May 18, 2015

Company announcements: PNEPCB, PUNCAK, DIGI, CME, YONGTAI, PHARMA

PNEPCB - Notice of Person Ceasing (29C) - CREDIT SUISSE GROUP AG

Announcement Type: Notice of Person Ceasing Substantial Shareholders Pursuant to Form 29C
Company Name PNE PCB BERHAD
Stock Name PNEPCB
Date Announced 18 May 2015
Category Notice of Person Ceasing Substantial Shareholders Pursuant to Form 29C
Reference Number CS3-18052015-00001

Particulars of Substantial Securities Holder

Name CREDIT SUISSE GROUP AG
Address Paradeplatz 8
Zurich
8001
Switzerland.
NRIC/Passport No/Company No. CH-020.3.906.075-9
Nationality/Country of incorporation Switzerland
Descriptions (Class & nominal value)
Ordinary Shares of RM1.00 each
Date of cessation 13 May 2015
Name & address of registered holder
Credit Suisse Securities (Europe) Limited 
One Cabot Square, London E14 4QJ, England
Currency Malaysian Ringgit (MYR)
No of securities disposed 1,050,000
Price Transacted ($$)
Circumstances by reason of which Securities Holder has interest
Open market investment position taken in the course of ordinary business in banking and finance
Nature of interest
Deemed Interest
Date of notice 15 May 2015



PNEPCB - Notice of Person Ceasing (29C) - CREDIT SUISSE SECURITIES (EUROPE) LIMITED

Announcement Type: Notice of Person Ceasing Substantial Shareholders Pursuant to Form 29C
Company Name PNE PCB BERHAD
Stock Name PNEPCB
Date Announced 18 May 2015
Category Notice of Person Ceasing Substantial Shareholders Pursuant to Form 29C
Reference Number CS3-18052015-00002

Particulars of Substantial Securities Holder

Name CREDIT SUISSE SECURITIES (EUROPE) LIMITED
Address One Cabot Square
London E14 4QJ
England
NRIC/Passport No/Company No. 00891554
Nationality/Country of incorporation United Kingdom
Descriptions (Class & nominal value)
Ordinary Shares of RM1.00 each
Date of cessation 13 May 2015
Name & address of registered holder
Credit Suisse Securities (Europe) Limited
One Cabot Square, London E14 4QJ England
Currency Malaysian Ringgit (MYR)
No of securities disposed 1,050,000
Price Transacted ($$)
Circumstances by reason of which Securities Holder has interest
Open market investment position taken in the course of ordinary business in banking and finance
Nature of interest
Direct Interest
Date of notice 15 May 2015



PUNCAK - MATERIAL LITIGATION PUNCAK NIAGA HOLDINGS BERHAD (416087-U) ("PUNCAK" OR THE "COMPANY") KUALA LUMPUR HIGH COURT SUIT NO: 22NCC-1478-09/2011 SYARIKAT BEKALAN AIR SELANGOR SDN BHD ("SYABAS") VS SELANGOR STATE GOVERNMENT & FEDERAL GOVERNMENT (THIRD PARTY) (THE "SUIT")

Announcement Type: General Announcement for PLC
Company Name PUNCAK NIAGA HOLDINGS BERHAD
Stock Name PUNCAK
Date Announced 18 May 2015
Category General Announcement for PLC
Reference Number GA1-18052015-00005

Type Announcement
Subject MATERIAL LITIGATION
Description
PUNCAK NIAGA HOLDINGS BERHAD (416087-U) ("PUNCAK" OR THE "COMPANY") 
KUALA LUMPUR HIGH COURT SUIT NO: 22NCC-1478-09/2011 SYARIKAT BEKALAN AIR SELANGOR SDN BHD ("SYABAS") VS SELANGOR STATE GOVERNMENT & FEDERAL GOVERNMENT (THIRD PARTY) (THE "SUIT")

