IRIS - NEW ISSUE OF SECURITIES (CHAPTER 6 OF LISTING REQUIREMENTS): FUND RAISING
Announcement Type: General Announcement
Submitting Merchant Bank: MIMB INVESTMENT BANK BERHAD
Company Name: IRIS CORPORATION BERHAD (ACE Market)
Stock Name: IRIS
Date Announced: 18/07/2011
Announcement Detail:
Type: Announcement
Subject: NEW ISSUE OF SECURITIES (CHAPTER 6 OF LISTING REQUIREMENTS)
FUND RAISING
Description: IRIS CORPORATION BERHAD ("IRIS" OR THE "COMPANY")
PROPOSED PRIVATE PLACEMENT OF UP TO 10% OF THE ISSUED AND PAID-UP SHARE CAPITAL OF IRIS
Submitting Merchant Bank: MIMB INVESTMENT BANK BERHAD
Company Name: IRIS CORPORATION BERHAD (ACE Market)
Stock Name: IRIS
Date Announced: 18/07/2011
Announcement Detail:
Type: Announcement
Subject: NEW ISSUE OF SECURITIES (CHAPTER 6 OF LISTING REQUIREMENTS)
FUND RAISING
Description: IRIS CORPORATION BERHAD ("IRIS" OR THE "COMPANY")
PROPOSED PRIVATE PLACEMENT OF UP TO 10% OF THE ISSUED AND PAID-UP SHARE CAPITAL OF IRIS
INGENS - NEW ISSUE OF SECURITIES (CHAPTER 6 OF LISTING REQUIREMENTS): FUND RAISING
Announcement Type: General Announcement
Submitting Merchant Bank: HONG LEONG INVESTMENT BANK BERHAD
Company Name: INGENUITY SOLUTIONS BERHAD (ACE Market)
Stock Name: INGENS
Date Announced: 18/07/2011
Announcement Detail:
Type: Announcement
Subject: NEW ISSUE OF SECURITIES (CHAPTER 6 OF LISTING REQUIREMENTS)
FUND RAISING
Description: INGENUITY SOLUTIONS BERHAD ("ISB" OR "COMPANY")
RENOUNCEABLE RIGHTS ISSUE OF UP TO 291,175,040 NEW ORDINARY SHARES OF RM0.10 EACH IN ISB ("RIGHTS SHARES") ON THE BASIS OF TWO (2) RIGHTS SHARES FOR EVERY ONE (1) EXISTING ORDINARY SHARE OF RM0.10 EACH IN ISB TOGETHER WITH UP TO 218,381,280 FREE DETACHABLE WARRANTS ("WARRANTS") ON THE BASIS OF THREE (3) WARRANTS FOR EVERY FOUR (4) RIGHTS SHARES SUBSCRIBED, AS AT 5.00 P.M. ON 23 JUNE 2011 ("RIGHTS ISSUE WITH WARRANTS")
Attachments: Table A.pdf
Submitting Merchant Bank: HONG LEONG INVESTMENT BANK BERHAD
Company Name: INGENUITY SOLUTIONS BERHAD (ACE Market)
Stock Name: INGENS
Date Announced: 18/07/2011
Announcement Detail:
Type: Announcement
Subject: NEW ISSUE OF SECURITIES (CHAPTER 6 OF LISTING REQUIREMENTS)
FUND RAISING
Description: INGENUITY SOLUTIONS BERHAD ("ISB" OR "COMPANY")
RENOUNCEABLE RIGHTS ISSUE OF UP TO 291,175,040 NEW ORDINARY SHARES OF RM0.10 EACH IN ISB ("RIGHTS SHARES") ON THE BASIS OF TWO (2) RIGHTS SHARES FOR EVERY ONE (1) EXISTING ORDINARY SHARE OF RM0.10 EACH IN ISB TOGETHER WITH UP TO 218,381,280 FREE DETACHABLE WARRANTS ("WARRANTS") ON THE BASIS OF THREE (3) WARRANTS FOR EVERY FOUR (4) RIGHTS SHARES SUBSCRIBED, AS AT 5.00 P.M. ON 23 JUNE 2011 ("RIGHTS ISSUE WITH WARRANTS")
Attachments: Table A.pdf
ASDION - Change in Boardroom
Announcement Type: Change in Boardroom
Company Name: ASDION BERHAD (ACE Market)
Stock Name: ASDION
Date Announced: 18/07/2011
Announcement Detail:
Date of change: 18/07/2011
Type of change: Resignation
Designation: Director
Directorate: Non Independent & Non Executive
Name: YAP TAI HIEN
Age: 39
Nationality: MALAYSIAN
Qualifications: Mr. Yap Tai Hien finished his secondary school in 1990 with the Sijil Pelajaran Malaysia
Working experience and occupation: Mr. Yap Tai Hien took up his position as a Marketing Executive with Tesatech in 1993, a post he held for five (5) years. In 1998, he was appointed as the Marketing Manager of Tesatech, a position he has held until 2005. he is also presently a director of the Company.
