PMHLDG - Quarterly rpt on consolidated results for the financial period ended 31/12/2013
Company Name | PAN MALAYSIA HOLDINGS BERHAD |
Stock Name | PMHLDG |
Date Announced | 17 Feb 2014 |
Category | Financial Results |
Reference No | PM-140214-FBA2E |
Financial Year End | 31/12/2013 |
Quarter | 4 |
Quarterly report for the financial period ended | 31/12/2013 |
The figures | have not been audited |
- Default Currency
- Other Currency
Currency: Malaysian Ringgit (MYR)
SUMMARY OF KEY FINANCIAL INFORMATION31/12/2013 |
INDIVIDUAL PERIOD | CUMULATIVE PERIOD | ||||
CURRENT YEAR QUARTER | PRECEDING YEAR CORRESPONDING QUARTER | CURRENT YEAR TO DATE | PRECEDING YEAR CORRESPONDING PERIOD | ||
$$'000 | $$'000 | $$'000 | $$'000 | ||
1 | Revenue | 3,656 | 3,286 | 11,605 | 11,116 |
2 | Profit/(loss) before tax | -8,812 | -38,825 | -9,667 | -39,331 |
3 | Profit/(loss) for the period | -8,864 | -38,819 | -9,738 | -39,325 |
4 | Profit/(loss) attributable to ordinary equity holders of the parent | -8,864 | -38,819 | -9,738 | -39,325 |
5 | Basic earnings/(loss) per share (Subunit) | -0.95 | -4.18 | -1.05 | -4.23 |
6 | Proposed/Declared dividend per share (Subunit) | 0.00 | 0.00 | 0.00 | 0.00 |
AS AT END OF CURRENT QUARTER | AS AT PRECEDING FINANCIAL YEAR END | ||||
7 | Net assets per share attributable to ordinary equity holders of the parent ($$) | 0.0652 | 0.0759 |
In a currency system, there is usually a main unit (base) and subunit that is a fraction amount of the main unit.
Example for the subunit as follows:
Country | Base Unit | Subunit |
Malaysia | Ringgit | Sen |
United States | Dollar | Cent |
United Kingdom | Pound | Pence |
PMCAP - Quarterly rpt on consolidated results for the financial period ended 31/12/2013
Company Name | PAN MALAYSIA CAPITAL BERHAD |
Stock Name | PMCAP |
Date Announced | 17 Feb 2014 |
Category | Financial Results |
Reference No | PM-140217-3800A |
Financial Year End | 31/12/2013 |
Quarter | 4 |
Quarterly report for the financial period ended | 31/12/2013 |
The figures | have not been audited |
- Default Currency
- Other Currency
Currency: Malaysian Ringgit (MYR)
SUMMARY OF KEY FINANCIAL INFORMATION31/12/2013 |
INDIVIDUAL PERIOD | CUMULATIVE PERIOD | ||||
CURRENT YEAR QUARTER | PRECEDING YEAR CORRESPONDING QUARTER | CURRENT YEAR TO DATE | PRECEDING YEAR CORRESPONDING PERIOD | ||
$$'000 | $$'000 | $$'000 | $$'000 | ||
1 | Revenue | 5,868 | 3,400 | 21,618 | 17,337 |
2 | Profit/(loss) before tax | -17,766 | -101,374 | -18,501 | -102,050 |
3 | Profit/(loss) for the period | -22,049 | -112,437 | -21,928 | -113,555 |
4 | Profit/(loss) attributable to ordinary equity holders of the parent | -22,049 | -112,437 | -21,928 | -113,555 |
5 | Basic earnings/(loss) per share (Subunit) | -2.70 | -13.79 | -2.69 | -13.93 |
6 | Proposed/Declared dividend per share (Subunit) | 0.00 | 0.00 | 0.00 | 0.00 |
AS AT END OF CURRENT QUARTER | AS AT PRECEDING FINANCIAL YEAR END | ||||
7 | Net assets per share attributable to ordinary equity holders of the parent ($$) | 0.0071 | 0.0340 |
In a currency system, there is usually a main unit (base) and subunit that is a fraction amount of the main unit.
