Issuer: ZHI SHENG GROUP HOLDINGS LIMITED Stock code: 8370.HK Principal amount of Convertible Bonds: US$8,000,000 Completion Date: 2021 Aug 6 Our role: Placing Agent PLACING OF CONVERTIBLE BONDS – ZHI SHENG GROUP HOLDINGS LIMITED (8370.HK)2021-08-042022-03-11https://www.forwin-holding.com/wp-content/uploads/2019/06/logo_20190619a.png富榮控股有限公司https://www.forwin-holding.com/wp-content/uploads/2019/06/logo_20190619a.png200px200px