TWRREIT - NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Announcement Type: General Announcement
Company Name: TOWER REAL ESTATE INVESTMENT TRUST
Stock Name: TWRREIT
Date Announced: 03/10/2011
Announcement Detail:
Type: Announcement
Subject: NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Description: Tower Real Estate Investment Trust
- Net Asset Value ("NAV")
Company Name: TOWER REAL ESTATE INVESTMENT TRUST
Stock Name: TWRREIT
Date Announced: 03/10/2011
Announcement Detail:
Type: Announcement
Subject: NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Description: Tower Real Estate Investment Trust
- Net Asset Value ("NAV")
YOCB - Bonus Issue
Announcement Type: Entitlements (Notice of Book Closure)
Submitting Merchant Bank: PUBLIC INVESTMENT BANK BERHAD
Company Name: YOONG ONN CORPORATION BERHAD
Stock Name: YOCB
Date Announced: 03/10/2011
Announcement Detail:
EX-date: 14/10/2011
Entitlement date: 18/10/2011
Entitlement time: 05:00:00 PM
Entitlement subject: Bonus Issue
Entitlement description: PROPOSED BONUS ISSUE OF 40,000,000 NEW ORDINARY SHARES OF RM0.50 EACH IN YOONG ONN CORPORATION BERHAD ("YOCB" OR "COMPANY") ("YOCB SHARE(S)") ("BONUS SHARE(S)"), ON THE BASIS OF ONE (1) BONUS SHARE FOR EVERY THREE (3) EXISTING YOCB SHARES AS AT 5.00 P.M. ON 18 OCTOBER 2011 ("ENTITLEMENT DATE")
Period of interest payment: to
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: Symphony Share Registrars Sdn Bhd
Level 6, Symphony House
Block D13, Pusat Dagangan Dana 1
Jalan PJU 1A/46
47301 Petaling Jaya
Selangor Darul Ehsan
Tel: 03-7841 8000
Fax: 03-7841 8151 / 7841 8152
a. Securities transferred into the Depositor's Securities Account before 4:00 pm in respect of transfers: 18/10/2011
Entitlement indicator: Ratio
Ratio: 1 : 3
Remarks: In accordance with the Main Market Listing Requirements of Bursa Malaysia Securities Berhad ("Bursa Securities"), the Bonus Shares will be listed and quoted on 19 October 2011, being one (1) market day after the Entitlement Date.
The Share Registrar of YOCB will issue and despatch the notices of allotment of the Bonus Shares to the entitled shareholders of YOCB latest on 25 October 2011, being four (4) market days after the listing of and quotation for the Bonus Shares on the Main Market of Bursa Securities.
This announcement is dated 3 October 2011.
Submitting Merchant Bank: PUBLIC INVESTMENT BANK BERHAD
Company Name: YOONG ONN CORPORATION BERHAD
Stock Name: YOCB
Date Announced: 03/10/2011
Announcement Detail:
EX-date: 14/10/2011
Entitlement date: 18/10/2011
Entitlement time: 05:00:00 PM
Entitlement subject: Bonus Issue
Entitlement description: PROPOSED BONUS ISSUE OF 40,000,000 NEW ORDINARY SHARES OF RM0.50 EACH IN YOONG ONN CORPORATION BERHAD ("YOCB" OR "COMPANY") ("YOCB SHARE(S)") ("BONUS SHARE(S)"), ON THE BASIS OF ONE (1) BONUS SHARE FOR EVERY THREE (3) EXISTING YOCB SHARES AS AT 5.00 P.M. ON 18 OCTOBER 2011 ("ENTITLEMENT DATE")
Period of interest payment: to
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: Symphony Share Registrars Sdn Bhd
Level 6, Symphony House
Block D13, Pusat Dagangan Dana 1
Jalan PJU 1A/46
47301 Petaling Jaya
Selangor Darul Ehsan
Tel: 03-7841 8000
Fax: 03-7841 8151 / 7841 8152
a. Securities transferred into the Depositor's Securities Account before 4:00 pm in respect of transfers: 18/10/2011
Entitlement indicator: Ratio
Ratio: 1 : 3
Remarks: In accordance with the Main Market Listing Requirements of Bursa Malaysia Securities Berhad ("Bursa Securities"), the Bonus Shares will be listed and quoted on 19 October 2011, being one (1) market day after the Entitlement Date.
The Share Registrar of YOCB will issue and despatch the notices of allotment of the Bonus Shares to the entitled shareholders of YOCB latest on 25 October 2011, being four (4) market days after the listing of and quotation for the Bonus Shares on the Main Market of Bursa Securities.
This announcement is dated 3 October 2011.
