January 16, 2014

Company announcements: FGV-CT, UMWOG-CN, LONBISC, CYL, PMETAL-LA, JETSON

FGV-CT - Listing Information & Profile for Structured Warrants

Announcement Type: Listing Information & Profile
NameFGV-CT: CW FELDA GLOBAL VENTURES HOLDINGS BHD (MIBB)  
Stock Name FGV-CT  
Date Announced16 Jan 2014  
CategoryListing Information & Profile
Reference NoMI-140115-62806

Instrument TypeStructured Warrants
Type of Structure WarrantsCall Warrants
DescriptionEuropean Style Non-Collateralised Cash-Settled 
Underlying StockFELDA GLOBAL VENTURES HOLDINGS BERHAD
IssuerMAYBANK INVESTMENT BANK BERHAD
Stock Code5222CT
Stock Short NameFGV-CT
ISIN CodeMYL5222CTP12
BoardStructured Warrants
SectorPLANTATION

Initial Listing Information

Listing Date20/01/2014
Term Sheet Date16/01/2014
Issue Date16/01/2014
Issue/ Ask PriceMYR 0.1500
Issue Size IndicatorUnit
Issue Size in Unit100,000,000
Maturity Date28/01/2015
Exercise/Strike/Conversion PriceMYR 4.8800
Revised Exercise/Strike/Conversion Price
Exercise/ Conversion Ratio6:1
Revised Exercise/ Conversion Ratio
Settlement Type/ Convertible intoCash
Name and contact details of market maker
(if applicable)
Equity & Commodity Derivatives Group
c/o Maybank Investment Bank Berhad
32nd Floor, Menara Maybank
100, Jalan Tun Perak
50050 Kuala Lumpur
Tel: 03-2059 1888  
Circumstances under which the market maker may not be able to provide quotes
(if applicable)
Please refer to Section 3.4 of the Base Prospectus dated 2 October 2013  


UMWOG-CN - Listing Information & Profile for Structured Warrants

Announcement Type: Listing Information & Profile
NameUMWOG-CN: CW UMW OIL & GAS CORPORATION BHD (MIBB)  
Stock Name UMWOG-CN  
Date Announced16 Jan 2014  
CategoryListing Information & Profile
Reference NoMI-140115-64895

Instrument TypeStructured Warrants
Type of Structure WarrantsCall Warrants
DescriptionEuropean Style Non-Collateralised Cash-Settled 
Underlying StockUMW OIL & GAS CORPORATION BERHAD
IssuerMAYBANK INVESTMENT BANK BERHAD
Stock Code5243CN
Stock Short NameUMWOG-CN
ISIN CodeMYL5243CNP13
BoardStructured Warrants
SectorTRADING/SERVICES

Initial Listing Information

Listing Date20/01/2014
Term Sheet Date16/01/2014
Issue Date16/01/2014
Issue/ Ask PriceMYR 0.1500
Issue Size IndicatorUnit
Issue Size in Unit100,000,000
Maturity Date28/01/2015
Exercise/Strike/Conversion PriceMYR 4.5800
Revised Exercise/Strike/Conversion Price
Exercise/ Conversion Ratio6:1
Revised Exercise/ Conversion Ratio
Settlement Type/ Convertible intoCash
Name and contact details of market maker
(if applicable)
Equity & Commodity Derivatives Group
c/o Maybank Investment Bank Berhad
32nd Floor, Menara Maybank
100, Jalan Tun Perak
50050 Kuala Lumpur
Tel: 03-2059 1888  
Circumstances under which the market maker may not be able to provide quotes
(if applicable)
Please refer to Section 3.4 of the Base Prospectus dated 2 October 2013  


LONBISC - LONBISC - NOTICE OF BOOK CLOSURE

Announcement Type: Listing Circular
Company NameLONDON BISCUITS BERHAD  
Stock Name LONBISC  
Date Announced16 Jan 2014  
CategoryListing Circular
Reference NoRN-140116-28568

LISTING'S CIRCULAR NO. L/Q : 69664 OF 2014


    An Interim Single-tier Dividend of 1% per ordinary share of RM1.00 each.

