October 17, 2014

Company announcements: IDEAL, CIMBA40, CIMBC50, MAYBANK-C7, IOICORP-C5, GENTINGC19, E&O-CU, PCHEM-CY, SKPETRO-C2, YTLPOWR

IDEAL - MATERIAL LITIGATION

Announcement Type: General Announcement
Company NameIDEAL SUN CITY HOLDINGS BERHAD (ACE Market) 
Stock Name IDEAL  
Date Announced17 Oct 2014  
CategoryGeneral Announcement
Reference NoCP-141016-64955

Regularisation SponsorM&A Securities Sdn Bhd
SponsorSame as above
TypeAnnouncement
SubjectMATERIAL LITIGATION
DescriptionIDEAL SUN CITY HOLDINGS BERHAD ("IDEAL" OR "THE COMPANY")
-Update of Legal Suits
Orix Credit Malaysia Sdn. Bhd. ("Orix" or "the Plaintiff") against Equator Life Science Bhd ("the Company" or "the Defendant")
(now known as Ideal Sun City Holdings Berhad)

Further to the announcement made on 4 August 2014, the Board of Directors of the Company wishes to announce that the Company has on 16 October 2014 received an update from the Company Solicitor informing that the Company's application to strike out the Plaintiff's claim was dismissed with costs of RM2,500.00. The High Court also gave the following further directions to the parties:-
a. Any other interlocutory applications by either party is to be filed by 23.10.2014;
b. The Plaintiff is directed to write to the Defendant on or before 30.10.2014 suggesting the following:-

i. The documents to be included in the bundle of documents;
ii. The Issues to be tried;
iii. The Statement of Agreed Facts;

c. The Defendant to reply to the Plaintiff by 07.11.2014;
d. The next Case Management is fixed on 10.11.2014.

The Company has been advised to file an appeal to the Court of Appeal against the decision of the High Court dismissing the Company's application to strike out the Plaintiff's claim and simultaneously to file an application for stay of proceedings at the High Court pending appeal.

This announcement is dated 17 October 2014.



CIMBA40 - NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE

Announcement Type: General Announcement
Company NameCIMB FTSE ASEAN 40 MALAYSIA  
Stock Name CIMBA40  
Date Announced17 Oct 2014  
CategoryGeneral Announcement
Reference NoOB-141017-B0E0F

TypeAnnouncement
SubjectNET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
DescriptionFund: CIMB FTSE ASEAN 40 Malaysia
Date: 17-Oct-2014
IOPV per unit (RM): 1.6819
Units in circulation (units): 1,350,000.00
Management Fee (% p.a.): 0.00
Trustee Fee (% p.a.): 0.08
Index Licence Fee (% p.a.): 0.00
FTSE/ASEAN 40 Index: 10,734.87



CIMBC50 - NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE

Announcement Type: General Announcement
Company NameCIMB FTSE CHINA 50  
Stock Name CIMBC50  
Date Announced17 Oct 2014  
CategoryGeneral Announcement
Reference NoOB-141017-B0E03

TypeAnnouncement
SubjectNET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
DescriptionFund: CIMB FTSE China 50
Date: 17-Oct-2014
IOPV per unit (RM): 1.0161
Units in circulation (units): 9,750,000.00
Management Fee (% p.a.): 0.60
Trustee Fee (% p.a.): 0.08
Index Licence Fee (% p.a.): 0.04
FTSE/Xinhua China 25 Index: 16,448.53



MAYBANK-C7 - Listing Information & Profile for Structured Warrants

Announcement Type: Listing Information & Profile
NameMAYBANK-C7: CW MALAYAN BANKING BHD (AM)  
Stock Name MAYBANK-C7  
Date Announced17 Oct 2014  
CategoryListing Information & Profile
Reference NoMB-141017-00DA3

Instrument TypeStructured Warrants
Type of Structure WarrantsCall Warrants
DescriptionEuropean Style Cash Settled 
Underlying StockMALAYAN BANKING BERHAD
IssuerAmBank (M) Berhad
Stock Code1155C7
Stock Short NameMAYBANK-C7
ISIN CodeMYL1155C7P74
BoardStructured Warrants
SectorFINANCE

Initial Listing Information

Listing Date20/10/2014
Term Sheet Date17/10/2014
Issue Date17/10/2014
Issue/ Ask PriceMYR 0.1500
Issue Size IndicatorUnit
Issue Size in Unit100,000,000
Maturity Date31/07/2015
Exercise/Strike/Conversion PriceMYR 9.8000
Revised Exercise/Strike/Conversion Price
Exercise/ Conversion Ratio10:1
Revised Exercise/ Conversion Ratio
Settlement Type/ Convertible intoCash
Name and contact details of market maker
(if applicable)
AmBank (M) Berhad
15th Floor Bangunan AmBank Group
55 Jalan Raja Chulan
50200 Kuala Lumpur
Malaysia
03-9235 3388 
Circumstances under which the market maker may not be able to provide quotes
(if applicable)
Please refer to Section 3.5 of the Base Prospectus dated 9 September 2014. 


