MYEG-CM - Listing Information & Profile for Structured Warrants
Announcement Type: Listing Information and Profile
Company Name | MYEG-CM: CW MY E.G. SERVICES BERHAD (MIBB) |
Stock Name | MYEG-CM |
Date Announced | 22 Jun 2015 |
Category | Listing Information and Profile |
Reference Number | LIP-19062015-00003 |
Instrument Category | Structured Warrants |
Instrument Type | CALL WARRANTS |
Description | European Style Non-Collateralised Cash Settled |
Underlying Stock | MYEG-CM: CW MY E.G. SERVICES BERHAD (MIBB) |
Issuer | MAYBANK INVESTMENT BANK BERHAD |
Stock Code | 0138CM |
Stock Short Name | MYEG-CM |
ISIN Code | MYQ0138CMQ66 |
Board | Structured Warrants |
Sector | TRADING/SERVICES |
Initial Listing Information
Listing Date | 23 Jun 2015 |
Term Sheet Date | 22 Jun 2015 |
Issue Date | 22 Jun 2015 |
Issue/ Ask Price | Malaysian Ringgit (MYR) 0.1500 |
Issue Size Indicator | Unit |
Issue Size in Unit | 100,000,000 |
Maturity Date | 30 Jun 2016 |
Name of Guarantor | Not Applicable |
Name of Trustee | Not Applicable |
Coupon/Profit/Interest/Payment Rate | Not Applicable |
Coupon/Profit/Interest/Payment Frequency | Not Applicable |
Redemption | Not Applicable |
Exercise/Conversion Period | 12.00 Month(s) |
Revised Exercise/Conversion Period | Not Applicable |
Exercise/Strike/Conversion Price | Malaysian Ringgit (MYR) 2.6800 |
Revised Exercise/Strike/Conversion Price | Not Applicable |
Exercise/Conversion Ratio | 6:1 |
Revised Exercise/Conversion Ratio | Not Applicable |
Settlement Type/ Convertible into | Cash |
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 2014. |
FBMKLCI-C3 - Listing Information & Profile for Structured Warrants
Announcement Type: Listing Information and Profile
Company Name | FBMKLCI-C3: CW FTSE BURSA MALAYSIA KLCI INDEX (MIBB) |
Stock Name | FBMKLCI-C3 |
Date Announced | 22 Jun 2015 |
Category | Listing Information and Profile |
Reference Number | LIP-19062015-00001 |
Instrument Category | Structured Warrants |
Instrument Type | CALL WARRANTS |
Description | European Style Non-Collateralised Cash Settled |
Underlying Stock | FBMKLCI-C3: CW FTSE BURSA MALAYSIA KLCI INDEX (MIBB) |
Issuer | MAYBANK INVESTMENT BANK BERHAD |
Stock Code | 0650C3 |
Stock Short Name | FBMKLCI-C3 |
ISIN Code | MYL0650C3Q60 |
Board | Structured Warrants |
Sector | STRUCTURED WARRANTS OTHERS |
Initial Listing Information
Listing Date | 23 Jun 2015 |
Term Sheet Date | 22 Jun 2015 |
Issue Date | 22 Jun 2015 |
Issue/ Ask Price | Malaysian Ringgit (MYR) 0.1500 |
Issue Size Indicator | Unit |
Issue Size in Unit | 100,000,000 |
Maturity Date | 30 Jun 2016 |
Name of Guarantor | Not Applicable |
Name of Trustee | Not Applicable |
Coupon/Profit/Interest/Payment Rate | Not Applicable |
Coupon/Profit/Interest/Payment Frequency | Not Applicable |
Redemption | Not Applicable |
Exercise/Conversion Period | 12.00 Month(s) |
Revised Exercise/Conversion Period | Not Applicable |
Exercise/Strike/Conversion Level | 1,708.8800 |
Revised Exercise/Strike/Conversion Level | Not Applicable |
Exercise/Conversion Ratio | 1400:1 |
Revised Exercise/Conversion Ratio | Not Applicable |
Settlement Type/ Convertible into | Cash |
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 2014. |
FBMKLCI-HU - Listing Information & Profile for Structured Warrants
Announcement Type: Listing Information and Profile
Company Name | FBMKLCI-HU: PW FTSE BURSA MALAYSIA KLCI INDEX (MIBB) |
Stock Name | FBMKLCI-HU |
Date Announced | 22 Jun 2015 |
Category | Listing Information and Profile |
Reference Number | LIP-19062015-00005 |
Instrument Category | Structured Warrants |
Instrument Type | PUT WARRANTS |
Description | European Style Non-Collateralised Cash Settled |
Underlying Stock | FBMKLCI-HU: PW FTSE BURSA MALAYSIA KLCI INDEX (MIBB) |
Issuer | MAYBANK INVESTMENT BANK BERHAD |
Stock Code | 0650HU |
Stock Short Name | FBMKLCI-HU |
ISIN Code | MYL0650HUQ64 |
