June 4, 2012

Company announcements: MULPHA, BJLAND, YTL-CK, YTL-CN, PACMAS, HARISON, GLOMAC

MULPHA - Notice of Shares Buy Back - Immediate Announcement

Announcement Type: Notice of Shares Buy Back - Immediate Announcement
Company Name: MULPHA INTERNATIONAL BERHAD
Stock Name: MULPHA
Date Announced: 04/06/2012

Announcement Detail:
Date of buy back: 04/06/2012

Description of shares purchased: Ordinary shares of RM 0.50 each

Currency: Malaysian Ringgit (MYR)

Total number of shares purchased (units): 300,000

Minimum price paid for each share purchased ($$): 0.405

Maximum price paid for each share purchased ($$): 0.405

Total consideration paid ($$): 122,022.95

Number of shares purchased retained in treasury (units): 300,000

Cumulative net outstanding treasury shares as at to-date (units): 80,223,200

Total number of shares purchased and/or held as treasury shares against the total number of outstanding shares of the listed issuer (%): 3.41


BJLAND - DEALINGS IN LISTED SECURITIES (CHAPTER 14 OF LISTING REQUIREMENTS): DEALINGS DURING CLOSED PERIOD

Announcement Type: General Announcement
Company Name: BERJAYA LAND BERHAD
Stock Name: BJLAND
Date Announced: 04/06/2012

Announcement Detail:
Type: Announcement

Subject: DEALINGS IN LISTED SECURITIES (CHAPTER 14 OF LISTING REQUIREMENTS)
DEALINGS DURING CLOSED PERIOD

Description: Further to our announcement dated 21 May 2012 on the above and pursuant to Paragraphs 14.03 and 14.08 of the Main Market Listing Requirements of Bursa Malaysia Securities Berhad in relation to dealings in the securities by Directors/Principal Officer of a listed issuer during the closed period, we wish to inform that, Tan Sri Dato' Seri Vincent Tan Chee Yioun ("TSVT"), the Managing Director/Chief Executive Officer of Sports Toto Malaysia Sdn Bhd, a major subsidiary of Berjaya Land Berhad ("BLand") has acquired ordinary shares in BLand as set out in the table below.


YTL-CK - Entitlement - Others

Announcement Type: Entitlements (Notice of Book Closure)
Submitting Merchant Bank: CIMB INVESTMENT BANK BERHAD
Name: YTL-CK: CW YTL CORPORATION BERHAD (CIMB)
Stock Name: YTL-CK
Date Announced: 04/06/2012

Announcement Detail:
EX-date: 14/06/2012

Entitlement date: 18/06/2012

Entitlement time: 05:00:00 PM

Entitlement subject: Others

Entitlement description: ADJUSTMENTS TO THE TERMS AND CONDITIONS OF THE NON-COLLATERALISED CASH-SETTLED CALL WARRANTS OF OVER ORDINARY SHARES OF YTL CORPORATION BERHAD ("YTL") ("YTL-CK") PURSUANT TO THE DISTRIBUTION OF ONE (1)TREASURY SHARE FOR EVERY FIFTEEN (15) EXISTING ORDINARY SHARES OF RM0.10 EACH HELD ("SHARE DIVIDEND").

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: +603 - 7841 8000
Helpdesk Tel: +603 - 7849 0777

a. Securities transferred into the Depositor's Securities Account before 4:00 pm in respect of transfers: 18/06/2012

Entitlement indicator: Ratio

Ratio: 0 : 0

Remarks: In accordance with Condition 6 of the Deed Poll dated 5 May 2011, the terms and conditions of the YTL-CK shall be adjusted accordingly.

The Exercise Price and the Warrant Component/Exercise Ratio for the YTL-CK will be adjusted from RM1.35 to RM1.2656 and 0.5000 (2 warrants to 1 share) to 0.5333 (1.8750 warrants to 1 share) respectively.

The adjusted Exercise Price and Warrant Component/Exercise Ratio for the YTL-CK will take effect at 9.00 am on 14 June 2012, being the ex-date for the Share Dividend.

