Report of Foreign Issuer Pursuant to Rule 13a-16 or 15d-16 (6-k)
07 Abril 2022 - 5:14AM
Edgar (US Regulatory)
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
Form 6-K
REPORT OF FOREIGN PRIVATE ISSUER PURSUANT TO
RULE
13a-16 OR 15d-16 UNDER
THE SECURITIES EXCHANGE ACT OF 1934
For the month of April 2022
Commission File Number 001-13314
Huaneng Power International, Inc.
(Translation of registrant’s name into English)
Huaneng Power International, Inc.
Huaneng Building,
6 Fuxingmennei Street,
Xicheng District,
Beijing, 100031 PRC
(Address of principal executive office)
Indicate by check mark whether the registrant files or will file annual
reports under cover Form 20-F or Form 40-F. Form 20-F x Form 40-F
¨
Indicate by check mark if the registrant is submitting the Form 6-K
in paper as permitted by Regulation S-T Rule 101(b)(1): ¨
Indicate by check mark if the registrant is submitting the Form 6-K
in paper as permitted by Regulation S-T Rule 101(b)(7): ¨
This Form 6-K consists of:
A copy of monthly return of equity issuer on movements in securities
of Huaneng Power International, Inc.(the "Registrant"), submitted by the Registrant on April 4, 2022.
SIGNATURES
Pursuant to the requirements of the Securities
Exchange Act of 1934, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.
|
HUANENG POWER INTERNATIONAL, INC. |
|
|
|
By: |
/s/ Huang Chaoquan |
|
Name: |
Huang Chaoquan |
|
Title: |
Company Secretary |
|
|
Date: April 7, 2022 |
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FF301
Monthly Return for Equity Issuer and Hong Kong Depositary
Receipts listed under Chapter 19B of the Exchange Listing Rules on Movements in Securities
For the month ended: |
31 March 2022 |
|
Status: |
New Submission |
To : Hong Kong Exchanges and Clearing Limited
Name of Issuer: |
Huaneng Power International, Inc. |
Date Submitted: |
04 April 2022 |
|
I. | Movements in Authorised / Registered Share Capital |
1. Type of shares |
Ordinary shares |
Class of shares |
Class H |
Listed on SEHK (Note 1) |
Yes |
|
Stock code |
00902 |
Description |
H shares listed in Hong Kong and ADR listed in New York |
|
Number of authorised/registered shares |
Par value |
Authorised/registered share capital |
Balance at close of preceding month |
4,700,383,440 |
RMB |
1 |
RMB |
4,700,383,440 |
Increase / decrease (-) |
|
|
RMB |
|
Balance at close of the month |
4,700,383,440 |
RMB |
1 |
RMB |
4,700,383,440 |
|
|
|
|
|
|
2. Type of shares |
Ordinary shares |
Class of shares |
Class A |
Listed on SEHK (Note 1) |
No |
|
Stock code |
600011 |
Description |
A Shares listed on The Shanghai Stock Exchange ("SSE") |
|
Number
of authorised/registered shares |
Par
value |
Authorised/registered
share capital |
Balance
at close of preceding month |
10,997,709,919 |
RMB |
1 |
RMB |
10,997,709,919 |
Increase
/ decrease (-) |
|
|
RMB |
|
Balance
at close of the month |
10,997,709,919 |
RMB |
1 |
RMB |
10,997,709,919 |
|
|
|
|
|
|
|
Total authorised/registered share capital at the end of the month: |
RMB |
15,698,093,359 |
|
FF301
II. | Movements in Issued Shares |
1. Type of shares |
Ordinary shares |
Class of shares |
Class H |
Listed on SEHK (Note 1) |
Yes |
|
Stock code |
00902 |
Description |
H shares listed in Hong Kong and ADR listed in New York |
Balance at close of preceding month |
4,700,383,440 |
|
Increase / decrease (-) |
0 |
Balance at close of the month |
4,700,383,440 |
|
|
|
|
|
|
|
|
2. Type of shares |
Ordinary shares |
Class of shares |
Class A |
Listed on SEHK (Note 1) |
No |
|
Stock code |
600011 |
Description |
A shares listed on SSE |
Balance at close of preceding month |
10,997,709,919 |
|
Increase / decrease (-) |
0 |
Balance at close of the month |
10,997,709,919 |
|
|
|
|
|
|
|
|
FF301
III. | Details of Movements in Issued Shares |
| (A). | Share Options (under Share Option Schemes of the Issuer) Not applicable |
| (B). | Warrants to Issue Shares of the Issuer which are to
be Listed Not applicable |
| (C). | Convertibles (i.e. Convertible into Issue Shares of the Issuer which are to be Listed) Not applicable |
| (D). | Any other Agreements or Arrangements to Issue Shares
of the Issuer which are to be listed, including Options (other than Share Options Schemes) Not applicable |
| (E). | Other Movements in Issued Share Not applicable |
