SMRT - Additional Listing Announcement
Company Name | SMRT HOLDINGS BERHAD (ACE Market) |
Stock Name | SMRT |
Date Announced | 19 Mar 2015 |
Category | Additional Listing Announcement (ALA) |
Reference No | MI-150319-40307 |
1. Details of Corporate Proposal | |
Whether the corporate proposal involves the issuance of new type and new class of securities? | No |
Types of corporate proposal | Private Placement |
Details of corporate proposal | Placement of up to 10% of the enlarged issued and paid-up share capital of SMRT Holdings Berhad |
No. of shares issued under this corporate proposal | 23,527,400 |
Issue price per share ($$) | MYR 0.490 |
Par Value ($$) | MYR 0.100 |
Latest issued and paid up share capital after the above corporate proposal in the following | |
Units | 258,802,353 |
Currency | MYR 25,880,235.300 |
Listing Date | 20/03/2015 |
FBMKLCI-CU - Listing Information & Profile for Structured Warrants
Name | FBMKLCI-CU: CW FTSE BURSA MALAYSIA KLCI INDEX (MIBB) |
Stock Name | FBMKLCI-CU |
Date Announced | 19 Mar 2015 |
Category | Listing Information & Profile |
Reference No | MI-150318-433A0 |
Instrument Type | Structured Warrants |
Type of Structure Warrants | Call Warrants |
Description | European Style Non-Collateralised Cash Settled |
Underlying Stock | FTSE BURSA MALAYSIA KLCI INDEX |
Issuer | MAYBANK INVESTMENT BANK BERHAD |
Stock Code | 0650CU |
Stock Short Name | FBMKLCI-CU |
ISIN Code | MYL0650CUQ36 |
Board | Structured Warrants |
Sector | STRUCTURED WARRANTS OTHERS |
Initial Listing Information | |
Listing Date | 20/03/2015 |
Term Sheet Date | 19/03/2015 |
Issue Date | 19/03/2015 |
Issue/ Ask Price | MYR 0.1500 |
Issue Size Indicator | Unit |
Issue Size in Unit | 100,000,000 |
Maturity Date | 31/03/2016 |
Exercise/Strike/Conversion Level | 1,848.8800 |
Revised Exercise/Strike/Conversion Level | |
Exercise/ Conversion Ratio | 1000:1 |
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 2014. |
FBMKLCI-CV - Listing Information & Profile for Structured Warrants
Name | FBMKLCI-CV: CW FTSE BURSA MALAYSIA KLCI INDEX (MIBB) |
Stock Name | FBMKLCI-CV |
Date Announced | 19 Mar 2015 |
Category | Listing Information & Profile |
Reference No | MI-150318-B755C |
Instrument Type | Structured Warrants |
Type of Structure Warrants | Call Warrants |
Description | European Style Non-Collateralised Cash Settled |
Underlying Stock | FTSE BURSA MALAYSIA KLCI INDEX |
Issuer | MAYBANK INVESTMENT BANK BERHAD |
Stock Code | 0650CV |
Stock Short Name | FBMKLCI-CV |
ISIN Code | MYL0650CVQ35 |
Board | Structured Warrants |
Sector | STRUCTURED WARRANTS OTHERS |
Initial Listing Information | |
Listing Date | 20/03/2015 |
Term Sheet Date | 19/03/2015 |
Issue Date | 19/03/2015 |
Issue/ Ask Price | MYR 0.1500 |
Issue Size Indicator | Unit |
Issue Size in Unit | 100,000,000 |
Maturity Date | 31/03/2016 |
Exercise/Strike/Conversion Level | 1,808.8800 |
Revised Exercise/Strike/Conversion Level | |
Exercise/ Conversion Ratio | 1200:1 |
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 2014. |
FBMKLCI-HN - Listing Information & Profile for Structured Warrants
Name | FBMKLCI-HN: PW FTSE BURSA MALAYSIA KLCI INDEX (MIBB) |
Stock Name | FBMKLCI-HN |
Date Announced | 19 Mar 2015 |
Category | Listing Information & Profile |
Reference No | MI-150318-BB74A |
Instrument Type | Structured Warrants |