APFT - Change in Boardroom
Announcement Type: Change in Boardroom
Company Name: APFT BERHAD
Stock Name: APFT
Date Announced: 03/10/2011
Announcement Detail:
Date of change: 01/10/2011
Type of change: Resignation
Designation: Executive Director
Directorate: Executive
Name: Mejar (RTD) Dato' Mohd Kalaithe @ Mohd Khalid Bin Ali
Age: 62
Nationality: Malaysian
Qualifications: He had his early education at the Royal Military College.He obtained his Flying Instructor qualifications from RAF Shawbury United Kingdom in 1978 and has attended various courses on aviation training.
Working experience and occupation: He has more than 40 years of experience in the aviation industry, both in corporate and commercial flying as well as training of cadets. In 1970 he began his career with the RMAF. After reaching the post of a Squadron Commander, he left to join the private sector as a professional pilot. He joined Asia Pacific Flight Training Academy in late 2005.
Directorship of public companies (if any): Not Applicable
Family relationship with any director and/or major shareholder of the listed issuer: Not Applicable
Any conflict of interests that he/she has with the listed issuer: Not Applicable
Details of any interest in the securities of the listed issuer or its subsidiaries: Not Applicable
Company Name: APFT BERHAD
Stock Name: APFT
Date Announced: 03/10/2011
Announcement Detail:
Date of change: 01/10/2011
Type of change: Resignation
Designation: Executive Director
Directorate: Executive
Name: Mejar (RTD) Dato' Mohd Kalaithe @ Mohd Khalid Bin Ali
Age: 62
Nationality: Malaysian
Qualifications: He had his early education at the Royal Military College.He obtained his Flying Instructor qualifications from RAF Shawbury United Kingdom in 1978 and has attended various courses on aviation training.
Working experience and occupation: He has more than 40 years of experience in the aviation industry, both in corporate and commercial flying as well as training of cadets. In 1970 he began his career with the RMAF. After reaching the post of a Squadron Commander, he left to join the private sector as a professional pilot. He joined Asia Pacific Flight Training Academy in late 2005.
Directorship of public companies (if any): Not Applicable
Family relationship with any director and/or major shareholder of the listed issuer: Not Applicable
Any conflict of interests that he/she has with the listed issuer: Not Applicable
Details of any interest in the securities of the listed issuer or its subsidiaries: Not Applicable
OLDTOWN - OTHERS
Announcement Type: General Announcement
Company Name: OLDTOWN BERHAD
Stock Name: OLDTOWN
Date Announced: 03/10/2011
Announcement Detail:
Type: Announcement
Subject: OTHERS
Description: OLDTOWN BERHAD ("OLDTOWN" or "THE COMPANY")
- Disposal of 123,936 shares of Rp8,938 each in PT Oldtown Indonesia ("PTOTI") representing 16% of the issued and paid ip capital of PTOTI by Old Town (M) Sdn Bhd ("OT(M)"), a wholly owned subsidiary of Oldtown Berhad to Lee Kai Yuen for a total consideration of RM450,000.00
Attachments: Oldtown-Announcement-3October2011.pdf
Company Name: OLDTOWN BERHAD
Stock Name: OLDTOWN
Date Announced: 03/10/2011
Announcement Detail:
Type: Announcement
Subject: OTHERS
Description: OLDTOWN BERHAD ("OLDTOWN" or "THE COMPANY")
- Disposal of 123,936 shares of Rp8,938 each in PT Oldtown Indonesia ("PTOTI") representing 16% of the issued and paid ip capital of PTOTI by Old Town (M) Sdn Bhd ("OT(M)"), a wholly owned subsidiary of Oldtown Berhad to Lee Kai Yuen for a total consideration of RM450,000.00
Attachments: Oldtown-Announcement-3October2011.pdf
PELIKAN - Notice of Shares Buy Back - Immediate Announcement
Announcement Type: Notice of Shares Buy Back - Immediate Announcement
Company Name: PELIKAN INTERNATIONAL CORPORATION BERHAD
Stock Name: PELIKAN
Date Announced: 03/10/2011
Announcement Detail:
Date of buy back: 03/10/2011
Description of shares purchased: Ordinary Shares of RM1.00 each
Currency: Malaysian Ringgit (MYR)
Total number of shares purchased (units): 37,100
Minimum price paid for each share purchased ($$): 0.790
Maximum price paid for each share purchased ($$): 0.810
Total consideration paid ($$): 29,471.13
Number of shares purchased retained in treasury (units): 37,100
Number of shares purchased which are proposed to be cancelled (units): 0
Cumulative net outstanding treasury shares as at to-date (units): 5,853,600
Adjusted issued capital after cancellation (no. of shares) (units): 0
Total number of shares purchased and/or held as treasury shares against the total number of outstanding shares of the listed issuer (%): 1.14
Company Name: PELIKAN INTERNATIONAL CORPORATION BERHAD
Stock Name: PELIKAN
Date Announced: 03/10/2011
Announcement Detail:
Date of buy back: 03/10/2011
