FORM 9

NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES 1 (or securities convertible or exchangeable into listed securities )

Please complete the following:

Name of Listed Issuer: EA Education Group Inc. (the “Issuer”).

Trading Symbol:EA .

Date: June 22, 2016 .

Is this an updating or amending Notice: Yes ■No

If yes provide date(s) of prior Notices: N/A______.

Issued and Outstanding Securities of Issuer Prior to Issuance: 171,132,868 .

Date of News Release Announcing Private Placement: May 4, 2016 .

Closing Market Price on Day Preceding the Issuance of the News Release:$0.095

1. Private Placement (if shares are being issued in connection with an acquisition (either as consideration or to raise funds for a cash acquisition), proceed to Part 2 of this form)

No. of Full Name & Number of Purchase Conversion Prospectus Securities, Payment Describe Residential Address of Securities price per Price (if Exemption directly or Date(1) relations Placee Purchased or Security Applicable) indirectly, -hip to to be (CDN$) Owned, Issuer Purchased Controlled or (2) Directed Zhang Li Li Room 502, Unit 2, Building No.6, JinXiu 100,000 Yuan, LuShan Garden 45- June 7, common $0.10 N/A Nil N/A No.730 Nanjing East 106(s.2.3) 2016 Road, Qingshan Lake shares Nanchang, Jiangxi , Liu Hui Juan No.2 Eight Lane North 20,000 District Hudong Hexi 45- June 7, common $0.10 N/A Nil N/A Town, Chaoyang 106(s.2.3) 2016 shares District Shantou, Guangdong, China FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES January 2015 Page 1 No. of Full Name & Number of Purchase Conversion Prospectus Securities, Payment Describe Residential Address of Securities price per Price (if Exemption directly or Date(1) relations Placee Purchased or Security Applicable) indirectly, -hip to to be (CDN$) Owned, Issuer Purchased Controlled or (2) Directed He Xiu Xiu Room 306, Building 32, Guimiao New 60,000 45- June 7, Village Xuefu Road, common $0.10 N/A Nil N/A 106(s.2.3) 2016 Nanshan District, shares Shenzhen, Guangdong, China Zhou Xiao Yu Floor 1314, Qian Hai Jin, An Jin Feng Ge, 1,010,000 100,000 45- June 7, No.122, Taoyuan common $0.10 N/A Common N/A 106(s.2.3) 2016 Road, Nanshan shares shares District, Shenzhen, Guangdong, China Yu Qing Long Room 2-1101, Building 1, Hai You 60,000 45- June 7, Chong Hua Village, common $0.10 N/A Nil N/A 106(s.2.3) 2016 Hushan Road, Licang shares District, , , China. Su Jia Bing Room 303 Unit 3, 17th 110,000 Building Qili 45- June 7, common $0.10 N/A Nil N/A Village(South)-6 106(s.2.3) 2016 Central District , shares Shandong, China Yu Xin Xing 15 Floor Block B, Xiuming Garden 140,000 45- June 7, Shenye Ridge No. 68 common $0.10 N/A Nil N/A 106(s.2.3) 2016 Hongwei Road, Futian shares District Shenzhen, Guangdong, China Wang Ping Room 1202, Building 12, A District, 70,000 45- June 7, NanChiShuiJing Park, common $0.10 N/A Nil N/A 106(s.2.3) 2016 Rencheng District, shares , Shandong, China Li QiTong Rm 1004, Unit 3, 50,000 Building 6, 1 Jida 45- June 7, common $0.10 N/A Nil N/A Road, Xiangzhou 106(s.2.3) 2016 District, Zouhai, shares Guangdong, China FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES January 2015 Page 2 No. of Full Name & Number of Purchase Conversion Prospectus Securities, Payment Describe Residential Address of Securities price per Price (if Exemption directly or Date(1) relations Placee Purchased or Security Applicable) indirectly, -hip to to be (CDN$) Owned, Issuer Purchased Controlled or (2) Directed 519000

