396,688 |
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| Sunac International Investment Holdings Ltd | Vistra Corporate Services Centre, Wickhams Cay II, Road Town, Tortola, VG1110, British Virgin Islands | Sunac Holdings LLC | 70.00 | Y | | Long position | 2,691,690,688 |
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| New Goal Investment Holdings Ltd | Vistra Corporate Services Centre, Wickhams Cay II, Road Town, Tortola, VG1110, British Virgin Islands | Sunac Holdings LLC | 100.00 | N | |
| Yuan Quang Investment Limited | 3806 Central Plaza, 18 Harbour Road, Wanchai, Hong Kong | New Goal Investment Holdings Ltd | 100.00 | N | |
| 天津标的企业管理有限公司 (曾用名: 天津标的投资咨询有限公司) | 中国天津市西青经济开发区兴华七支路8号 (PRC) | Yuan Quang Investment Limited | 100.00 | Y | |
| Sun Holdings II LLC | Corporation Service Company, 251 Little Falls Drive. Wilmington, Delaware USA 19808 | South Dakota Trust Company LLC | 100.00 | Y | | Long position | 2,992,734,546 |
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| 23.
Further information in relation to interests held by substantial shareholder jointly with another person: |
| Name of joint shareholder | Address | Number of shares |
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| 24.
Further information from a trustee, a beneficiary of a trust, or a person who set up a discretionary trust: |
| Names of trust | Address | Status code | Number of shares |
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| 25.
Further information from a party to an agreement under Section 317 (Please see Notes for further information required): |
| Names of other parties | Address | Number of shares |
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| Total number of shares in which a substantial shareholder is interested under sections 317 and 318 | |
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| 26.
Details of person(s) in accordance with whose directions the substantial shareholder or its directors are accustomed to act: |
| Names | Address | Relationship Code | Percentage (%) |
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| 27.
Supplementary information: |
2026年6月9日,根据股权结构稳定计划,孙宏斌先生指定的Sun Holdings II LLC从持有期信托获分派本金额220,695,679美元的强制可转换债券1。强制可转换债券1转换价为每股6.8港元,将根据前述转换价及协定汇率(1美元=7.8港元)转换为 253,150,925股融创中国控股有限公司股份。
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| 28.
Log/Serial Number of the previous form: |
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| 29.
Number of concert party document(s) under section 317 attached/uploaded: |
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Date of filing this Form 2: |
12/06/2026 (dd/mm/yyyy)
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