METFSID - NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Company Name | MYETF MSCI SEA ISLAMIC DIVIDEND |
Stock Name | METFSID |
Date Announced | 26 May 2015 |
Category | General Announcement for PLC |
Reference Number | GA1-26052015-00032 |
Type | Announcement |
Subject | NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE |
Description | Fund: MYETF-MSEAD Date: 26-May-2015 NAV per unit (RM): 1.0011 Units in circulation (units): 20,000,000.00 Manager's Fee (p.a.): 0.65 Trustee's Fee (% p.a.): 0.045 Index License Fee (% p.a.): 0.06 MSCI Islamic High DVD Yield 10/40 Index: 2,404.65 |
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HLFG - Quarterly rpt on consolidated results for the financial period ended 31/03/2015
Company Name | HONG LEONG FINANCIAL GROUP BERHAD |
Stock Name | HLFG |
Date Announced | 26 May 2015 |
Category | Financial Results |
Reference Number | FRA-26052015-00004 |
Financial Year End | 30 Jun 2015 |
Quarter | 3 Qtr |
Quarterly report for the financial period ended | 31 Mar 2015 |
The figures | have not been audited |
- Default Currency
- Other Currency
Currency: Malaysian Ringgit (MYR)
SUMMARY OF KEY FINANCIAL INFORMATION
|
INDIVIDUAL PERIOD
|
CUMULATIVE PERIOD
|
||||
CURRENT YEAR QUARTER
|
PRECEDING YEAR CORRESPONDING QUARTER |
CURRENT YEAR TO DATE
|
PRECEDING YEAR CORRESPONDING PERIOD |
||
31 Mar 2015
|
31 Mar 2014
|
31 Mar 2015
|
31 Mar 2014
|
||
$$'000
|
$$'000
|
$$'000
|
$$'000
|
||
1 | Revenue |
1,045,958
|
1,053,480
|
3,272,018
|
3,402,673
|
2 | Profit/(loss) before tax |
699,716
|
727,859
|
2,242,831
|
2,293,612
|
3 | Profit/(loss) for the period |
549,150
|
609,882
|
1,770,714
|
1,857,638
|
4 | Profit/(loss) attributable to ordinary equity holders of the parent |
363,499
|
414,680
|
1,179,493
|
1,256,622
|
5 | Basic earnings/(loss) per share (Subunit) |
34.70
|
39.80
|
112.60
|
120.50
|
6 | Proposed/Declared dividend per share (Subunit) |
25.00
|
25.00
|
38.00
|
38.00
|
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 ($$) |
11.9600
|
10.9500
|
Remarks : |
Net assets per share attributable to ordinary equity holders of the parent (RM) is compute as Total Equity (excluding Non-controlling interest) divided by total number of ordinary shares in circulation (excluding Treasury shares). |
Definition of Subunit:
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 |
HLFG - OTHERS SECOND INTERIM SINGLE TIER DIVIDEND OF 25 SEN PER SHARE
Company Name | HONG LEONG FINANCIAL GROUP BERHAD |
Stock Name | HLFG |
Date Announced | 26 May 2015 |
Category | General Announcement for PLC |
Reference Number | GA1-25052015-00046 |
Type | Announcement |
Subject | OTHERS |
Description | SECOND INTERIM SINGLE TIER DIVIDEND OF 25 SEN PER SHARE |
The Board of Directors of Hong Leong Financial Group Berhad is pleased to declare a second interim single tier dividend of 25 sen per share for the financial year ending 30 June 2015. This announcement is dated 26 May 2015. |
HLFG - Second interim dividend
Company Name | HONG LEONG FINANCIAL GROUP BERHAD |
Stock Name | HLFG |
Date Announced | 26 May 2015 |
Category | Entitlement(Notice of Book Closure) |
Reference Number | ENT-25052015-00012 |
EX-date | 10 Jun 2015 |
Entitlement date | 12 Jun 2015 |
Entitlement time | 05:00 PM |
Entitlement subject | Second interim dividend |
Entitlement description | Second interim single tier dividend of 25 sen per share |
Period of interest payment | to |
Financial Year End | 30 Jun 2015 |
Share transfer book & register of members will be | to closed from (both dates inclusive) for the purpose of determining the entitlement |
Registrar or Service Provider name, address, telephone no | Hong Leong Share Registration Services Sdn Bhd Level 5, Wisma Hong Leong 18 Jalan Perak 50450 Kuala Lumpur Tel No: 03-21641818 |
Payment date | 26 Jun 2015 |
a.Securities transferred into the Depositor's Securities Account before 4:00 pm in respect of transfers | 12 Jun 2015 |
b.Securities deposited into the Depositor's Securities Account before 12:30 pm in respect of securities exempted from mandatory deposit | |
c. Securities bought on the Exchange on a cum entitlement basis according to the Rules of the Exchange. | |
Number of new shares/securities issued (units) (If applicable) | |
Entitlement indicator | Currency |
Currency | Malaysian Ringgit (MYR) |
Entitlement in Currency | 0.2500 |
Par Value |
Remarks : |
This announcement is dated 26 May 2015. |
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