    Kindly be advised of the following :

    1) The above Company's securities will be traded and quoted [ "Ex - Dividend" ]
    as from : [ 30 January 2014 ]

    2) The last date of lodgement : [ 5 February 2014 ]

    3) Date Payable : [ 28 February 2014 ]


CYL - CYL - NOTICE OF BOOK CLOSURE

Announcement Type: Listing Circular
Company NameCYL CORPORATION BERHAD  
Stock Name CYL  
Date Announced16 Jan 2014  
CategoryListing Circular
Reference NoRN-140116-28247

LISTING'S CIRCULAR NO. L/Q : 69659 OF 2014


    Interim Tax Exempt Dividend of 4%.

    Kindly be advised of the following :

    1) The above Company's securities will be traded and quoted [ "Ex - Dividend" ]
    as from : [ 27 January 2014 ]

    2) The last date of lodgement : [ 29 January 2014 ]

    3) Date Payable : [ 12 February 2014 ]


PMETAL-LA - PMETAL-LA - NOTICE OF BOOK CLOSURE

Announcement Type: Listing Circular
Company NamePRESS METAL BERHAD  
Stock Name PMETAL-LA  
Date Announced16 Jan 2014  
CategoryListing Circular
Reference NoRN-140116-28696

LISTING'S CIRCULAR NO. L/Q : 69666 OF 2014


    Coupon of 6% per annum (less any Malaysian income or witholding tax applicable thereto to be deducted, if required) payable on a quarterly basis computed based on the nominal value of the Redeemable Convertible Secured Loan Stocks (RCSLS) for the period from 25 November 2013 to 24 February 2014.

    Kindly be advised of the following :

    1) The above Company's securities will be traded and quoted [ "Ex - Interest" ]
    as from : [ 29 January 2014 ]

    2) The last date of lodgement : [ 4 February 2014 ]

    3) Date Payable : [ 24 February 2014 ]


JETSON - JETSON - NOTICE OF BOOK CLOSURE

Announcement Type: Listing Circular
Company NameKUMPULAN JETSON BERHAD  
Stock Name JETSON  
Date Announced16 Jan 2014  
CategoryListing Circular
Reference NoRN-140116-28364

LISTING'S CIRCULAR NO. L/Q : 69663 OF 2014


    1) Share split involving the subdivision of every one (1) existing ordinary share of RM1.00 each in Kumpulan Jetson Berhad (“Jetson”) into two (2) ordinary shares of RM0.50 each in Jetson (“Resultant Shares”) (“Share Split”) and

    2) Bonus issue of 34,193,402 free warrants in Kumpulan Jetson Berhad (“Jetson” or the “Company”) (“Warrants”) on the basis of one (1) Warrant for every five (5) ordinary shares of RM0.50 each in Jetson (“Resultant Shares”) after the Company’s share split involving the subdivision of every one (1) existing ordinary share of RM1.00 each in Jetson into two (2) Resultant Shares (“Bonus Issue of Warrants”).


    Kindly be advised of the following :

    1) The above Company's securities will be traded and quoted [ "Ex - All" ]
    as from : [ 29 January 2014 ]

    2) The last date of lodgement : [ 4 February 2014 ]

    Remarks :- "Bursa Malaysia Securities Bhd would like to clarify that on the basis of settlement taking place on 5 February 2014 with share split JETSON shares of RM0.50 each. Any shareholder who is entitled to receive JETSON share split shares, may sell any or all of his JETSON shares arising from the share split beginning the Ex-Date (29 January 2014).

    For example, if Mr X purchases 100 JETSON shares on cum basis on 28 January 2014, Mr X should receive 100 shares on 4 February 2014. As a result of the share split, 200 JETSON shares will be credited into Mr X's CDS account on the night of 4 February 2014 being the Book Closing Date. Therefore, Mr X can sell the share split shares of 200 on or after the Ex-Date ie from 29 January 2014 onwards."]


No comments:

Post a Comment