HSPLANT - MONTHLY PRODUCTION FIGURES (MINING / PLANTATION / TIMBER)
Announcement Type: General Announcement
Company Name: HAP SENG PLANTATIONS HOLDINGS BERHAD
Stock Name: HSPLANT
Date Announced: 14/09/2011
Announcement Detail:
Type: Announcement
Subject: MONTHLY PRODUCTION FIGURES (MINING / PLANTATION / TIMBER)
Description: Pursuant to paragraph 9.36 of the Main Market Listing Requirements of Bursa Malaysia Securities Berhad, the Company is pleased to furnish below the production figures for the month of August 2011.
Company Name: HAP SENG PLANTATIONS HOLDINGS BERHAD
Stock Name: HSPLANT
Date Announced: 14/09/2011
Announcement Detail:
Type: Announcement
Subject: MONTHLY PRODUCTION FIGURES (MINING / PLANTATION / TIMBER)
Description: Pursuant to paragraph 9.36 of the Main Market Listing Requirements of Bursa Malaysia Securities Berhad, the Company is pleased to furnish below the production figures for the month of August 2011.
TAS - OTHERS
Announcement Type: General Announcement
Company Name: TAS OFFSHORE BERHAD
Stock Name: TAS
Date Announced: 14/09/2011
Announcement Detail:
Type: Announcement
Subject: OTHERS
Description: Tas Offshore Berhad
Proposed Renewal of Authority for Purchase of Own Shares by the Company
Company Name: TAS OFFSHORE BERHAD
Stock Name: TAS
Date Announced: 14/09/2011
Announcement Detail:
Type: Announcement
Subject: OTHERS
Description: Tas Offshore Berhad
Proposed Renewal of Authority for Purchase of Own Shares by the Company
PROTON-CE - STRUCTURED WARRANTS ANNOUNCEMENT: FINAL SETTLEMENT
Announcement Type: General Announcement
Submitting Merchant Bank: AMINVESTMENT BANK BERHAD
Name: PROTON-CE: CW PROTON HLDGS BHD (AM)
Stock Name: PROTON-CE
Date Announced: 14/09/2011
Announcement Detail:
Type: Announcement
Subject: STRUCTURED WARRANTS ANNOUNCEMENT
FINAL SETTLEMENT
Description: AmBANK (M) BERHAD ("AMBANK")
EXPIRY OF EUROPEAN STYLE CASH-SETTLED CALL WARRANTS OVER ORDINARY SHARES OF PROTON HOLDINGS BERHAD ("PROTON") ("PROTON-CE")
Submitting Merchant Bank: AMINVESTMENT BANK BERHAD
Name: PROTON-CE: CW PROTON HLDGS BHD (AM)
Stock Name: PROTON-CE
Date Announced: 14/09/2011
Announcement Detail:
Type: Announcement
Subject: STRUCTURED WARRANTS ANNOUNCEMENT
FINAL SETTLEMENT
Description: AmBANK (M) BERHAD ("AMBANK")
EXPIRY OF EUROPEAN STYLE CASH-SETTLED CALL WARRANTS OVER ORDINARY SHARES OF PROTON HOLDINGS BERHAD ("PROTON") ("PROTON-CE")
ILB - Notice of Shares Buy Back - Immediate Announcement
Announcement Type: Notice of Shares Buy Back - Immediate Announcement
Company Name: INTEGRATED LOGISTICS BHD
Stock Name: ILB
Date Announced: 14/09/2011
Announcement Detail:
Date of buy back: 14/09/2011
Description of shares purchased: Ordinary shares of RM1-00 each
Currency: Malaysian Ringgit (MYR)
Total number of shares purchased (units): 41,200
Minimum price paid for each share purchased ($$): 0.715
Maximum price paid for each share purchased ($$): 0.725
Total consideration paid ($$): 30,088.18
Number of shares purchased retained in treasury (units): 41,200
Cumulative net outstanding treasury shares as at to-date (units): 18,010,400
Total number of shares purchased and/or held as treasury shares against the total number of outstanding shares of the listed issuer (%): 9.14
Company Name: INTEGRATED LOGISTICS BHD
Stock Name: ILB
Date Announced: 14/09/2011
Announcement Detail:
Date of buy back: 14/09/2011
Description of shares purchased: Ordinary shares of RM1-00 each
Currency: Malaysian Ringgit (MYR)
Total number of shares purchased (units): 41,200
Minimum price paid for each share purchased ($$): 0.715