IOICORP-C5 - Listing Information & Profile for Structured Warrants

Announcement Type: Listing Information & Profile
NameIOICORP-C5: CW IOI CORPORATION BERHAD (AM)  
Stock Name IOICORP-C5  
Date Announced17 Oct 2014  
CategoryListing Information & Profile
Reference NoMB-141017-FDA19

Instrument TypeStructured Warrants
Type of Structure WarrantsCall Warrants
DescriptionEuropean Style Cash Settled 
Underlying StockIOI CORPORATION BERHAD
IssuerAmBank (M) Berhad
Stock Code1961C5
Stock Short NameIOICORP-C5
ISIN CodeMYL1961C5P77
BoardStructured Warrants
SectorPLANTATION

Initial Listing Information

Listing Date20/10/2014
Term Sheet Date17/10/2014
Issue Date17/10/2014
Issue/ Ask PriceMYR 0.1500
Issue Size IndicatorUnit
Issue Size in Unit100,000,000
Maturity Date31/07/2015
Exercise/Strike/Conversion PriceMYR 4.8000
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)
AmBank (M) Berhad
15th Floor Bangunan AmBank Group
55 Jalan Raja Chulan
50200 Kuala Lumpur
Malaysia
03-9235 3388 
Circumstances under which the market maker may not be able to provide quotes
(if applicable)
Please refer to Section 3.5 of the Base Prospectus dated 9 September 2014. 


GENTINGC19 - Listing Information & Profile for Structured Warrants

Announcement Type: Listing Information & Profile
NameGENTINGC19: CW GENTING BERHAD (AM)  
Stock Name GENTINGC19  
Date Announced17 Oct 2014  
CategoryListing Information & Profile
Reference NoMB-141017-FA9EE

Instrument TypeStructured Warrants
Type of Structure WarrantsCall Warrants
DescriptionEuropean Style Cash Settled 
Underlying StockGENTING BERHAD
IssuerAmBank (M) Berhad
Stock Code318219
Stock Short NameGENTINGC19
ISIN CodeMYL318219P78
BoardStructured Warrants
SectorTRADING/SERVICES

Initial Listing Information

Listing Date20/10/2014
Term Sheet Date17/10/2014
Issue Date17/10/2014
Issue/ Ask PriceMYR 0.1500
Issue Size IndicatorUnit
Issue Size in Unit100,000,000
Maturity Date31/07/2015
Exercise/Strike/Conversion PriceMYR 9.5000
Revised Exercise/Strike/Conversion Price
Exercise/ Conversion Ratio8:1
Revised Exercise/ Conversion Ratio
Settlement Type/ Convertible intoCash
Name and contact details of market maker
(if applicable)
AmBank (M) Berhad
15th Floor Bangunan AmBank Group
55 Jalan Raja Chulan
50200 Kuala Lumpur
Malaysia
03-9235 3388 
Circumstances under which the market maker may not be able to provide quotes
(if applicable)
Please refer to Section 3.5 of the Base Prospectus dated 9 September 2014. 


E&O-CU - Listing Information & Profile for Structured Warrants

Announcement Type: Listing Information & Profile
NameE&O-CU: CW EASTERN & ORIENTAL BERHAD (AM)  
Stock Name E&O-CU    
Date Announced17 Oct 2014  
CategoryListing Information & Profile
Reference NoMB-141017-F69E2

Instrument TypeStructured Warrants
Type of Structure WarrantsCall Warrants
DescriptionEuropean Style Cash Settled 
Underlying StockEASTERN & ORIENTAL BERHAD
IssuerAmBank (M) Berhad
Stock Code3417CU
Stock Short NameE&O-CU
ISIN CodeMYL3417CUP76
BoardStructured Warrants
SectorPROPERTIES

Initial Listing Information

Listing Date20/10/2014
Term Sheet Date17/10/2014
Issue Date17/10/2014
Issue/ Ask PriceMYR 0.1500
Issue Size IndicatorUnit
Issue Size in Unit100,000,000
Maturity Date31/07/2015
Exercise/Strike/Conversion PriceMYR 2.8800
Revised Exercise/Strike/Conversion Price
Exercise/ Conversion Ratio5:1
Revised Exercise/ Conversion Ratio
Settlement Type/ Convertible intoCash
Name and contact details of market maker
(if applicable)
AmBank (M) Berhad
15th Floor Bangunan AmBank Group
55 Jalan Raja Chulan
50200 Kuala Lumpur
Malaysia
03-9235 3388 
Circumstances under which the market maker may not be able to provide quotes
(if applicable)
Please refer to Section 3.5 of the Base Prospectus dated 9 September 2014. 


