ABFMY1 - NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
| Company Name | ABF MALAYSIA BOND INDEX FUND |
| Stock Name | ABFMY1 |
| Date Announced | 20 May 2015 |
| Category | General Announcement for PLC |
| Reference Number | GA1-20052015-00008 |
| Type | Announcement |
| Subject | NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE |
| Description | ABF Malaysia Bond Index Fund - Valuation Point as at 19-05-2015 |
|
Fund: ABF Malaysia Bond Index Fund NAV per unit (RM): 1.0649 Units in circulation (units): 687,921,800 Manager's Fee (% p.a): 0.10 Trustee Fee (% p.a): 0.05 License Fee (% p.a): 0.018 iBoxx ABF Malaysia Index: 1.5296 Issue Price (RM): 1.06 (rounded to nearest Sen) |
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Please refer attachment below.
HAPSENG - Additional Listing Announcement
| Company Name | HAP SENG CONSOLIDATED BERHAD |
| Stock Name | HAPSENG |
| Date Announced | 20 May 2015 |
| Category | Additional Listing Announcement |
| Reference Number | ALA-14052015-00003 |
1. Details of Corporate Proposal |
|
| Involve issuance of new type/class of securities ? | No |
| Types of corporate proposal | Exercise of Warrants |
| Details of corporate proposal | Exercise of Warrants |
| No. of shares issued under this corporate proposal | 321,900 |
| Issue price per share ($$) | Malaysian Ringgit (MYR) 1.6500 |
| Par Value ($$) | Malaysian Ringgit (MYR) 1.000 |
Latest issued and paid up share capital after the above corporate proposal in the following |
|
| Units | 2,238,572,656 |
| Currency | Malaysian Ringgit (MYR) |
| Listing Date | 21 May 2015 |
GENTING - Annual Report - 2014
| Company Name | GENTING BERHAD |
| Stock Name | GENTING |
| Date Announced | 20 May 2015 |
| Category | Document Submission |
| Reference Number | DCS-19052015-00003 |
| Annual Report for Financial Year Ended | 31 Dec 2014 |
| Subject | Annual Report - 2014 |
Please refer attachment below.
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