Reference is made to the Company's earlier announcements dated 8 September 2011, 9 September 2011, 22 September 2011, 10 October 2011,14 October 2011, 4 November 2011, 21 November 2011, 29 November 2011, 14 December 2011, 23 December 2011, 26 January 2012, 16 February 2012, 5 March 2012, 28 March 2012, 17 April 2012, 27 April 2012, 30 April 2012, 8 May 2012, 15 May 2012, 23 May 2012, 25 May 2012, 29 May 2012, 14 June 2012, 22 June 2012, 28 June 2012, 12 July 2012, 14 August 2012, 17 August 2012, 7 September 2012, 30 October 2012, 17 December 2012, 5 February 2013, 15 February 2013, 1 March 2013, 11 April 2013, 22 August 2013, 23 August 2013, 4 September 2013, 11 September 2013, 19 September 2013, 1 October 2013, 3 October 2013, 7 November 2013, 11 November 2013, 10 December 2013, 20 January 2014,14 February 2014, 7 March 2014, 4 April 2014, 8 April 2014, 5 May 2014, 5 August 2014, 29 September 2014, 2 October 2014, 7 October 2014, 13 October 2014, 1 December 2014, 6 January 2015, 6 February 2015, 15 April 2015 and 16 April 2015 in relation to the Suit.

The Company would like to update the Exchange that the High Court during the Case Management held today has fixed the matter for further Case Management on 28 July 2015, pending disposal of the Selangor State Government's application for leave to appeal to the Federal Court (against the Decision of the Court of Appeal delivered on 2 April 2014 allowing SYABAS' appeal to join CIMB Investment Bank Berhad as a co-plaintiff in its capacity as a security agent and to re-amend the Statement of Claim).

The Federal Court during the Hearing on 14 April 2015 has fixed the matter for Case Management to a later date, for the Selangor State Government to obtain the grounds of judgement from the Court of Appeal.

This announcement is dated 18 May 2015.






DIGI - Changes in Sub. S-hldr's Int. (29B) - EMPLOYEES PROVIDENT FUND BOARD

Announcement Type: Change in Substantial Shareholders Interest Pursuant to Form 29B
Company Name DIGI.COM BERHAD
Stock Name DIGI
Date Announced 18 May 2015
Category Change in Substantial Shareholders Interest Pursuant to Form 29B
Reference Number CS2-18052015-00091

Particulars of substantial Securities Holder

Name EMPLOYEES PROVIDENT FUND BOARD
Address Tingkat 19, Bangunan KWSP, Jalan Raja Laut
Kuala Lumpur
50350 Wilayah Persekutuan
Malaysia.
NRIC/Passport No/Company No. EPF ACT 1991
Nationality/Country of incorporation Malaysia
Descriptions (Class & nominal value) Ordinary Shares of RM0.01 each
Name & address of registered holder Citigroup Nominees (Tempatan) Sdn Bhd-Employees Provident Fund Board Level 42, Menara Citibank 165 Jalan Ampang 50450 Kuala Lumpur

Details of changes

Currency: Malaysian Ringgit (MYR)

Type of transaction Date of change
No of securities
Price Transacted (RM)
Acquired 13 May 2015
1,000,000
Disposed 13 May 2015
1,073,000

Circumstances by reason of which change has occurred Acquired and disposed
Nature of interest Direct
Direct (units) 1,102,530,640
Direct (%) 14.18
Indirect/deemed interest (units)
Indirect/deemed interest (%)
Total no of securities after change 1,102,530,640
Date of notice 14 May 2015


Remarks :
The total number of 1,102,530,640 Ordinary Shares of RM0.01 each are held as follows:-

1) 1,005,535,650 Ordinary Shares of RM0.01 each are registered in the name of Citigroup Nominees (Tempatan) Sdn Bhd - Employees Provident Fund Board;

2) 14,791,000 Ordinary Shares of RM0.01 each are registered in the name of Employees Provident Fund Board;

3) 2,473,000 Ordinary Shares of RM0.01 each are registered in the name of Citigroup Nominees (Tempatan) Sdn Bhd - Employees Provident Fund Board (AMUNDI);

4) 410,000 Ordinary Shares of RM0.01 each are registered in the name of Citigroup Nominees (Tempatan) Sdn Bhd - Employees Provident Fund Board (KIB);

5) 8,596,900 Ordinary Shares of RM0.01 each are registered in the name of Citigroup Nominees (Tempatan) Sdn Bhd - Employees Provident Fund Board (AFFIN-HWG);

6) 9,370,000 Ordinary Shares of RM0.01 each are registered in the name of Citigroup Nominees (Tempatan) Sdn Bhd - Employees Provident Fund Board (AM INV);

7) 41,474,690 Ordinary Shares of RM0.01 each are registered in the name of Citigroup Nominees (Tempatan) Sdn Bhd - Employees Provident Fund Board (NOMURA);

8) 10,973,100 Ordinary Shares of RM0.01 each are registered in the name of Citigroup Nominees (Tempatan) Sdn Bhd - Employees Provident Fund Board (CIMB PRI);

9) 1,750,000 Ordinary Shares of RM0.01 each are registered in the name of Citigroup Nominees (Tempatan) Sdn Bhd - Employees Provident Fund Board (ARIM);

10) 2,306,300 Ordinary Shares of RM0.01 each are registered in the name of Citigroup Nominees (Tempatan) Sdn Bhd - Employees Provident Fund Board (TEMPLETON); and

11) 4,850,000 Ordinary Shares of RM0.01 each are registered in the name of Citigroup Nominees (Tempatan) Sdn Bhd - Employees Provident Fund Board (ABERDEEN).