Zhong Gui Hua Building 4, Tai Hua 60,000 Mountain Villa, 45- June 7, common $0.10 N/A Nil N/A Shanghai North Road, 106(s.2.3) 2016 Nanchang, JiangXi, shares China Zhou Jing Beijing 50,000 HuaQiaoCheng(OCT) 45- June 7, common $0.10 N/A Nil N/A No. 2 Hospital 8#-3- 106(s.2.3) 2016 702, Chaoyang shares District, Beijing, China Liu Ling Room 602, Building 2 Jiafu Commercial 150,000 45- June 7, Plaza No.189 Beihai common $0.10 N/A Nil N/A 106(s.2.3) 2016 Road, Haicheng shares District, Beihai, Guangxi , China. Ma Ying Ping Room 69, Group 3, 50,000 Hehuaqiao Village, 45- June 7, common $0.10 N/A Nil N/A Fanjiang Town, 106(s.2.3) 2016 Xiangxiang, Hunan, shares China Zhang Jia Guo Room 301, in the Unit Building No. 2, 60,000 Finance Bureau 45- June 7, common $0.10 N/A Nil N/A Family Housing 106(s.2.3) 2016 Facility, Hedong shares District, , Shandong, China Yang Li Bin No. 6 Apartment, Entrance 3, Building 13, Wangxingyuan 550,000 Housing Estate, 45- June 7, common $0.10 N/A Nil N/A Daxue Road East, 106(s.2.3) 2016 Saihan District, shares Hohhot, Inner Mongolia Autonomous Region, China FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES January 2015 Page 3 No. of Full Name & Number of Purchase Conversion Prospectus Securities, Payment Describe Residential Address of Securities price per Price (if Exemption directly or Date(1) relations Placee Purchased or Security Applicable) indirectly, -hip to to be (CDN$) Owned, Issuer Purchased Controlled or (2) Directed Liu Fang No. 358, Unit 1 No.5, 120,000 45- June 7, Four Weft Road, common $0.10 N/A Nil N/A 106(s.2.3) 2016 Yuhui District, shares Bengbu, Anhui, China Feng Shou Jing No. 7, West Group 70,000 One, Xianggu Village, 45- June 7, common $0.10 N/A Nil N/A Changle Town, Hepu 106(s.2.3) 2016 County, Guangxi, shares China Yang Jie Room 202, Unit C, 1st Building, No.1299, 110,000 45- June 7, 2nd Ping Road common $0.10 N/A Nil N/A 106(s.2.3) 2016 (South), Central shares District, JiNan, Shandong, China Shi Dong Jun Room 401, Unit 2, 2nd Building, Jiangjia 50,000 45- June 7, Lane, Leju Street, common $0.10 N/A Nil N/A 106(s.2.3) 2016 Gaoshi Road (North), shares Yuanzhou District, Yichun, Jiangxi, China Li Li No. 28 Jilin Road 200,000 Gruandong Industrial 45- June 7, common $0.10 N/A Nil N/A Park, Jiaozhou, 106(s.2.3) 2016 Qingdao, Shandong, shares China Wang A Lin Room 404, Building 20,000 45- June 7, 12, Mingdu Village, common $0.10 N/A Nil N/A 106(s.2.3) 2016 Ximei Road, Nanan, shares Fujian, China Soon Paik Keow 77 Susuran Anggerik, 64,000 45- June 7, TMN Anggerik FASA common $0.10 N/A Nil N/A 106(s.2.3) 2016 4, 05050 Alor Setar, shares Kedah, Malaysia Ye Li 100,000 78 Nortonville Dr, 45- June 13, common $0.10 N/A Nil N/A Scarborough, ON, 106(s.2.3) 2016 M1T 2G8 shares

FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES January 2015 Page 4 No. of Full Name & Number of Purchase Conversion Prospectus Securities, Payment Describe Residential Address of Securities price per Price (if Exemption directly or Date(1) relations Placee Purchased or Security Applicable) indirectly, -hip to to be (CDN$) Owned, Issuer Purchased Controlled or (2) Directed Shu Juan Luo 500,000 36 Avonlea Place, 45- June 13, common $0.10 N/A Nil N/A Richmond Hill, ON, 106(s.2.3) 2016 L4B 3N8 shares Li Li 3-5-2 Nanshajie, 200,000 45- June 13, Shahekouqu , common $0.10 N/A Nil N/A 106(s.2.3) 2016 Dalianshi, Liaoning, shares China

(1) Indicate date each placee advanced or is expected to advance payment for securities. Provide details of expected payment date, conditions to release of funds etc. Indicate if the placement funds been placed in trust pending receipt of all necessary approvals.

(2) Indicate if Related Person.

1An issuance of non-convertible debt does not have to be reported unless it is a significant transaction as defined in Policy 7, in which case it is to be reported on Form 10.

1. Total amount of funds to be raised: $306,400 (Tranche 1) out of offering of up to $1,200,000.

2. Provide full details of the use of the proceeds. The disclosure should be sufficiently complete to enable a reader to appreciate the significance of the transaction without reference to any other material. The proceeds of financing shall be used for working capital and general corporate purposes. .

3. Provide particulars of any proceeds which are to be paid to Related Persons of the Issuer: Not applicable .

4. If securities are issued in forgiveness of indebtedness, provide details and attach the debt agreement(s) or other documentation evidencing the debt and the agreement to exchange the debt for securities.Not applicable

5. Description of securities to be issued:

(a) Class common shares .

(b) Number 3,064,000 (Tranche 1) .

(c) Price per security $0.10 . FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES January 2015 Page 5 (d) Voting rights one vote per common share

6. Provide the following information if Warrants, (options) or other convertible securities are to be issued:

(a) Number Nil .

(b) Number of securities eligible to be purchased on exercise of Warrants (or options) .

(c) Exercise price .

(d) Expiry date .

7. Provide the following information if debt securities are to be issued: N/A

(a) Aggregate principal amount .

(b) Maturity date .

(c) Interest rate .