Maximum price paid for each share purchased ($$): 0.725
Total consideration paid ($$): 30,088.18
Number of shares purchased retained in treasury (units): 41,200
Cumulative net outstanding treasury shares as at to-date (units): 18,010,400
Total number of shares purchased and/or held as treasury shares against the total number of outstanding shares of the listed issuer (%): 9.14
HLBANK-CC - HLBANK-CC - NOTICE OF BOOK CLOSURE
Announcement Type: Listing Circular
Name: HLBANK-CC: CW HONG LEONG BANK BERHAD (AM)
Stock Name: HLBANK-CC
Date Announced: 14/09/2011
Announcement Detail:
Subject: HLBANK-CC - NOTICE OF BOOK CLOSURE
Contents: ADJUSTMENTS TO THE TERMS AND CONDITIONS OF THE EUROPEAN STYLE CASH SETTLED CALL WARRANTS OVER ORDINARY SHARES OF HONG LEONG BANK BERHAD ("HLBANK") ("HLBANK SHARES") ("HLBANK-CC") PURSUANT TO THE RENOUNCEABLE RIGHTS ISSUE OF UP TO 299.8 MILLION NEW ORDINARY SHARES OF RM1.00 EACH IN HLBANK ("RIGHTS SHARES") ON THE BASIS OF ONE (1) RIGHTS SHARE FOR EVERY FIVE (5) HLBANK SHARES HELD AT AN ISSUE PRICE OF RM8.65 PER RIGHTS SHARE ("RIGHTS ISSUE").
Kindly be advised of the following :
1) The above Company's securities will be traded and quoted [ "Ex - Adjustment" ]
as from : [ 19 September 2011 ]
2) The last date of lodgement : [ 21 September 2011 ]
Remarks :- (Unless otherwise defined in this announcement, the definitions contained in the announcement dated 30 May 2011 shall apply throughout this announcement)
The terms and conditions of the HLBANK-CC shall be adjusted as set out in our announcement dated 30 May 2011.
The Ex-date and entitlement date for the Rights Issue will be 19 September 2011 and 21 September 2011 respectively. We will announce the adjustments to the Exercise Price and the Exercise Ratio for the HLBANK-CC after 5.00 pm on 15 September 2011, being the last trading day on which HLBANK Shares are traded on cum-entitlement basis.
The adjusted Exercise Price and Exercise Ratio for the HLBANK-CC will take effect at 9.00 am on 19 September 2011, being the Ex-date for the Rights Issue.
Please note that there will not be any new issuance of HLBANK-CC on the Entitlement Date pursuant to the Rights Issue.
Name: HLBANK-CC: CW HONG LEONG BANK BERHAD (AM)
Stock Name: HLBANK-CC
Date Announced: 14/09/2011
Announcement Detail:
Subject: HLBANK-CC - NOTICE OF BOOK CLOSURE
Contents: ADJUSTMENTS TO THE TERMS AND CONDITIONS OF THE EUROPEAN STYLE CASH SETTLED CALL WARRANTS OVER ORDINARY SHARES OF HONG LEONG BANK BERHAD ("HLBANK") ("HLBANK SHARES") ("HLBANK-CC") PURSUANT TO THE RENOUNCEABLE RIGHTS ISSUE OF UP TO 299.8 MILLION NEW ORDINARY SHARES OF RM1.00 EACH IN HLBANK ("RIGHTS SHARES") ON THE BASIS OF ONE (1) RIGHTS SHARE FOR EVERY FIVE (5) HLBANK SHARES HELD AT AN ISSUE PRICE OF RM8.65 PER RIGHTS SHARE ("RIGHTS ISSUE").
Kindly be advised of the following :
1) The above Company's securities will be traded and quoted [ "Ex - Adjustment" ]
as from : [ 19 September 2011 ]
2) The last date of lodgement : [ 21 September 2011 ]
Remarks :- (Unless otherwise defined in this announcement, the definitions contained in the announcement dated 30 May 2011 shall apply throughout this announcement)
The terms and conditions of the HLBANK-CC shall be adjusted as set out in our announcement dated 30 May 2011.
The Ex-date and entitlement date for the Rights Issue will be 19 September 2011 and 21 September 2011 respectively. We will announce the adjustments to the Exercise Price and the Exercise Ratio for the HLBANK-CC after 5.00 pm on 15 September 2011, being the last trading day on which HLBANK Shares are traded on cum-entitlement basis.