Example for the subunit as follows:
Country | Base Unit | Subunit |
Malaysia | Ringgit | Sen |
United States | Dollar | Cent |
United Kingdom | Pound | Pence |
PERISAI-CE - Listing Information & Profile for Structured Warrants
Name | PERISAI-CE: CW PERISAI PETROLEUM TEKNOLOGI BHD (MIBB) |
Stock Name | PERISAI-CE |
Date Announced | 18 Feb 2014 |
Category | Listing Information & Profile |
Reference No | MI-140217-57287 |
Instrument Type | Structured Warrants |
Type of Structure Warrants | Call Warrants |
Description | European Style Non-Collateralised Cash-Settled |
Underlying Stock | PERISAI PETROLEUM TEKNOLOGI BERHAD |
Issuer | MAYBANK INVESTMENT BANK BERHAD |
Stock Code | 0047CE |
Stock Short Name | PERISAI-CE |
ISIN Code | MYQ0047CEP34 |
Board | Structured Warrants |
Sector | TRADING/SERVICES |
Initial Listing Information | |
Listing Date | 19/02/2014 |
Term Sheet Date | 18/02/2014 |
Issue Date | 18/02/2014 |
Issue/ Ask Price | MYR 0.1500 |
Issue Size Indicator | Unit |
Issue Size in Unit | 100,000,000 |
Maturity Date | 09/03/2015 |
Exercise/Strike/Conversion Price | MYR 1.7800 |
Revised Exercise/Strike/Conversion Price | |
Exercise/ Conversion Ratio | 2:1 |
Revised Exercise/ Conversion Ratio | |
Settlement Type/ Convertible into | Cash |
Name and contact details of market maker (if applicable) | Equity & Commodity Derivatives Group c/o Maybank Investment Bank Berhad 32nd Floor, Menara Maybank 100, Jalan Tun Perak 50050 Kuala Lumpur Tel: 03-2059 1888 |
Circumstances under which the market maker may not be able to provide quotes (if applicable) | Please refer to Section 3.4 of the Base Prospectus dated 2 October 2013 |
PMHLDG - PMHLDG-Trading Halt
Company Name | PAN MALAYSIA HOLDINGS BERHAD |
Stock Name | PMHLDG |
Date Announced | 18 Feb 2014 |
Category | Listing Circular |
Reference No | NM-140218-31070 |
LISTING'S CIRCULAR NO. L/Q : 69835 OF 2014
Kindly be advised that trading in the above Company's shares will be halted with effect from 9.00 a.m., Tuesday, 18 February 2014.
Trading in the shares will resume with effect from 10.00 a.m., Tuesday, 18 February 2014.
Your attention is drawn to the Company's announcement dated 17 February 2014.
PMCAP - PMCAP-Trading Halt
Company Name | PAN MALAYSIA CAPITAL BERHAD |
Stock Name | PMCAP |
Date Announced | 18 Feb 2014 |
Category | Listing Circular |
Reference No | NM-140218-30761 |
LISTING'S CIRCULAR NO. L/Q : 69834 OF 2014
Kindly be advised that trading in the above Company's shares will be halted with effect from 9.00 a.m., Tuesday, 18 February 2014.
Trading in the shares will resume with effect from 10.00 a.m., Tuesday, 18 February 2014.
Your attention is drawn to the Company's announcement dated 17 February 2014.