The Form 29B was received by the Company on 18 May 2015.


CME - Change of Address

Announcement Type: Change of Address
Company Name CME GROUP BERHAD
Stock Name CME
Date Announced 18 May 2015
Category Change of Address
Reference Number C01-11052015-00001

Change description REGISTERED
Old address Lot 19, Jalan Delima 1/1
Taman Perindustrin Teknologi Tinggi Subang
47500  Subang
Selangor
Malaysia
New address 36A, Lorong Gelugor
Off Persiaran Sultan Ibrahim
41300  Klang
Selangor
Malaysia
Telephone No 03 -33438148
Facsimile No 03 -33414426
E-mail address
Effective date 18 May 2015
 



YONGTAI - Important Relevant Dates for Renounceable Rights

Announcement Type: Important Relevant Dates for Renounceable Rights
Company Name YONG TAI BERHAD
Stock Name YONGTAI
Date Announced 18 May 2015
Category Important Relevant Dates for Renounceable Rights
Reference Number TOR-13052015-00001

Title/Description RIGHTS ISSUE WITH WARRANTS
Despatch date 04 Jun 2015
Date for commencement of trading of rights 03 Jun 2015
Date for cessation of trading of rights 10 Jun 2015
Date for announcement of final subscription result and basis of allotment of excess Rights Securities 24 Jun 2015
Listing Date of the Rights Securities 30 Jun 2015

Last date and time for Date Time
Sale of provisional allotment of rights 09 Jun 2015
at
05:00:00 PM
Transfer of provisional allotment of rights 12 Jun 2015
at
04:00:00 PM
Acceptance and payment 17 Jun 2015
at
05:00:00 PM
Excess share application and payment 17 Jun 2015
at
05:00:00 PM

Rights Securities will be listed and quoted as the existing securities of the same class Yes
Other important dates as the listed issuer may deem appropriate



Remarks :
The last date and time for acceptance and payment as well as the last date and time for excess application and payment may extended as the Board of YONGTAI may decide and announce not less than two (2) market days before the stipulated date and time.


YONGTAI - Rights Issue

Announcement Type: Entitlement(Notice of Book Closure)
Company Name YONG TAI BERHAD
Stock Name YONGTAI
Date Announced 18 May 2015
Category Entitlement(Notice of Book Closure)
Reference Number ENT-18052015-00006

EX-date 29 May 2015
Entitlement date 02 Jun 2015
Entitlement time 05:00 PM
Entitlement subject Rights Issue
Entitlement description RENOUNCEABLE RIGHTS ISSUE OF 80,230,000 NEW ORDINARY SHARES OF RM0.50 EACH IN YONG TAI BERHAD ("YONGTAI") ("RIGHTS SHARES") TOGETHER WITH 40,115,000 FREE DETACHABLE WARRANTS ("WARRANTS") ON THE BASIS OF TWO (2) RIGHTS SHARES FOR EVERY ONE (1) ORDINARY SHARE OF RM0.50 EACH HELD IN YONGTAI ("YONGTAI SHARE") TOGETHER WITH ONE (1) WARRANT FOR EVERY TWO (2) RIGHTS SHARES SUBSCRIBED AT 5.00 P.M. ON 2 JUNE 2015 AT AN ISSUE PRICE OF RM0.50 PER RIGHTS SHARE PAYABLE IN FULL UPON ACCEPTANCE ("RIGHTS ISSUE WITH WARRANTS")
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 Bina Management (M) Sdn Bhd Lot 10, The Highway Centre Jalan 51/205 46050 Petaling Jaya Selangor Darul Ehsan Telephone number: 03-7784 3922
Payment date
a.Securities transferred into the Depositor's Securities Account before 4:00 pm in respect of transfers 02 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) 80,230,000
Entitlement indicator Ratio
Ratio 2 : 1
Rights Issue/Offer Price Malaysian Ringgit (MYR) 0.500
Par Value Malaysian Ringgit (MYR) 0.500


Remarks :
The abridged prospectus together with the rights subscription form and the notice of provisional allotment (collectively referred to as "Documents") in relation to the Rights Issue with Warrants will be despatched on 4 June 2015 to the entitled shareholders of YONGTAI whose names appear on the Record of Depositors of YONGTAI on 2 June 2015.