The adjusted Exercise Price and Exercise Ratio for the HLBANK-CC will take effect at 9.00 am on 19 September 2011, being the Ex-date for the Rights Issue.
Please note that there will not be any new issuance of HLBANK-CC on the Entitlement Date pursuant to the Rights Issue.
HLBANK-CD - HLBANK-CD - NOTICE OF BOOK CLOSURE
Announcement Type: Listing Circular
Name: HLBANK-CD: CW HONG LEONG BANK BERHAD (KIBB)
Stock Name: HLBANK-CD
Date Announced: 14/09/2011
Announcement Detail:
Subject: HLBANK-CD - NOTICE OF BOOK CLOSURE
Contents: Adjustments to the terms and conditions of the European style non-collateralised cash-settled call warrants over ordinary shares of Hong Leong Bank Berhad ("HLBANK") ("HLBANK-CD") in relation to the renounceable rights issue of up to 299.8 million new HLBANK shares ("Right Shares") on the basis of one (1) Rights Share for every five (5) existing HLBANK shares held at an issue price of RM8.65 per Rights Share ("Rights Issue").
Kindly be advised of the following :
1) The above Company's securities will be traded and quoted [ "Ex - Adjustment" ]
as from : [ 19 September 2011 ]
2) The last date of lodgement : [ 21 September 2011 ]
Remarks :- (Unless otherwise defined in this announcement, the definitions contained in the announcement dated 12 September 2011 shall apply throughout this announcement)
In accordance with Condition 6 of the Deed Poll dated 3 December 2010, the terms and conditions of the HLBANK-CD shall be adjusted accordingly.
The Ex-date and entitlement date for the Rights Issue will be 19 September 2011 and 21 September 2011 respectively. We will announce the adjustments to the Exercise Price and Exercise Ratio for the HLBANK-CD after 5.00 pm on 15 September 2011, being the last trading day on which HLBANK shares are traded on cum-entitlement basis.
The adjusted Exercise Price and Exercise Ratio for the HLBANK-CD will take effect at 9.00 am on 19 September 2011, being the ex-date for the Rights Issue.
Please note that there will not be any new issuance of HLBANK-CD on the Entitlement Date pursuant to the Rights Issue.
Name: HLBANK-CD: CW HONG LEONG BANK BERHAD (KIBB)
Stock Name: HLBANK-CD
Date Announced: 14/09/2011
Announcement Detail:
Subject: HLBANK-CD - NOTICE OF BOOK CLOSURE
Contents: Adjustments to the terms and conditions of the European style non-collateralised cash-settled call warrants over ordinary shares of Hong Leong Bank Berhad ("HLBANK") ("HLBANK-CD") in relation to the renounceable rights issue of up to 299.8 million new HLBANK shares ("Right Shares") on the basis of one (1) Rights Share for every five (5) existing HLBANK shares held at an issue price of RM8.65 per Rights Share ("Rights Issue").
Kindly be advised of the following :
1) The above Company's securities will be traded and quoted [ "Ex - Adjustment" ]
as from : [ 19 September 2011 ]
2) The last date of lodgement : [ 21 September 2011 ]
Remarks :- (Unless otherwise defined in this announcement, the definitions contained in the announcement dated 12 September 2011 shall apply throughout this announcement)
In accordance with Condition 6 of the Deed Poll dated 3 December 2010, the terms and conditions of the HLBANK-CD shall be adjusted accordingly.
The Ex-date and entitlement date for the Rights Issue will be 19 September 2011 and 21 September 2011 respectively. We will announce the adjustments to the Exercise Price and Exercise Ratio for the HLBANK-CD after 5.00 pm on 15 September 2011, being the last trading day on which HLBANK shares are traded on cum-entitlement basis.
The adjusted Exercise Price and Exercise Ratio for the HLBANK-CD will take effect at 9.00 am on 19 September 2011, being the ex-date for the Rights Issue.
Please note that there will not be any new issuance of HLBANK-CD on the Entitlement Date pursuant to the Rights Issue.
