FORM 3A - Director/Chief Executive Notice - Interests in Shares of Listed Corporation
 
Form Serial Number: DA20220803E00280
1. Date of relevant event: 01/08/2022
(dd/mm/yyyy)
2. Date when director became aware of the relevant event/ interest in the shares (if later):
(dd/mm/yyyy)
3. Stock code: 01970
4. Name of listed corporation: IMAX China Holding, Inc. 
5. Class of shares: Ordinary Shares 
6. Number of issued shares in class: 340,638,404
7. Name of director (English) as printed on HKID Card/Passport:
(Surname) Athanasopoulos
(Other names) Jimmy
10. Name of director (Chinese):  
11. Chinese Character Code as printed on HKID Card:
 
24. Details of relevant event:
  Brief description of relevant event Capacity in which shares were/are held Number of shares bought/sold or involved Currency of transaction On Exchange Off Exchange
Before relevant event After relevant event Highest price (per share) Average price (per share) Average consideration (per share) Consideration code
Long position 
1303There has been a change in nature of your interest in the shares because:
you have exercised rights to the shares under equity derivatives
 
2501Other (you must describe the capacity in the Supplementary Information box)
 
2101Beneficial owner
 
258,693  HKD       
 
Short position 
 
 
 
           
 
25. Total shares in listed corporation immediately before the relevant event:
 Total number of sharesPercentage figure (%)
Long position5,312,5061.56
 
26. Total shares in listed corporation immediately after the relevant event:
 Total number of sharesPercentage figure (%)
Long position5,312,5061.56
 
27. Capacity in which interests disclosed in Box 26 are held:
Code describing capacityNumber of shares
2501Other (you must describe the capacity in the Supplementary Information box)
Long position4,737,510
2101Beneficial owner
Long position574,996
 
28. Further information in derivative interests in listed corporation :
Derivatives code Exercise period (dd/mm/yyyy) Consideration - if derivatives granted by listed corporation Number of shares
  BeginsEndsCurrencyPrice for grantCurrencyExercise priceCurrencyPrice on assignment 
Long position
4105Unlisted derivatives - Physically settled
08/10/201528/10/2022HKD0HKD10.527  303,750
Long position
4105Unlisted derivatives - Physically settled
29/10/201528/10/2022HKD0HKD10.527  243,000
Long position
4105Unlisted derivatives - Physically settled
29/10/201628/10/2022HKD0HKD10.527  303,750
Long position
4105Unlisted derivatives - Physically settled
29/10/201728/10/2022HKD0HKD10.527  364,500
Long position
4105Unlisted derivatives - Physically settled
08/10/201525/10/2022HKD0HKD9.194  379,700
Long position
4105Unlisted derivatives - Physically settled
29/10/201525/10/2022HKD0HKD9.194  303,760
Long position
4105Unlisted derivatives - Physically settled
29/10/201625/10/2022HKD0HKD9.194  379,700
Long position
4105Unlisted derivatives - Physically settled
29/10/201725/10/2022HKD0HKD9.194  455,640
Long position
4105Unlisted derivatives - Physically settled
07/03/201807/03/2024HKD0HKD36.940  21,168
Long position
4105Unlisted derivatives - Physically settled
07/03/201907/03/2024HKD0HKD36.940  29,635
Long position
4105Unlisted derivatives - Physically settled
07/03/202007/03/2024HKD0HKD36.940  33,868
Long position
4105Unlisted derivatives - Physically settled
01/08/201801/08/2024HKD0HKD21.430  34,130
Long position
4105Unlisted derivatives - Physically settled
01/08/201901/08/2024HKD0HKD21.430  47,781
Long position
4105Unlisted derivatives - Physically settled
01/08/202001/08/2024HKD0HKD21.430  54,607
Long position
4105Unlisted derivatives - Physically settled
01/08/201901/08/2025HKD0HKD23.100  30,615
Long position
4105Unlisted derivatives - Physically settled
01/08/202001/08/2025HKD0HKD23.100  42,861
Long position
4105Unlisted derivatives - Physically settled
01/08/202101/08/2025HKD0HKD23.100  48,984
Long position
4105Unlisted derivatives - Physically settled
01/08/202001/08/2026HKD0HKD0.000  52,720
Long position
4105Unlisted derivatives - Physically settled
01/08/202101/08/2026HKD0HKD18.240  73,809
Long position
4105Unlisted derivatives - Physically settled
01/08/202201/08/2026HKD0HKD18.240  84,354
Long position
4105Unlisted derivatives - Physically settled
01/08/2023 HKD0HKD18.240  86,308
Long position
4105Unlisted derivatives - Physically settled
12/03/2023 HKD0HKD0.000  148,076
Long position
4105Unlisted derivatives - Physically settled
07/03/2023 HKD0HKD0.000  19,197
Long position
4105Unlisted derivatives - Physically settled
01/08/2023 HKD0HKD0.000  110,553
Long position
4105Unlisted derivatives - Physically settled
01/08/2024 HKD0HKD0.000  113,902
Long position
4105Unlisted derivatives - Physically settled
12/03/2024 HKD0HKD0.000  195,420
Long position
4105Unlisted derivatives - Physically settled
01/08/2023 HKD0HKD0.000  163,293
Long position
4105Unlisted derivatives - Physically settled
01/08/2024 HKD0HKD0.000  163,293
Long position
4105Unlisted derivatives - Physically settled
01/08/2025 HKD0HKD0.000  163,343
Long position
4105Unlisted derivatives - Physically settled
12/03/2025 HKD0HKD0.000  285,792
 
29. Further information in relation to interests of children under 18 and/or spouse:
Child/SpouseName of child/spouseNumber of shares
 
 
30. Further information in relation to interests of corporations controlled by Director:
Name of controlled corporationAddress and place of incorporationName of controlling person% controlDirect interest (Y/N)Number of shares
   
 
31. Further information in relation to interests held by Director jointly with another person:
Name of joint shareholderAddressNumber of shares
 
 
32. Further information from a director who is a trustee, or beneficiary of a trust, or a person who has set up a Discretionary Trust:
Names of TrustAddressStatus codeNumber of shares
  
 
33. Further information from a party to an agreement under Section 317 (Please see Notes for further information required):
Names of other partiesAddressNumber of shares
 
Total number of shares in which a director is interested under sections 317 and 318
 
34. Supplementary information: 2501: restricted share unit (RSU), performance-based restricted share unit (PSU) and option holder; including additional 63,461 PSUs, 83,751 PSUs and 122,482 PSUs which might be granted to Mr. Athanasopoulos when the Average Annual EBITDA Growth reaches 20% or more for the relevant performance period.
35. Log/Serial Number of the previous form:
36. Number of concert party document(s) under section 317 attached/uploaded:
Date of filing this Form 3A: 03/08/2022
(dd/mm/yyyy)