Financial Settlement information

16th May 2023

16th May 2023

Further to the updates of 30th March and 4th May, the Company confirms that the distribution by appointed agents of the combined proceeds from both sales will commence after the announcement of its DaaP sale.

Distribution will be made directly into nominee accounts where applicable. Those holding share certificates will be contacted by the agents post announcement to provide their bank details. The agents will provide any necessary documentation.

The announcement for the Company’s DaaP sale will be made by the end of May 2023.

The Company remains under strict non-disclosure agreements.

All further updates will be published on www.cloudtag.com