HLBANK-HA - HLBANK-HA - NOTICE OF RIGHTS ENTITLEMENT
Announcement Type: Listing Circular
Company Name: HLBANK-HA: PW HONG LEONG BANK BERHAD (AM)
Stock Name: HLBANK-HA
Date Announced: 14/09/2011
Announcement Detail:
Subject: HLBANK-HA - NOTICE OF RIGHTS ENTITLEMENT
Contents: ADJUSTMENTS TO THE TERMS AND CONDITIONS OF THE EUROPEAN STYLE CASH SETTLED PUT WARRANTS OVER ORDINARY SHARES OF HONG LEONG BANK BERHAD ("HLBANK") ("HLBANK SHARES") ("HLBANK-HA") PURSUANT TO THE RENOUNCEABLE RIGHTS ISSUE OF UP TO 299.8 MILLION NEW ORDINARY SHARES OF RM1.00 EACH IN HLBANK ("RIGHTS SHARES") ON THE BASIS OF ONE (1) RIGHTS SHARE FOR EVERY FIVE (5) HLBANK SHARES HELD AT AN ISSUE PRICE OF RM8.65 PER RIGHTS SHARE ("RIGHTS ISSUE").
Kindly be advised of the following :
1) The above Company's securities will be traded and quoted [ "Ex - Adjustment" ]
as from : [ 19 September 2011 ]
2) The last date of lodgement : [ 21 September 2011 ]
Remarks :- (Unless otherwise defined in this announcement, the definitions contained in the announcement dated 30 May 2011 shall apply throughout this announcement)
The terms and conditions of the HLBANK-HA shall be adjusted as set out in our announcement dated 30 May 2011.
The Ex-date and entitlement date for the Rights Issue will be 19 September 2011 and 21 September 2011 respectively. We will announce the adjustments to the Exercise Price and the Exercise Ratio for the HLBANK-HA after 5.00 pm on 15 September 2011, being the last trading day on which HLBANK Shares are traded on cum-entitlement basis.
The adjusted Exercise Price and Exercise Ratio for the HLBANK-HA will take effect at 9.00 am on 19 September 2011, being the Ex-date for the Rights Issue.
Please note that there will not be any new issuance of HLBANK-HA on the Entitlement Date pursuant to the Rights Issue.
Company Name: HLBANK-HA: PW HONG LEONG BANK BERHAD (AM)
Stock Name: HLBANK-HA
Date Announced: 14/09/2011
Announcement Detail:
Subject: HLBANK-HA - NOTICE OF RIGHTS ENTITLEMENT
Contents: ADJUSTMENTS TO THE TERMS AND CONDITIONS OF THE EUROPEAN STYLE CASH SETTLED PUT WARRANTS OVER ORDINARY SHARES OF HONG LEONG BANK BERHAD ("HLBANK") ("HLBANK SHARES") ("HLBANK-HA") PURSUANT TO THE RENOUNCEABLE RIGHTS ISSUE OF UP TO 299.8 MILLION NEW ORDINARY SHARES OF RM1.00 EACH IN HLBANK ("RIGHTS SHARES") ON THE BASIS OF ONE (1) RIGHTS SHARE FOR EVERY FIVE (5) HLBANK SHARES HELD AT AN ISSUE PRICE OF RM8.65 PER RIGHTS SHARE ("RIGHTS ISSUE").
Kindly be advised of the following :
1) The above Company's securities will be traded and quoted [ "Ex - Adjustment" ]
as from : [ 19 September 2011 ]
2) The last date of lodgement : [ 21 September 2011 ]
Remarks :- (Unless otherwise defined in this announcement, the definitions contained in the announcement dated 30 May 2011 shall apply throughout this announcement)
The terms and conditions of the HLBANK-HA shall be adjusted as set out in our announcement dated 30 May 2011.
The Ex-date and entitlement date for the Rights Issue will be 19 September 2011 and 21 September 2011 respectively. We will announce the adjustments to the Exercise Price and the Exercise Ratio for the HLBANK-HA after 5.00 pm on 15 September 2011, being the last trading day on which HLBANK Shares are traded on cum-entitlement basis.
The adjusted Exercise Price and Exercise Ratio for the HLBANK-HA will take effect at 9.00 am on 19 September 2011, being the Ex-date for the Rights Issue.
Please note that there will not be any new issuance of HLBANK-HA on the Entitlement Date pursuant to the Rights Issue.