PCHEM-CY - Listing Information & Profile for Structured Warrants

Announcement Type: Listing Information & Profile
NamePCHEM-CY: CW PETRONAS CHEMICALS GROUP BERHAD (AM)  
Stock Name PCHEM-CY  
Date Announced17 Oct 2014  
CategoryListing Information & Profile
Reference NoMB-141017-03D80

Instrument TypeStructured Warrants
Type of Structure WarrantsCall Warrants
DescriptionEuropean Style Cash Settled 
Underlying StockPETRONAS CHEMICALS GROUP BERHAD
IssuerAmBank (M) Berhad
Stock Code5183CY
Stock Short NamePCHEM-CY
ISIN CodeMYL5183CYP79
BoardStructured Warrants
SectorINDUSTRIAL PRODUCTS

Initial Listing Information

Listing Date20/10/2014
Term Sheet Date17/10/2014
Issue Date17/10/2014
Issue/ Ask PriceMYR 0.1500
Issue Size IndicatorUnit
Issue Size in Unit100,000,000
Maturity Date31/07/2015
Exercise/Strike/Conversion PriceMYR 6.3000
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)
AmBank (M) Berhad
15th Floor Bangunan AmBank Group
55 Jalan Raja Chulan
50200 Kuala Lumpur
Malaysia
03-9235 3388 
Circumstances under which the market maker may not be able to provide quotes
(if applicable)
Please refer to Section 3.5 of the Base Prospectus dated 9 September 2014. 


SKPETRO-C2 - Listing Information & Profile for Structured Warrants

Announcement Type: Listing Information & Profile
NameSKPETRO-C2: CW SAPURAKENCANA PETROLEUM BERHAD (AM)  
Stock Name SKPETRO-C2  
Date Announced17 Oct 2014  
CategoryListing Information & Profile
Reference NoMB-141017-0604F

Instrument TypeStructured Warrants
Type of Structure WarrantsCall Warrants
DescriptionEuropean Style Cash Settled 
Underlying StockSAPURAKENCANA PETROLEUM BERHAD
IssuerAmBank (M) Berhad
Stock Code5218C2
Stock Short NameSKPETRO-C2
ISIN CodeMYL5218C2P71
BoardStructured Warrants
SectorTRADING/SERVICES

Initial Listing Information

Listing Date20/10/2014
Term Sheet Date17/10/2014
Issue Date17/10/2014
Issue/ Ask PriceMYR 0.1500
Issue Size IndicatorUnit
Issue Size in Unit100,000,000
Maturity Date31/07/2015
Exercise/Strike/Conversion PriceMYR 4.2000
Revised Exercise/Strike/Conversion Price
Exercise/ Conversion Ratio5:1
Revised Exercise/ Conversion Ratio
Settlement Type/ Convertible intoCash
Name and contact details of market maker
(if applicable)
AmBank (M) Berhad
15th Floor Bangunan AmBank Group
55 Jalan Raja Chulan
50200 Kuala Lumpur
Malaysia
03-9235 3388 
Circumstances under which the market maker may not be able to provide quotes
(if applicable)
Please refer to Section 3.5 of the Base Prospectus dated 9 September 2014. 


YTLPOWR - Changes in Sub. S-hldr's Int. (29B) - EMPLOYEES PROVIDENT FUND BOARD

Announcement Type: Changes in Substantial Shareholder's Interest Pursuant to Form 29B of the Companies Act. 1965
Company NameYTL POWER INTERNATIONAL BHD  
Stock Name YTLPOWR  
Date Announced17 Oct 2014  
CategoryChanges in Substantial Shareholder's Interest Pursuant to Form 29B of the Companies Act. 1965
Reference NoYP-141017-74E9C

Particulars of substantial Securities Holder

NameEMPLOYEES PROVIDENT FUND BOARD
AddressTINGKAT 19,BANGUNAN KWSP,JALAN RAJA LAUT,50350 KUALA LUMPUR
NRIC/Passport No/Company No.EPF ACT 1991
Nationality/Country of incorporationMALAYSIA
Descriptions (Class & nominal value)ORDINARY SHARES OF RM0.50 EACH
Name & address of registered holderCITIGROUP NOMINEES (TEMPATAN) SDN BHD - EMPLOYEES PROVIDENT FUND BOARD

Details of changes

Currency: Malaysian Ringgit (MYR)

Type of transactionDate of change
No of securities
Price Transacted (RM)
Disposed14/10/2014
1,241,500
 

Circumstances by reason of which change has occurredDisposed
Nature of interestDirect
Direct (units)386,824,591 
Direct (%)5.69 
Indirect/deemed interest (units) 
Indirect/deemed interest (%) 
Total no of securities after change386,824,591
Date of notice15/10/2014

Remarks :
Form 29B was received on 17 October 2014


No comments:

Post a Comment