4 January 2017

Possible general offer Disclosure of dealings in the shares of China Power New Energy Development Co. Ltd.

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

Party

Date

Description of relevant securities

Description of products

Nature of dealings

Number of reference securities to which the derivatives relate

Maturity date / closing out date

Reference price

Total amount paid / received

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

g)

Credit Suisse (Hong Kong)

Limited

3 January

2017

Derivatives

Other types of products

Unsolicited client facilitation - Sale

17,500

27 November

2017

$4.0890

$71,555.000

0

905,741

End

Note:

Credit Suisse (Hong Kong) Limited is an exempt principal trader connected with the Offeree company. Dealings were made for its own account.

Credit Suisse (Hong Kong) Limited is ultimately owned by Credit Suisse Group AG.

Credit Suisse (Hong Kong) Limited has entered into a back-to-back swap with Credit Suisse Securities (Europe) Limited, intended to neutralize risk of a corresponding swap with client.

China Power New Energy Development Co. Ltd. published this content on 05 January 2017 and is solely responsible for the information contained herein.
Distributed by Public, unedited and unaltered, on 05 January 2017 04:37:11 UTC.

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