The Documents will not be registered under any legislation of any foreign jurisdiction, and the Rights Issue with Warrants will not be made or offered in any foreign jurisdiction. Accordingly, the Documents will not be sent to foreign entitled shareholders of YONGTAI:-

(i) who do not have a registered address in Malaysia in the Record of Depositors; or

(ii) who have not provided the Share Registrar with a registered address in Malaysia in writing not later than 5.00 p.m. on 2 June 2015, being the entitlement date for the Rights Issue with Warrants.

This announcement is dated 18 May 2015.



PHARMA - OTHERS PROPOSED JOINT VENTURE WITH MODERN HEALTHCARE SOLUTIONS COMPANY LIMITED (MODERN) FOR THE CONSTRUCTION AND OPERATION OF A PHARMACEUTICAL MANUFACTURING PLANT IN THE KINGDOM OF SAUDI ARABIA (PROPOSED JOINT VENTURE)

Announcement Type: General Announcement for PLC
Company Name PHARMANIAGA BERHAD
Stock Name PHARMA
Date Announced 18 May 2015
Category General Announcement for PLC
Reference Number GA1-18052015-00035

Type Announcement
Subject OTHERS
Description
PROPOSED JOINT VENTURE WITH MODERN HEALTHCARE SOLUTIONS COMPANY LIMITED (MODERN) FOR THE CONSTRUCTION AND OPERATION OF A PHARMACEUTICAL MANUFACTURING PLANT IN THE KINGDOM OF SAUDI ARABIA (PROPOSED JOINT VENTURE)

Reference is made to the Company’s earlier announcements dated 20 May 2013, 3 June 2013, 18 February 2014, 25 June 2014 and 17 November 2014 in relation to the Proposed Joint Venture.

We wish to announce that the Joint Venture Agreement has lapsed on 16 May 2015 and both parties have not determined the new extension date.

This announcement is dated 18 May 2015.






PHARMA - Quarterly rpt on consolidated results for the financial period ended 31/03/2015

Announcement Type: Financial Results
Company Name PHARMANIAGA BERHAD
Stock Name PHARMA
Date Announced 18 May 2015
Category Financial Results
Reference Number FRA-18052015-00019

Financial Year End 31 Dec 2015
Quarter 1 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
31 Mar 2015

 
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
471,904
468,672
471,904
468,672
2 Profit/(loss) before tax
38,612
38,159
38,612
38,159
3 Profit/(loss) for the period
31,926
26,646
31,926
26,646
4 Profit/(loss) attributable to ordinary equity holders of the parent
31,794
26,217
31,794
26,217
5 Basic earnings/(loss) per share (Subunit)
12.28
10.13
12.28
10.13
6 Proposed/Declared dividend per share (Subunit)
7.00
4.00
7.00
4.00


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 ($$)
2.0400
2.0300

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




PHARMA - Interim Dividend

Announcement Type: Entitlement(Notice of Book Closure)
Company Name PHARMANIAGA BERHAD
Stock Name PHARMA
Date Announced 18 May 2015
Category Entitlement(Notice of Book Closure)
Reference Number ENT-18052015-00005

EX-date 01 Jun 2015
Entitlement date 03 Jun 2015
Entitlement time 05:00 PM
Entitlement subject Interim Dividend
Entitlement description First Interim Dividend - Single Tier 7 sen
Period of interest payment   to  
Financial Year End 31 Dec 2015
Share transfer book & register of members will be 03 Jun 2015   to   03 Jun 2015 closed from (both dates inclusive) for the purpose of determining the entitlement
Registrar or Service Provider name, address, telephone no TRICOR INVESTOR SERVICES SDN BHD (.) Level 17, The Gardens North Tower Mid Valley City, Lingkaran Syed Putra 59200Kuala Lumpur Tel:0322643883 Fax:0322821886
Payment date 25 Jun 2015
a.Securities transferred into the Depositor's Securities Account before 4:00 pm in respect of transfers 03 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 0.0700
Par Value Malaysian Ringgit (MYR) 0.500




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