Description of shares purchased: Ordinary Shares of RM1.00 each
Currency: Malaysian Ringgit (MYR)
Total number of shares purchased (units): 37,100
Minimum price paid for each share purchased ($$): 0.790
Maximum price paid for each share purchased ($$): 0.810
Total consideration paid ($$): 29,471.13
Number of shares purchased retained in treasury (units): 37,100
Number of shares purchased which are proposed to be cancelled (units): 0
Cumulative net outstanding treasury shares as at to-date (units): 5,853,600
Adjusted issued capital after cancellation (no. of shares) (units): 0
Total number of shares purchased and/or held as treasury shares against the total number of outstanding shares of the listed issuer (%): 1.14
PARKSON - Notice of Shares Buy Back - Immediate Announcement
Announcement Type: Notice of Shares Buy Back - Immediate Announcement
Company Name: PARKSON HOLDINGS BERHAD
Stock Name: PARKSON
Date Announced: 03/10/2011
Announcement Detail:
Date of buy back: 03/10/2011
Description of shares purchased: Ordinary shares of RM1.00 each
Currency: Malaysian Ringgit (MYR)
Total number of shares purchased (units): 68,300
Minimum price paid for each share purchased ($$): 5.290
Maximum price paid for each share purchased ($$): 5.400
Total consideration paid ($$): 364,452.19
Number of shares purchased retained in treasury (units): 68,300
Number of shares purchased which are proposed to be cancelled (units): 0
Cumulative net outstanding treasury shares as at to-date (units): 4,102,031
Total number of shares purchased and/or held as treasury shares against the total number of outstanding shares of the listed issuer (%): 0.38
Company Name: PARKSON HOLDINGS BERHAD
Stock Name: PARKSON
Date Announced: 03/10/2011
Announcement Detail:
Date of buy back: 03/10/2011
Description of shares purchased: Ordinary shares of RM1.00 each
Currency: Malaysian Ringgit (MYR)
Total number of shares purchased (units): 68,300
Minimum price paid for each share purchased ($$): 5.290
Maximum price paid for each share purchased ($$): 5.400
Total consideration paid ($$): 364,452.19
Number of shares purchased retained in treasury (units): 68,300
Number of shares purchased which are proposed to be cancelled (units): 0
Cumulative net outstanding treasury shares as at to-date (units): 4,102,031
Total number of shares purchased and/or held as treasury shares against the total number of outstanding shares of the listed issuer (%): 0.38
PARKSON - Notice of Shares Buy Back by a Company pursuant to Form 28A
Announcement Type: Notice of Shares Buy Back by a Company Pursuant to Form 28A
Company Name: PARKSON HOLDINGS BERHAD
Stock Name: PARKSON
Date Announced: 03/10/2011
Announcement Detail:
Date of buy back from: 19/09/2011
Date of buy back to: 26/09/2011
Currency: Malaysian Ringgit (MYR)
Total number of shares purchased (units): 490,600
Minimum price paid for each share purchased ($$): 4.940
Maximum price paid for each share purchased ($$): 5.600
Total amount paid for shares purchased ($$): 2,533,492.27
The name of the stock exchange through which the shares were purchased: Bursa Malaysia Securities Berhad
Number of shares purchased retained in treasury (units): 490,600
Total number of shares retained in treasury (units): 4,033,731
Number of shares purchased which were cancelled (units): 0
Total issued capital as diminished: 0
Date lodged with registrar of companies: 03/10/2011
Lodged by: Parkson Holdings Berhad
Company Name: PARKSON HOLDINGS BERHAD
Stock Name: PARKSON
Date Announced: 03/10/2011
Announcement Detail:
Date of buy back from: 19/09/2011
Date of buy back to: 26/09/2011
Currency: Malaysian Ringgit (MYR)
Total number of shares purchased (units): 490,600
Minimum price paid for each share purchased ($$): 4.940
Maximum price paid for each share purchased ($$): 5.600
Total amount paid for shares purchased ($$): 2,533,492.27
The name of the stock exchange through which the shares were purchased: Bursa Malaysia Securities Berhad
Number of shares purchased retained in treasury (units): 490,600
Total number of shares retained in treasury (units): 4,033,731
Number of shares purchased which were cancelled (units): 0
Total issued capital as diminished: 0
Date lodged with registrar of companies: 03/10/2011
Lodged by: Parkson Holdings Berhad
VASTALX - PRACTICE NOTE 17 / GUIDANCE NOTE 3: MONTHLY ANNOUNCEMENT
Announcement Type: General Announcement
Company Name: VASTALUX ENERGY BERHAD
Stock Name: VASTALX
Date Announced: 03/10/2011
Announcement Detail:
Type: Announcement
Subject: PRACTICE NOTE 17 / GUIDANCE NOTE 3
MONTHLY ANNOUNCEMENT
Description: Further to the Company's announcement dated 29 August 2011, the Board of Directors wishes to announce that the Company is in the midst of formulating a Regularisation Plan. An announcement shall be made upon the completion of the said Regularisation Plan.