Type of Structure Warrants | Put Warrants |
Description | European Style Non-Collateralised Cash Settled |
Underlying Stock | FTSE BURSA MALAYSIA KLCI INDEX |
Issuer | MAYBANK INVESTMENT BANK BERHAD |
Stock Code | 0650HN |
Stock Short Name | FBMKLCI-HN |
ISIN Code | MYL0650HNQ30 |
Board | Structured Warrants |
Sector | STRUCTURED WARRANTS OTHERS |
Initial Listing Information | |
Listing Date | 20/03/2015 |
Term Sheet Date | 19/03/2015 |
Issue Date | 19/03/2015 |
Issue/ Ask Price | MYR 0.1500 |
Issue Size Indicator | Unit |
Issue Size in Unit | 100,000,000 |
Maturity Date | 31/03/2016 |
Exercise/Strike/Conversion Level | 1,788.8800 |
Revised Exercise/Strike/Conversion Level | |
Exercise/ Conversion Ratio | 700:1 |
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 2014. |
FBMKLCI-HO - Listing Information & Profile for Structured Warrants
Name | FBMKLCI-HO: PW FTSE BURSA MALAYSIA KLCI INDEX (MIBB) |
Stock Name | FBMKLCI-HO |
Date Announced | 19 Mar 2015 |
Category | Listing Information & Profile |
Reference No | MI-150318-C003C |
Instrument Type | Structured Warrants |
Type of Structure Warrants | Put Warrants |
Description | European Style Non-Collateralised Cash Settled |
Underlying Stock | FTSE BURSA MALAYSIA KLCI INDEX |
Issuer | MAYBANK INVESTMENT BANK BERHAD |
Stock Code | 0650HO |
Stock Short Name | FBMKLCI-H0 |
ISIN Code | MYL0650HOQ39 |
Board | Structured Warrants |
Sector | STRUCTURED WARRANTS OTHERS |
Initial Listing Information | |
Listing Date | 20/03/2015 |
Term Sheet Date | 19/03/2015 |
Issue Date | 19/03/2015 |
Issue/ Ask Price | MYR 0.1500 |
Issue Size Indicator | Unit |
Issue Size in Unit | 100,000,000 |
Maturity Date | 31/03/2016 |
Exercise/Strike/Conversion Level | 1,808.8800 |
Revised Exercise/Strike/Conversion Level | |
Exercise/ Conversion Ratio | 800:1 |
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 2014. |
CIMBA40 - NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Company Name | CIMB FTSE ASEAN 40 MALAYSIA |
Stock Name | CIMBA40 |
Date Announced | 19 Mar 2015 |
Category | General Announcement |
Reference No | OB-150319-BC1A7 |
Type | Announcement |
Subject | NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE |
Description | Fund: CIMB FTSE ASEAN 40 Malaysia Date: 19-Mar-2015 IOPV per unit (RM): 1.8082 Units in circulation (units): 1,350,000.00 Management Fee (% p.a.): 0.00 Trustee Fee (% p.a.): 0.08 Index Licence Fee (% p.a.): 0.00 FTSE/ASEAN 40 Index: 10,485.60 |
CIMBC50 - NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Company Name | CIMB FTSE CHINA 50 |
Stock Name | CIMBC50 |
Date Announced | 19 Mar 2015 |
Category | General Announcement |
Reference No | OB-150319-BC16F |
Type | Announcement |
Subject | NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE |
Description | Fund: CIMB FTSE China 50 Date: 19-Mar-2015 IOPV per unit (RM): 1.3131 Units in circulation (units): 11,700,000.00 Management Fee (% p.a.): 0.60 Trustee Fee (% p.a.): 0.08 Index Licence Fee (% p.a.): 0.04 FTSE/Xinhua China 25 Index: 19,129.59 |
BSTEAD - OTHERS BOUSTEAD HOLDINGS BERHAD (“BHB” OR “THE COMPANY”) RECEIPT OF LETTER OF ACCEPTANCE BY BOUSTEAD NAVAL SHIPYARD SDN BHD ("BNS") FROM THE MINISTRY OF DEFENCE, AND ISSUANCE OF LETTER OF AWARD BY BNS TO BHIC NAVALTECH SDN BHD
Company Name | BOUSTEAD HOLDINGS BERHAD |
Stock Name | BSTEAD |