Please note that there will not be any new issuance of YTL-CK on the Entitlement Date pursuant to the share Dividend.


YTL-CK - STRUCTURED WARRANTS ANNOUNCEMENT: ADJUSTMENT TO TERMS OF STRUCTURED WARRANTS

Announcement Type: General Announcement
Submitting Merchant Bank: CIMB INVESTMENT BANK BERHAD
Name: YTL-CK: CW YTL CORPORATION BERHAD (CIMB)
Stock Name: YTL-CK
Date Announced: 04/06/2012

Announcement Detail:
Type: Announcement

Subject: STRUCTURED WARRANTS ANNOUNCEMENT
ADJUSTMENT TO TERMS OF STRUCTURED WARRANTS

Description: ADJUSTMENT TO THE TERMS AND CONDITIONS OF THE NON-COLLATERALISED CASH-SETTLED CALL WARRANTS OVER ORDINARY SHARES OF YTL CORPORATION BERHAD ("YTL") ("YTL-CK")

Attachments: YTL-CK Ann Share Dividend.pdf


YTL-CN - STRUCTURED WARRANTS ANNOUNCEMENT: ADJUSTMENT TO TERMS OF STRUCTURED WARRANTS

Announcement Type: General Announcement
Submitting Merchant Bank: CIMB INVESTMENT BANK BERHAD
Name: YTL-CN: CW YTL CORPORATION BERHAD (CIMB)
Stock Name: YTL-CN
Date Announced: 04/06/2012

Announcement Detail:
Type: Announcement

Subject: STRUCTURED WARRANTS ANNOUNCEMENT
ADJUSTMENT TO TERMS OF STRUCTURED WARRANTS

Description: ADJUSTMENT TO THE TERMS AND CONDITIONS OF THE NON-COLLATERALISED CASH-SETTLED CALL WARRANTS OVER ORDINARY SHARES OF YTL CORPORATION BERHAD ("YTL") ("YTL-CN")

Attachments: YTL-CN Ann Share Dividend.pdf


YTL-CN - Entitlement - Others

Announcement Type: Entitlements (Notice of Book Closure)
Submitting Merchant Bank: CIMB INVESTMENT BANK BERHAD
Name: YTL-CN: CW YTL CORPORATION BERHAD (CIMB)
Stock Name: YTL-CN
Date Announced: 04/06/2012

Announcement Detail:
EX-date: 14/06/2012

Entitlement date: 18/06/2012

Entitlement time: 05:00:00 PM

Entitlement subject: Others

Entitlement description: ADJUSTMENTS TO THE TERMS AND CONDITIONS OF THE NON-COLLATERALISED CASH-SETTLED CALL WARRANTS OF OVER ORDINARY SHARES OF YTL CORPORATION BERHAD ("YTL") ("YTL-CN") PURSUANT TO THE DISTRIBUTION OF ONE (1)TREASURY SHARE FOR EVERY FIFTEEN (15) EXISTING ORDINARY SHARES OF RM0.10 EACH HELD ("SHARE DIVIDEND").

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: +603 - 7841 8000
Helpdesk Tel: +603 - 7849 0777

a. Securities transferred into the Depositor's Securities Account before 4:00 pm in respect of transfers: 18/06/2012

Entitlement indicator: Ratio

Ratio: 0 : 0

Remarks: In accordance with Condition 6 of the Deed Poll dated 3 April 2012, the terms and conditions of the YTL-CN shall be adjusted accordingly.

The Exercise Price and the Warrant Component/Exercise Ratio for the YTL-CN will be adjusted from RM1.65 to RM1.5469 and 0.5000 (2 warrants to 1 share) to 0.5333 (1.8750 warrants to 1 share) respectively.

The adjusted Exercise Price and Warrant Component/Exercise Ratio for the YTL-CN will take effect at 9.00 am on 14 June 2012, being the ex-date for the Share Dividend.

Please note that there will not be any new issuance of YTL-CN on the Entitlement Date pursuant to the share Dividend.


