(ii) 向监管机构表明本集团管理层及╱或任何对本公司管理及营运具有重大影响力的人士的诚信、能力及╱或品格并无合理的监管疑虑而可能令投资者承受风险或损害市场信心;
(iii) 刊发上市规则所规定而尚未刊发的所有财务业绩,并处理任何审核修订;
(iv) 进行独立内部监控审查,并表明本公司已设有足够的内部监控与程序,以履行上市规则规定的义务;
(v) 证明本公司遵守上市规则第13.24条的规定;及
(vi) 向市场公布所有重大资讯,以供本公司股东及投资者评估其状况。
此外,公司股份继续停牌。
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