KPS - MATERIAL LITIGATION
Announcement Type: General Announcement
Company Name: KUMPULAN PERANGSANG SELANGOR BERHAD
Stock Name: KPS
Date Announced: 14/09/2011
Announcement Detail:
Type: Announcement
Subject: MATERIAL LITIGATION
Description: KUMPULAN PERANGSANG SELANGOR BERHAD ("PERANGSANG SELANGOR")
KUALA LUMPUR HIGH COURT (COMMERCIAL DIVISION) SUIT NO. 22NCC-1253-2011 : OPERASI MURNI SDN BHD ("OPERASI MURNI") VS. KUMPULAN PERANGSANG SELANGOR BERHAD ("PERANGSANG SELANGOR") AND TITISAN MODAL (M) SDN BHD ("TITISAN MODAL")
Company Name: KUMPULAN PERANGSANG SELANGOR BERHAD
Stock Name: KPS
Date Announced: 14/09/2011
Announcement Detail:
Type: Announcement
Subject: MATERIAL LITIGATION
Description: KUMPULAN PERANGSANG SELANGOR BERHAD ("PERANGSANG SELANGOR")
KUALA LUMPUR HIGH COURT (COMMERCIAL DIVISION) SUIT NO. 22NCC-1253-2011 : OPERASI MURNI SDN BHD ("OPERASI MURNI") VS. KUMPULAN PERANGSANG SELANGOR BERHAD ("PERANGSANG SELANGOR") AND TITISAN MODAL (M) SDN BHD ("TITISAN MODAL")
BDB - MATERIAL LITIGATION
Announcement Type: General Announcement
Company Name: BINA DARULAMAN BERHAD
Stock Name: BDB
Date Announced: 14/09/2011
Announcement Detail:
Type: Announcement
Subject: MATERIAL LITIGATION
Description: COMMENCEMENT OF LITIGATION AGAINST SUBSIDIARY COMPANY
ALOR SETAR HIGH COURT
WRIT SUMMONS : 22-90-2011
GALIANCON SDN BHD ("GALIANCON/PLAINTIFF")
VS.
SYARIKAT BINA DAN KUARI KEDAH SDN BHD ("BINAK/PLAINTIFF")
Company Name: BINA DARULAMAN BERHAD
Stock Name: BDB
Date Announced: 14/09/2011
Announcement Detail:
Type: Announcement
Subject: MATERIAL LITIGATION
Description: COMMENCEMENT OF LITIGATION AGAINST SUBSIDIARY COMPANY
ALOR SETAR HIGH COURT
WRIT SUMMONS : 22-90-2011
GALIANCON SDN BHD ("GALIANCON/PLAINTIFF")
VS.
SYARIKAT BINA DAN KUARI KEDAH SDN BHD ("BINAK/PLAINTIFF")
MALTON-LA - Interest Payment
Announcement Type: Entitlements (Notice of Book Closure)
Company Name: MALTON BERHAD
Stock Name: MALTON-LA
Date Announced: 14/09/2011
Announcement Detail:
EX-date: 28/09/2011
Entitlement date: 30/09/2011
Entitlement time: 05:00:00 PM
Entitlement subject: Interest Payment
Entitlement description: First quarterly interest payment in respect of RM139,341,169 nominal value 7-year 6% per annum Redeemable Convertible Secured Loan Stocks of Malton Berhad
Period of interest payment: 01/07/2011 to 01/10/2011
Financial Year End: 30/06/2012
Share transfer book & register of members will be: to closed from (both dates inclusive) for the purpose of determining the entitlements
Registrar's name ,address, telephone no: ShareWorks Sdn Bhd
No. 10-1, Jalan Sri Hartamas 8
Sri Hartamas
50480 Kuala Lumpur
Tel: 03 62011120
Payment date: 11/10/2011
a. Securities transferred into the Depositor's Securities Account before 4:00 pm in respect of transfers: 30/09/2011
Entitlement indicator: Percentage
Entitlement in percentage (%): 6
Company Name: MALTON BERHAD
Stock Name: MALTON-LA
Date Announced: 14/09/2011
Announcement Detail:
EX-date: 28/09/2011
Entitlement date: 30/09/2011
Entitlement time: 05:00:00 PM
Entitlement subject: Interest Payment
Entitlement description: First quarterly interest payment in respect of RM139,341,169 nominal value 7-year 6% per annum Redeemable Convertible Secured Loan Stocks of Malton Berhad
Period of interest payment: 01/07/2011 to 01/10/2011
Financial Year End: 30/06/2012
Share transfer book & register of members will be: to closed from (both dates inclusive) for the purpose of determining the entitlements
Registrar's name ,address, telephone no: ShareWorks Sdn Bhd
No. 10-1, Jalan Sri Hartamas 8
Sri Hartamas
50480 Kuala Lumpur
Tel: 03 62011120
Payment date: 11/10/2011
a. Securities transferred into the Depositor's Securities Account before 4:00 pm in respect of transfers: 30/09/2011
Entitlement indicator: Percentage
Entitlement in percentage (%): 6
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