PACMAS - GENERAL MEETINGS: NOTICE OF MEETING

Announcement Type: General Announcement
Company Name: PACIFICMAS BERHAD
Stock Name: PACMAS
Date Announced: 04/06/2012

Announcement Detail:
Type: Announcement

Subject: GENERAL MEETINGS
NOTICE OF MEETING

Description: The Board of Directors of PacificMas Berhad ("the Company") wishes to inform Bursa Malaysia Securities Berhad that the Fiftieth Annual General Meeting of the Company will be held at Nirwana Ballroom 2, Lower Lobby, Crowne Plaza Mutiara Hotel, Jalan Sultan Ismail, 50250 Kuala Lumpur on Wednesday, 27 June 2012 at 2.30 p.m.

A copy of the Notice of the AGM is attached herewith for your attention.

The announcement is dated 4 June 2012.

Attachments: PacificMas(Notice-AGM).pdf


HARISON - Final Dividend

Announcement Type: Entitlements (Notice of Book Closure)
Company Name: HARRISONS HOLDINGS (MALAYSIA) BERHAD
Stock Name: HARISON
Date Announced: 04/06/2012

Announcement Detail:
EX-date: 04/07/2012

Entitlement date: 06/07/2012

Entitlement time: 04:00:00 PM

Entitlement subject: Final Dividend

Entitlement description: Final Single-Tier Diviend of 20.0 sen per ordinary shares of RM1.00 each for financial year ended 31 December 2011

Period of interest payment: to

Financial Year End: 31/12/2011

Share transfer book & register of members will be: 06/07/2012 to 06/07/2012 closed from (both dates inclusive) for the purpose of determining the entitlements

Registrar's name ,address, telephone no: Sectrars Services Sdn Bhd
No.28-1, Jalan Tun Sambanthan 3
Brickfields, 50470 Kuala Lumpur
Tel No.: 03-2274 6133

Payment date: 27/07/2012

a. Securities transferred into the Depositor's Securities Account before 4:00 pm in respect of transfers: 06/07/2012

Entitlement indicator: Currency

Currency: Malaysian Ringgit (MYR)

Entitlement in Currency: 0.2

Remarks: The payment of this final dividend is subject to the approval of the shareholders at the forthcoming Annual General Meeting to be held on 20 June 2012.


GLOMAC - Notice of Shares Buy Back - Immediate Announcement

Announcement Type: Notice of Shares Buy Back - Immediate Announcement
Company Name: GLOMAC BERHAD
Stock Name: GLOMAC
Date Announced: 04/06/2012

Announcement Detail:
Date of buy back: 04/06/2012

Description of shares purchased: Ordinary Shares of RM0.50 each

Currency: Malaysian Ringgit (MYR)

Total number of shares purchased (units): 120,000

Minimum price paid for each share purchased ($$): 0.820

Maximum price paid for each share purchased ($$): 0.825

Total consideration paid ($$): 99,215.53

Number of shares purchased retained in treasury (units): 120,000

Cumulative net outstanding treasury shares as at to-date (units): 4,889,200

Total number of shares purchased and/or held as treasury shares against the total number of outstanding shares of the listed issuer (%): 0.72


GLOMAC - 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: GLOMAC BERHAD
Stock Name: GLOMAC
Date Announced: 04/06/2012

Announcement Detail:
Date of buy back from: 21/05/2012

Date of buy back to: 31/05/2012

Currency: Malaysian Ringgit (MYR)

Total number of shares purchased (units): 645,100

Minimum price paid for each share purchased ($$): 0.790

Maximum price paid for each share purchased ($$): 0.845

Total amount paid for shares purchased ($$): 530,081.49

The name of the stock exchange through which the shares were purchased: Bursa Malaysia Securities Berhad

Number of shares purchased retained in treasury (units): 645,100

Total number of shares retained in treasury (units): 4,679,200

Number of shares purchased which were cancelled (units): 0

Total issued capital as diminished: 0

Date lodged with registrar of companies: 04/06/2012

Lodged by: Nor Azam Salleh


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