FF301
IV. | Information about Hong Kong Depositary Receipt (HDR) Not
applicable |
FF301
We
hereby confirm to the best knowledge, information and belief that, in relation to each of the securities issued by the issuer during the
month as set out in Part III and IV which has not been previously disclosed in a return published under Main Board Rule 13.25A / GEM Rule
17.27A, it has been duly authorised by the board of directors of the listed issuer and, insofar as applicable:
(Note 2)
(i) | all money due to the listed issuer in respect of the issue of securities has been received by it; |
(ii) | all pre-conditions for listing imposed by the Rules Governing the Listing of Securities on The Stock Exchange of Hong Kong Limited
under "Qualifications of listing" have been fulfilled; |
(iii) | all (if any) conditions contained in the formal letter granting listing of and permission to deal in the securities have been fulfilled; |
(iv) | all the securities of each class are in all respects identical (Note 3); |
(v) | all documents required by the Companies (Winding Up and Miscellaneous Provisions) Ordinance to be filed
with the Registrar of Companies have been duly filed and that compliance has been made with other legal requirements; |
(vi) | all the definitive documents of title have been delivered/are ready to be delivered/are being prepared and will be delivered in accordance
with the terms of issue; |
(vii) | completion has taken place of the purchase by the issuer of all property shown in the listing document
to have been purchased or agreed to be purchased by it and the purchase consideration for all such property has been duly satisfied; and |
(viii) | the trust deed/deed poll relating to the debenture, loan stock, notes or bonds has been completed and
executed, and particulars thereof, if so required by law, have been filed with the Registrar of Companies. |
Submitted by: |
Huang Chaoquan |
|
Title: |
Secretary to the Board of Directors |
|
|
(Director, Secretary or other Duly Authorised Officer) |
|
FF301
Notes
1. | SEHK refers to Stock Exchange of Hong Kong. |
| |
2. | Items (i) to (viii) are suggested forms of confirmation which may be amended to meet individual cases.
Where the issuer has already made the relevant confirmations in a return published under Main Board Rule 13.25A / GEM Rule 17.27A in relation
to the securities issued, no further confirmation is required to be made in this return. |
| |
3. | “Identical” means in this context: |
| |
|
. | the securities are of the same nominal value with the same amount
called up or paid up; |
|
| |
|
. | they are entitled to dividend/interest at the same rate and for the same period, so that at the next ensuing
distribution, the dividend/interest payable per unit will amount to exactly the same sum (gross and net); and |
|
| |
|
. | they
carry the same rights as to unrestricted transfer, attendance and voting at meetings and rank pari passu in all other respects. |
4. | If there is insufficient space, please submit additional document. |
5. | In the context of repurchase of shares: |
|
. | “shares
issuable to be listed on SEHK” should be construed as “shares repurchased listed on SEHK”; and |
|
| |
|
. | “stock
code of shares issuable (if listed on SEHK)” should be construed as “stock code of shares repurchased (if listed on SEHK)”;
and |
|
| |
|
. | “type
of shares issuable” should be construed as “type of shares repurchased”; and |
|
| |
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. | “issue
and allotment date” should be construed as “cancellation date” |
6. | In the context of redemption of shares: |
|
. | “shares
issuable to be listed on SEHK” should be construed as “shares redeemed listed on SEHK”; and |
|
| |
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. | “stock
code of shares issuable (if listed on SEHK)” should be construed as “stock code of shares redeemed (if listed on SEHK)”;
and |
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| |
|
. | “type
of shares issuable” should be construed as “type of shares redeemed”; and |
|
| |
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. | “issue
and allotment date” should be construed as “redemption date” |
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