Date Announced | 19 Mar 2015 |
Category | General Announcement |
Reference No | BH-150318-39464 |
Type | Announcement |
Subject | OTHERS |
Description | BOUSTEAD HOLDINGS BERHAD (“BHB” OR “THE COMPANY”) RECEIPT OF LETTER OF ACCEPTANCE BY BOUSTEAD NAVAL SHIPYARD SDN BHD ("BNS") FROM THE MINISTRY OF DEFENCE, AND ISSUANCE OF LETTER OF AWARD BY BNS TO BHIC NAVALTECH SDN BHD |
BHB is pleased to announce that its subsidiary company, Boustead Naval Shipyard Sdn Bhd (“BNS”), has on 19 March 2015, received and accepted a Letter of Acceptance (“LOA”) from the Ministry of Defence Malaysia for the supply and delivery of spares, maintenance, Integrated Logistic Support (ILS) and training for the 17th Patrol Vessel Squadron of the Royal Malaysian Navy. Following the receipt of the LOA, BNS agreed for BHIC Navaltech Sdn Bhd (“BNT”) to undertake the administration and implementation of the Contract (“the sub-Contract”). BNT is a wholly-owned subsidiary of Boustead Heavy Industries Corporation Berhad (“BHIC”) held via Boustead Penang Shipyard Sdn Bhd. Please refer to the attachment for details of the announcement. This announcement is dated 19 March 2015. |
TENAGA - TAKE-OVERS & MERGERS (CHAPTER 11 OF LISTING REQUIREMENTS)
Company Name | TENAGA NASIONAL BHD |
Stock Name | TENAGA |
Date Announced | 19 Mar 2015 |
Category | General Announcement |
Reference No | MM-150319-39350 |
Type | Announcement | ||||||
Subject | TAKE-OVERS & MERGERS (CHAPTER 11 OF LISTING REQUIREMENTS) | ||||||
Description | TENAGA NASIONAL BERHAD (“TNB” OR “OFFEROR”) DISCLOSURE OF DEALINGS IN ACCORDANCE WITH SECTION 33 OF THE MALAYSIAN CODE ON TAKE-OVERS AND MERGERS 2010 (“CODE”) | ||||||
We refer to the announcement dated 9 January 2015 on the conditional take-over offer by TNB to acquire all the remaining ordinary shares of RM1.00 each in Integrax Berhad (“Integrax”) which are not already held by TNB. CIMB Investment Bank Berhad (“CIMB”) wishes to announce that CIMB, being a connected person to the Offeror, has dealt in ordinary shares of RM1.00 each in TNB (“TNB Shares”) for its own account on 18 March 2015, details of which are as follows:
Note: * Refers to price per share excluding broker’s commission, stamp duty, etc
This announcement is dated 19 March 2015.
|
TENAGA - TAKE-OVERS & MERGERS (CHAPTER 11 OF LISTING REQUIREMENTS)
Company Name | TENAGA NASIONAL BHD |
Stock Name | TENAGA |
Date Announced | 19 Mar 2015 |
Category | General Announcement |
Reference No | TN-150319-40883 |
Type | Announcement | ||||||||||||
Subject | TAKE-OVERS & MERGERS (CHAPTER 11 OF LISTING REQUIREMENTS) | ||||||||||||
Description | TENAGA NASIONAL BERHAD (“TNB” OR THE "COMPANY") DISCLOSURE OF DEALINGS IN ACCORDANCE WITH SECTION 33 OF THE MALAYSIAN CODE ON TAKE-OVERS AND MERGERS 2010 ("CODE") | ||||||||||||
We refer to the announcement dated 26 February 2015 on the conditional take-over offer by TNB to acquire all the remaining ordinary shares of RM1.00 each in Integrax Berhad (“Integrax/Integrax Shares”) which are not already held by TNB at a revised cash offer price of RM3.25 per Offer Share (“Revised Offer Price”). The Company wishes to announce that AmanahRaya Trustees Berhad has dealt in the ordinary shares of RM1.00 each in TNB (“TNB Shares”), details of which is as follows:-
This announcement is dated 19 March 2015. |
No comments:
Post a Comment