The Company has approximately two (2) months to submit its Regularisation Plan to the relevant authorities for approval.
The announcement is dated 3 October 2011.
Company Name: VASTALUX ENERGY BERHAD
Stock Name: VASTALX
Date Announced: 03/10/2011
Announcement Detail:
Type: Announcement
Subject: PRACTICE NOTE 17 / GUIDANCE NOTE 3
MONTHLY ANNOUNCEMENT
Description: Further to the Company's announcement dated 29 August 2011, the Board of Directors wishes to announce that the Company is in the midst of formulating a Regularisation Plan. An announcement shall be made upon the completion of the said Regularisation Plan.
The Company has approximately two (2) months to submit its Regularisation Plan to the relevant authorities for approval.
The announcement is dated 3 October 2011.
SELOGA - PRACTICE NOTE 17 / GUIDANCE NOTE 3: MONTHLY ANNOUNCEMENT
Announcement Type: General Announcement
Submitting Merchant Bank: M & A SECURITIES SDN BHD
Company Name: SELOGA HOLDINGS BERHAD
Stock Name: SELOGA
Date Announced: 03/10/2011
Announcement Detail:
Type: Announcement
Subject: PRACTICE NOTE 17 / GUIDANCE NOTE 3
MONTHLY ANNOUNCEMENT
Description: SELOGA HOLDINGS BERHAD ("SELOGA" OR "THE COMPANY")
• PRACTICE NOTE 17/2005 ("PN 17")
• MONTHLY ANNOUNCEMENT ON THE STATUS OF PLANS TO REGULARISE THE COMPANY'S FINANCIAL CONDITION
Submitting Merchant Bank: M & A SECURITIES SDN BHD
Company Name: SELOGA HOLDINGS BERHAD
Stock Name: SELOGA
Date Announced: 03/10/2011
Announcement Detail:
Type: Announcement
Subject: PRACTICE NOTE 17 / GUIDANCE NOTE 3
MONTHLY ANNOUNCEMENT
Description: SELOGA HOLDINGS BERHAD ("SELOGA" OR "THE COMPANY")
• PRACTICE NOTE 17/2005 ("PN 17")
• MONTHLY ANNOUNCEMENT ON THE STATUS OF PLANS TO REGULARISE THE COMPANY'S FINANCIAL CONDITION
NGIUKEE - PRACTICE NOTE 17 / GUIDANCE NOTE 3: MONTHLY ANNOUNCEMENT
Announcement Type: General Announcement
Submitting Merchant Bank: TA SECURITIES HOLDINGS BERHAD
Company Name: NGIU KEE CORPORATION (M) BERHAD
Stock Name: NGIUKEE
Date Announced: 03/10/2011
Announcement Detail:
Type: Announcement
Subject: PRACTICE NOTE 17 / GUIDANCE NOTE 3
MONTHLY ANNOUNCEMENT
Description: NGIU KEE CORPORATION (M) BERHAD ("NKCB" OR THE "COMPANY")
MONTHLY ANNOUNCEMENT ON THE STATUS OF THE COMPANY'S PLAN TO REGULARISE ITS CONDITION PURSUANT TO PRACTICE NOTE NO. 17 ("PN17") OF THE MAIN MARKET LISTING REQUIREMENTS OF BURSA MALAYSIA SECURITIES BERHAD
Submitting Merchant Bank: TA SECURITIES HOLDINGS BERHAD
Company Name: NGIU KEE CORPORATION (M) BERHAD
Stock Name: NGIUKEE
Date Announced: 03/10/2011
Announcement Detail:
Type: Announcement
Subject: PRACTICE NOTE 17 / GUIDANCE NOTE 3
MONTHLY ANNOUNCEMENT
Description: NGIU KEE CORPORATION (M) BERHAD ("NKCB" OR THE "COMPANY")
MONTHLY ANNOUNCEMENT ON THE STATUS OF THE COMPANY'S PLAN TO REGULARISE ITS CONDITION PURSUANT TO PRACTICE NOTE NO. 17 ("PN17") OF THE MAIN MARKET LISTING REQUIREMENTS OF BURSA MALAYSIA SECURITIES BERHAD
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