Directorship of public companies (if any): NIL
Family relationship with any director and/or major shareholder of the listed issuer: Yap Tai Tee, Yap Tai Yeong and Yap Tai Hien are siblings. Yap Long Fei @ Yap Long Fee is the father to Yap Tai Tee, Yap Tai Yeong and Yap Tai Hien.
Any conflict of interests that he/she has with the listed issuer: NIL
Details of any interest in the securities of the listed issuer or its subsidiaries: 163,800 ordinary shares and 26,300 warrants in Asdion Berhad.
Company Name: ASDION BERHAD (ACE Market)
Stock Name: ASDION
Date Announced: 18/07/2011
Announcement Detail:
Date of change: 18/07/2011
Type of change: Resignation
Designation: Director
Directorate: Non Independent & Non Executive
Name: YAP TAI HIEN
Age: 39
Nationality: MALAYSIAN
Qualifications: Mr. Yap Tai Hien finished his secondary school in 1990 with the Sijil Pelajaran Malaysia
Working experience and occupation: Mr. Yap Tai Hien took up his position as a Marketing Executive with Tesatech in 1993, a post he held for five (5) years. In 1998, he was appointed as the Marketing Manager of Tesatech, a position he has held until 2005. he is also presently a director of the Company.
Directorship of public companies (if any): NIL
Family relationship with any director and/or major shareholder of the listed issuer: Yap Tai Tee, Yap Tai Yeong and Yap Tai Hien are siblings. Yap Long Fei @ Yap Long Fee is the father to Yap Tai Tee, Yap Tai Yeong and Yap Tai Hien.
Any conflict of interests that he/she has with the listed issuer: NIL
Details of any interest in the securities of the listed issuer or its subsidiaries: 163,800 ordinary shares and 26,300 warrants in Asdion Berhad.