COASTAL-CB - Listing Information & Profile for Structured Warrants
Name | COASTAL-CB: CW COASTAL CONTRACTS BHD (MIBB) |
Stock Name | COASTAL-CB |
Date Announced | 18 Feb 2014 |
Category | Listing Information & Profile |
Reference No | MI-140217-55419 |
Instrument Type | Structured Warrants |
Type of Structure Warrants | Call Warrants |
Description | European Style Non-Collateralised Cash-Settled |
Underlying Stock | COASTAL CONTRACTS BERHAD |
Issuer | MAYBANK INVESTMENT BANK BERHAD |
Stock Code | 5071CB |
Stock Short Name | COASTAL-CB |
ISIN Code | MYL5071CBP30 |
Board | Structured Warrants |
Sector | INDUSTRIAL PRODUCTS |
Initial Listing Information | |
Listing Date | 19/02/2014 |
Term Sheet Date | 18/02/2014 |
Issue Date | 18/02/2014 |
Issue/ Ask Price | MYR 0.1500 |
Issue Size Indicator | Unit |
Issue Size in Unit | 100,000,000 |
Maturity Date | 09/03/2015 |
Exercise/Strike/Conversion Price | MYR 4.1800 |
Revised Exercise/Strike/Conversion Price | |
Exercise/ Conversion Ratio | 8:1 |
Revised Exercise/ Conversion Ratio | |
Settlement Type/ Convertible into | Cash |
Name and contact details of market maker (if applicable) | Equity & Commodity Derivatives Group c/o Maybank Investment Bank Berhad 32nd Floor, Menara Maybank 100, Jalan Tun Perak 50050 Kuala Lumpur Tel: 03-2059 1888 |
Circumstances under which the market maker may not be able to provide quotes (if applicable) | Please refer to Section 3.4 of the Base Prospectus dated 2 October 2013 |
MAYBULK-CN - Listing Information & Profile for Structured Warrants
Name | MAYBULK-CN: CW MALAYSIAN BULK CARRIERS BHD (MIBB) |
Stock Name | MAYBULK-CN |
Date Announced | 18 Feb 2014 |
Category | Listing Information & Profile |
Reference No | MI-140217-56320 |
Instrument Type | Structured Warrants |
Type of Structure Warrants | Call Warrants |
Description | European Style Non-Collateralised Cash-Settled |
Underlying Stock | MALAYSIAN BULK CARRIERS BERHAD |
Issuer | MAYBANK INVESTMENT BANK BERHAD |
Stock Code | 5077CN |
Stock Short Name | MAYBULK-CN |
ISIN Code | MYL5077CNP30 |
Board | Structured Warrants |
Sector | TRADING/SERVICES |
Initial Listing Information | |
Listing Date | 19/02/2014 |
Term Sheet Date | 18/02/2014 |
Issue Date | 18/02/2014 |
Issue/ Ask Price | MYR 0.1500 |
Issue Size Indicator | Unit |
Issue Size in Unit | 100,000,000 |
Maturity Date | 09/03/2015 |
Exercise/Strike/Conversion Price | MYR 2.0800 |
Revised Exercise/Strike/Conversion Price | |
Exercise/ Conversion Ratio | 2:1 |
Revised Exercise/ Conversion Ratio | |
Settlement Type/ Convertible into | Cash |
Name and contact details of market maker (if applicable) | Equity & Commodity Derivatives Group c/o Maybank Investment Bank Berhad 32nd Floor, Menara Maybank 100, Jalan Tun Perak 50050 Kuala Lumpur Tel: 03-2059 1888 |
Circumstances under which the market maker may not be able to provide quotes (if applicable) | Please refer to Section 3.4 of the Base Prospectus dated 2 October 2013 |
MHB-CU - Listing Information & Profile for Structured Warrants
Name | MHB-CU: CW M'SIA MARINE & HEAVY ENG HLD BHD (MIBB) |
Stock Name | MHB-CU |
Date Announced | 18 Feb 2014 |
Category | Listing Information & Profile |
Reference No | MI-140217-56119 |
Instrument Type | Structured Warrants |
Type of Structure Warrants | Call Warrants |
Description | European Style Non-Collateralised Cash-Settled |
Underlying Stock | MALAYSIA MARINE & HEAVY ENGINEERING HOLDINGS BERHAD |
Issuer | MAYBANK INVESTMENT BANK BERHAD |
Stock Code | 5186CU |
Stock Short Name | MHB-CU |
ISIN Code | MYL5186CUP39 |
Board | Structured Warrants |
Sector | TRADING/SERVICES |
Initial Listing Information | |
Listing Date | 19/02/2014 |
Term Sheet Date | 18/02/2014 |