(d) Conversion terms .

(e) Default provisions .

8. Provide the following information for any agent’s fee, commission, bonus or finder’s fee, or other compensation paid or to be paid in connection with the placement (including warrants, options, etc.):

(a) Details of any dealer, agent, broker or other person receiving compensation in connection with the placement (name, address. If a corporation, identify persons owning or exercising voting control over 20% or more of the voting shares if known to the Issuer):Please see below.

1. Amy Xiang Yan Zhou Room 1003, Building A, Logan Century, 21 Hai Xu Road, Baon District, Shenzhen, Guangdong, China Cash: $11,320

(b) Cash 5% cash commission is payable .

(c) Securities Not applicable .

(d) Other .

(e) Expiry date of any options, warrants etc. . FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES January 2015 Page 6 (f) Exercise price of any options, warrants etc. .

9. State whether the sales agent, broker, dealer or other person receiving compensation in connection with the placement is Related Person or has any other relationship with the Issuer and provide details of the relationship

Arm’s length .

10. Describe any unusual particulars of the transaction (i.e. tax “flow through” shares, etc.).

Not applicable .

11. State whether the private placement will result in a change of control.

Not applicable .

12. Where there is a change in the control of the Issuer resulting from the issuance of the private placement shares, indicate the names of the new controlling shareholders

.

13. Each purchaser has been advised of the applicable securities legislation restricted or seasoning period. All certificates for securities issued which are subject to a hold period bear the appropriate legend restricting their transfer until the expiry of the applicable hold period required by National Instrument 45-102.

2. Acquisition

1. Provide details of the assets to be acquired by the Issuer (including the location of the assets, if applicable). The disclosure should be sufficiently complete to enable a reader to appreciate the significance of the transaction without reference to any other material:.

2. Provide details of the acquisition including the date, parties to and type of agreement (eg: sale, option, license etc.) and relationship to the Issuer. The disclosure should be sufficiently complete to enable a reader to appreciate the significance of the acquisition without reference to any other material: .

3. Provide the following information in relation to the total consideration for the acquisition (including details of all cash, securities or other consideration) and any required work commitments:

(a) Total aggregate consideration in Canadian dollars: . FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES January 2015 Page 7 (b) Cash: .

(c) Securities (including options, warrants etc.) and dollar value: .

(d) Other: .

(e) Expiry date of options, warrants, etc. if any: .

(f) Exercise price of options, warrants, etc. if any: .

(g) Work commitments: .

4. State how the purchase or sale price was determined (e.g. arm’s-length negotiation, independent committee of the Board, third party valuation etc).

.

5. Provide details of any appraisal or valuation of the subject of the acquisition known to management of the Issuer: .

6. The names of parties receiving securities of the Issuer pursuant to the acquisition and the number of securities to be issued are described as follows:

Name of Party (If Number and Dollar Conversion Prospectus No. of Describe not an Type of value price (if Exemption Securities, relationship individual, name Securities to per applicable) directly or to Issuer(1) all insiders of be Issued Securit indirectly, the Party) y Owned, (CDN$) Controlled or Directed by Party

(1) Indicate if Related Person

FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES January 2015 Page 8 7. Details of the steps taken by the Issuer to ensure that the vendor has good title to the assets being acquired:.

8. Provide the following information for any agent’s fee, commission, bonus or finder’s fee, or other compensation paid or to be paid in connection with the acquisition (including warrants, options, etc.):

(a) Details of any dealer, agent, broker or other person receiving compensation in connection with the acquisition (name, address. If a corporation, identify persons owning or exercising voting control over 20% or more of the voting shares if known to the Issuer): .

(b) Cash .

(c) Securities .

(d) Other .

(e) Expiry date of any options, warrants etc. .

(f) Exercise price of any options, warrants etc. .

9. State whether the sales agent, broker or other person receiving compensation in connection with the acquisition is a Related Person or has any other relationship with the Issuer and provide details of the relationship.

10. If applicable, indicate whether the acquisition is the acquisition of an interest in property contiguous to or otherwise related to any other asset acquired in the last 12 months.

.

FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES January 2015 Page 9 Certificate Of Compliance

The undersigned hereby certifies that:

1. The undersigned is a director and/or senior officer of the Issuer and has been duly authorized by a resolution of the board of directors of the Issuer to sign this Certificate of Compliance on behalf of the Issuer.

2. As of the date hereof there is not material information concerning the Issuer which has not been publicly disclosed.

3. The undersigned hereby certifies to the Exchange that the Issuer is in compliance with the requirements of applicable securities legislation (as such term is defined in National Instrument 14-101) and all Exchange Requirements (as defined in CSE Policy 1).

4. All of the information in this Form 9 Notice of Issuance of Securities is true.

Dated: June 22, 2016

Wen Xu Name of Director or Senior Officer

“Wen Xu” Signature

President Official Capacity

FORM 9 – NOTICE OF PROPOSED ISSUANCE OF LISTED SECURITIES January 2015 Page 10