TMCLIFE - Consolidated results for the financial period ended 31/5/2011
Announcement Type: Financial Results
Company Name: TMC LIFE SCIENCES BERHAD
Stock Name: TMCLIFE
Date Announced: 18/07/2011
Announcement Detail:
Financial Year End: 31/05/2011
Quarter: Other
Quarterly report for the financial period ended: 31/05/2011
The figures: have not been audited
Currency: Malaysian Ringgit (MYR)
Company Name: TMC LIFE SCIENCES BERHAD
Stock Name: TMCLIFE
Date Announced: 18/07/2011
Announcement Detail:
Financial Year End: 31/05/2011
Quarter: Other
Quarterly report for the financial period ended: 31/05/2011
The figures: have not been audited
Currency: Malaysian Ringgit (MYR)
HDISPLY - OTHERS
Announcement Type: General Announcement
Company Name: H-DISPLAYS (MSC) BERHAD (ACE Market)
Stock Name: HDISPLY
Date Announced: 18/07/2011
Announcement Detail:
Regularisation Sponsor: M&A Securities Sdn Bhd
Sponsor: Same as above
Type: Announcement
Subject: OTHERS
Description: H-DISPLAYS (MSC) BERHAD ("H-Displays" or "the Company")
- Suspension and de-listing of securities
Company Name: H-DISPLAYS (MSC) BERHAD (ACE Market)
Stock Name: HDISPLY
Date Announced: 18/07/2011
Announcement Detail:
Regularisation Sponsor: M&A Securities Sdn Bhd
Sponsor: Same as above
Type: Announcement
Subject: OTHERS
Description: H-DISPLAYS (MSC) BERHAD ("H-Displays" or "the Company")
- Suspension and de-listing of securities
MYETFDJ - NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Announcement Type: General Announcement
Company Name: MYETF DOW JONES ISLAMIC MARKET MALAYSIA TITANS 25
Stock Name: MYETFDJ
Date Announced: 18/07/2011
Announcement Detail:
Type: Announcement
Subject: NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Description: MYETF DOW JONES ISLAMIC MARKET MALAYSIA TITANS 25 - Valuation Point as at 18-07-2011
Fund:MYETFDJ
NAV per unit (RM):1.0011
Units in Circulation (units):574,300,000
Manager's Fee (%p.a):0.40
Trustee's Fee (%p.a):0.05
License Fee (%p.a):0.04
DJIM25 Index:887.79
Attachments: Daily Fund Values 180711.pdf
Company Name: MYETF DOW JONES ISLAMIC MARKET MALAYSIA TITANS 25
Stock Name: MYETFDJ
Date Announced: 18/07/2011
Announcement Detail:
Type: Announcement
Subject: NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Description: MYETF DOW JONES ISLAMIC MARKET MALAYSIA TITANS 25 - Valuation Point as at 18-07-2011
Fund:MYETFDJ
NAV per unit (RM):1.0011
Units in Circulation (units):574,300,000
Manager's Fee (%p.a):0.40
Trustee's Fee (%p.a):0.05
License Fee (%p.a):0.04
DJIM25 Index:887.79
Attachments: Daily Fund Values 180711.pdf
CIMBA40 - NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Announcement Type: General Announcement
Submitting Merchant Bank: DEUTSCHE BANK (MALAYSIA) BERHAD
Company Name: CIMB FTSE ASEAN 40 MALAYSIA
Stock Name: CIMBA40
Date Announced: 18/07/2011
Announcement Detail:
Type: Announcement
Subject: NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Description: Fund: CIMB FTSE ASEAN 40 Malaysia
Date: 18-Jul-2011
NAV per unit (RM): 1.6188
Units in circulation (units): 8,100,000.00
Management Fee (% p.a.): 0.00
Trustee Fee (% p.a.): 0.08
Index Licence Fee (% p.a.): 0.00
FTSE/ASEAN 40 Index: 11,032.51
Attachments: ASEAN40-18072011.pdf
Submitting Merchant Bank: DEUTSCHE BANK (MALAYSIA) BERHAD
Company Name: CIMB FTSE ASEAN 40 MALAYSIA
Stock Name: CIMBA40
Date Announced: 18/07/2011
Announcement Detail:
Type: Announcement