Issue Date | 18/02/2014 |
Issue/ Ask Price | MYR 0.1500 |
Issue Size Indicator | Unit |
Issue Size in Unit | 100,000,000 |
Maturity Date | 09/03/2015 |
Exercise/Strike/Conversion Price | MYR 3.4800 |
Revised Exercise/Strike/Conversion Price | |
Exercise/ Conversion Ratio | 8:1 |
Revised Exercise/ Conversion Ratio | |
Settlement Type/ Convertible into | Cash |
Name and contact details of market maker (if applicable) | Equity & Commodity Derivatives Group c/o Maybank Investment Bank Berhad 32nd Floor, Menara Maybank 100, Jalan Tun Perak 50050 Kuala Lumpur Tel: 03-2059 1888 |
Circumstances under which the market maker may not be able to provide quotes (if applicable) | Please refer to Section 3.4 of the Base Prospectus dated 2 October 2013 |
NCB-CB - Listing Information & Profile for Structured Warrants
Name | NCB-CB: CW NCB HLD BHD (MIBB) |
Stock Name | NCB-CB |
Date Announced | 18 Feb 2014 |
Category | Listing Information & Profile |
Reference No | MI-140217-56815 |
Instrument Type | Structured Warrants |
Type of Structure Warrants | Call Warrants |
Description | European Style Non-Collateralised Cash-Settled |
Underlying Stock | NCB HOLDINGS BERHAD |
Issuer | MAYBANK INVESTMENT BANK BERHAD |
Stock Code | 5509CB |
Stock Short Name | NCB-CB |
ISIN Code | MYL5509CBP32 |
Board | Structured Warrants |
Sector | TRADING/SERVICES |
Initial Listing Information | |
Listing Date | 19/02/2014 |
Term Sheet Date | 18/02/2014 |
Issue Date | 18/02/2014 |
Issue/ Ask Price | MYR 0.1500 |
Issue Size Indicator | Unit |
Issue Size in Unit | 100,000,000 |
Maturity Date | 09/03/2015 |
Exercise/Strike/Conversion Price | MYR 3.4800 |
Revised Exercise/Strike/Conversion Price | |
Exercise/ Conversion Ratio | 5:1 |
Revised Exercise/ Conversion Ratio | |
Settlement Type/ Convertible into | Cash |
Name and contact details of market maker (if applicable) | Equity & Commodity Derivatives Group c/o Maybank Investment Bank Berhad 32nd Floor, Menara Maybank 100, Jalan Tun Perak 50050 Kuala Lumpur Tel: 03-2059 1888 |
Circumstances under which the market maker may not be able to provide quotes (if applicable) | Please refer to Section 3.4 of the Base Prospectus dated 2 October 2013 |
PETDAG-CK - Listing Information & Profile for Structured Warrants
Name | PETDAG-CK: CW PETRONAS DAGANGAN BHD (MIBB) |
Stock Name | PETDAG-CK |
Date Announced | 18 Feb 2014 |
Category | Listing Information & Profile |
Reference No | MI-140217-57832 |
Instrument Type | Structured Warrants |
Type of Structure Warrants | Call Warrants |
Description | European Style Non-Collateralised Cash-Settled |
Underlying Stock | PETRONAS DAGANGAN BERHAD |
Issuer | MAYBANK INVESTMENT BANK BERHAD |
Stock Code | 5681CK |
Stock Short Name | PETDAG-CK |
ISIN Code | MYL5681CKP31 |
Board | Structured Warrants |
Sector | TRADING/SERVICES |
Initial Listing Information | |
Listing Date | 19/02/2014 |
Term Sheet Date | 18/02/2014 |
Issue Date | 18/02/2014 |
Issue/ Ask Price | MYR 0.1500 |
Issue Size Indicator | Unit |
Issue Size in Unit | 100,000,000 |
Maturity Date | 09/03/2015 |
Exercise/Strike/Conversion Price | MYR 32.0000 |
Revised Exercise/Strike/Conversion Price | |
Exercise/ Conversion Ratio | 25:1 |
Revised Exercise/ Conversion Ratio | |
Settlement Type/ Convertible into | Cash |
Name and contact details of market maker (if applicable) | Equity & Commodity Derivatives Group c/o Maybank Investment Bank Berhad 32nd Floor, Menara Maybank 100, Jalan Tun Perak 50050 Kuala Lumpur Tel: 03-2059 1888 |
Circumstances under which the market maker may not be able to provide quotes (if applicable) | Please refer to Section 3.4 of the Base Prospectus dated 2 October 2013 |
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