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MLN – Issue of Securities – 26 September 2019

26/09/2019, 10:15 NZST, SECISSUE

26 September 2019 Section 1: Issuer information Name of issuer: Marlin Global Limited NZX ticker code: MLN Class of financial product and ISIN: Ordinary shares - NZMLNE0001S0 Currency NZD Section 2: Capital change details Number of ordinary shares issued: 1,277,817 Issue Price: $0.9071 Nature of payment: Consideration satisfied pursuant to the Dividend Reinvestment Plan. 10,000 shares are issued from treasury stock and 1,267,817 by way of new shares issued. Amount paid up: Fully paid Percentage of the total class of securities issued after the issue: 0.8639% Principal terms: Ordinary shares having the same rights and ranking equally with the existing ordinary shares. Reason for the issue: Issue of ordinary shares pursuant to the terms of the Dividend Reinvestment Plan. Total number of securities of the class in existence after the issue: 147,913,229 ordinary shares (excluding treasury stock of nil) Treasury stock: Not applicable Specific authority for the issue: Directors resolution and in accordance with Listing Rule 4.8.1 Terms or details of the issue: Ordinary shares having the same rights and ranking equally with the existing ordinary shares. Date of issue: 26 September 2019 Section 3: Authority for this announcement and contact person Name of person authorized to make this announcement: Wayne Burns Contact person for this announcement: Wayne Burns Contact phone number: 09 4840352 Contact email address: enquire@marlin.co.nz Date of release through MAP: 26 September 2019 End CA:00341673 For:MLN Type:SECISSUE Time:2019-09-26 10:15:44