Subject: NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Description: Fund: CIMB FTSE ASEAN 40 Malaysia
Date: 18-Jul-2011
NAV per unit (RM): 1.6188
Units in circulation (units): 8,100,000.00
Management Fee (% p.a.): 0.00
Trustee Fee (% p.a.): 0.08
Index Licence Fee (% p.a.): 0.00
FTSE/ASEAN 40 Index: 11,032.51
Attachments: ASEAN40-18072011.pdf
CIMBC25 - NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE (Amended Announcement)
Announcement Type: General Announcement
Submitting Merchant Bank: DEUTSCHE BANK (MALAYSIA) BERHAD
Company Name: CIMB FTSE CHINA 25
Stock Name: CIMBC25
Date Announced: 18/07/2011
Announcement Detail:
Type: Announcement
Subject: NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Description: Fund: CIMB FTSE China 25
Date: 18-Jul-2011
NAV per unit (RM): 0.9666
Units in circulation (units): 13,650,000.00
Management Fee (% p.a.): 0.60
Trustee Fee (% p.a.): 0.08
Index Licence Fee (% p.a.): 0.04
FTSE/Xinhua China 25 Index: 18,292.19
Attachments: CHINA25-18072011.pdf
Submitting Merchant Bank: DEUTSCHE BANK (MALAYSIA) BERHAD
Company Name: CIMB FTSE CHINA 25
Stock Name: CIMBC25
Date Announced: 18/07/2011
Announcement Detail:
Type: Announcement
Subject: NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Description: Fund: CIMB FTSE China 25
Date: 18-Jul-2011
NAV per unit (RM): 0.9666
Units in circulation (units): 13,650,000.00
Management Fee (% p.a.): 0.60
Trustee Fee (% p.a.): 0.08
Index Licence Fee (% p.a.): 0.04
FTSE/Xinhua China 25 Index: 18,292.19
Attachments: CHINA25-18072011.pdf
CIMBC25 - NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Announcement Type: General Announcement
Submitting Merchant Bank: DEUTSCHE BANK (MALAYSIA) BERHAD
Company Name: CIMB FTSE CHINA 25
Stock Name: CIMBC25
Date Announced: 18/07/2011
Announcement Detail:
Type: Announcement
Subject: NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Description: Fund: CIMB FTSE China 25
Date: 18-Jul-2011
NAV per unit (RM): 0.9666
Units in circulation (units): 13,650,000.00
Management Fee (% p.a.): 0.60
Trustee Fee (% p.a.): 0.08
Index Licence Fee (% p.a.): 0.04
FTSE/Xinhua China 25 Index: 18,292.19
Attachments: CHINA25-18072011.pdf
Submitting Merchant Bank: DEUTSCHE BANK (MALAYSIA) BERHAD
Company Name: CIMB FTSE CHINA 25
Stock Name: CIMBC25
Date Announced: 18/07/2011
Announcement Detail:
Type: Announcement
Subject: NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Description: Fund: CIMB FTSE China 25
Date: 18-Jul-2011
NAV per unit (RM): 0.9666
Units in circulation (units): 13,650,000.00
Management Fee (% p.a.): 0.60
Trustee Fee (% p.a.): 0.08
Index Licence Fee (% p.a.): 0.04
FTSE/Xinhua China 25 Index: 18,292.19
Attachments: CHINA25-18072011.pdf
PMHLDG - WINDING UP / RECEIVER & MANAGER / RESTRAINING ORDER / SPECIAL ADMINISTRATOR
Announcement Type: General Announcement
Company Name: PAN MALAYSIA HOLDINGS BERHAD
Stock Name: PMHLDG
Date Announced: 18/07/2011
Announcement Detail:
Type: Announcement
Subject: WINDING UP / RECEIVER & MANAGER / RESTRAINING ORDER / SPECIAL ADMINISTRATOR
Description: DISSOLUTION OF COCOA SPECIALITIES (MALAYSIA) SDN BHD, AN INACTIVE COMPANY
Company Name: PAN MALAYSIA HOLDINGS BERHAD
Stock Name: PMHLDG
Date Announced: 18/07/2011
Announcement Detail:
Type: Announcement
Subject: WINDING UP / RECEIVER & MANAGER / RESTRAINING ORDER / SPECIAL ADMINISTRATOR
Description: DISSOLUTION OF COCOA SPECIALITIES (MALAYSIA) SDN BHD, AN INACTIVE COMPANY
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