Board | Structured Warrants |
Sector | STRUCTURED WARRANTS OTHERS |
Initial Listing Information
Listing Date | 23 Jun 2015 |
Term Sheet Date | 22 Jun 2015 |
Issue Date | 22 Jun 2015 |
Issue/ Ask Price | Malaysian Ringgit (MYR) 0.1500 |
Issue Size Indicator | Unit |
Issue Size in Unit | 100,000,000 |
Maturity Date | 30 Jun 2016 |
Name of Guarantor | Not Applicable |
Name of Trustee | Not Applicable |
Coupon/Profit/Interest/Payment Rate | Not Applicable |
Coupon/Profit/Interest/Payment Frequency | Not Applicable |
Redemption | Not Applicable |
Exercise/Conversion Period | 12.00 Month(s) |
Revised Exercise/Conversion Period | Not Applicable |
Exercise/Strike/Conversion Level | 1,688.8800 |
Revised Exercise/Strike/Conversion Level | Not Applicable |
Exercise/Conversion Ratio | 800:1 |
Revised Exercise/Conversion Ratio | Not Applicable |
Settlement Type/ Convertible into | Cash |
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 2014. |
FBMKLCI-HV - Listing Information & Profile for Structured Warrants
Announcement Type: Listing Information and Profile
Company Name | FBMKLCI-HV: PW FTSE BURSA MALAYSIA KLCI INDEX (MIBB) |
Stock Name | FBMKLCI-HV |
Date Announced | 22 Jun 2015 |
Category | Listing Information and Profile |
Reference Number | LIP-19062015-00006 |
Instrument Category | Structured Warrants |
Instrument Type | PUT WARRANTS |
Description | European Style Non-Collateralised Cash Settled |
Underlying Stock | FBMKLCI-HV: PW FTSE BURSA MALAYSIA KLCI INDEX (MIBB) |
Issuer | MAYBANK INVESTMENT BANK BERHAD |
Stock Code | 0650HV |
Stock Short Name | FBMKLCI-HV |
ISIN Code | MYL0650HVQ63 |
Board | Structured Warrants |
Sector | STRUCTURED WARRANTS OTHERS |
Initial Listing Information
Listing Date | 23 Jun 2015 |
Term Sheet Date | 22 Jun 2015 |
Issue Date | 22 Jun 2015 |
Issue/ Ask Price | Malaysian Ringgit (MYR) 0.1500 |
Issue Size Indicator | Unit |
Issue Size in Unit | 100,000,000 |
Maturity Date | 30 Jun 2016 |
Name of Guarantor | Not Applicable |
Name of Trustee | Not Applicable |
Coupon/Profit/Interest/Payment Rate | Not Applicable |
Coupon/Profit/Interest/Payment Frequency | Not Applicable |
Redemption | Not Applicable |
Exercise/Conversion Period | 12.00 Month(s) |
Revised Exercise/Conversion Period | Not Applicable |
Exercise/Strike/Conversion Level | 1,658.8800 |
Revised Exercise/Strike/Conversion Level | Not Applicable |
Exercise/Conversion Ratio | 800:1 |
Revised Exercise/Conversion Ratio | Not Applicable |
Settlement Type/ Convertible into | Cash |
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 2014. |
ABFMY1 - NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Announcement Type: General Announcement for PLC
Company Name | ABF MALAYSIA BOND INDEX FUND |
Stock Name | ABFMY1 |
Date Announced | 22 Jun 2015 |
Category | General Announcement for PLC |
Reference Number | GA1-22062015-00005 |
Type | Announcement |
Subject | NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE |
Description | ABF Malaysia Bond Index Fund - Valuation Point as at 19-06-2015 |
Fund: ABF Malaysia Bond Index Fund NAV per unit (RM): 1.0485 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: 1.5301 Issue Price (RM): 1.05 (rounded to nearest Sen) |
Please refer attachment below.
IBHD - Additional Listing Announcement
Announcement Type: Additional Listing Announcement
Company Name | I-BERHAD |
Stock Name | IBHD |
Date Announced | 22 Jun 2015 |
Category | Additional Listing Announcement |
Reference Number | ALA-22062015-00003 |
1. Details of Corporate Proposal |
|
Involve issuance of new type/class of securities ? | No |
Types of corporate proposal | Others |
Details of corporate proposal | Conversion of 34,000 Irredeemable Convertible Unsecured Loan Stocks ("ICULS") to 25,000 New Ordinary Shares |
No. of shares issued under this corporate proposal | 25,000 |
Issue price per share ($$) | Malaysian Ringgit (MYR) 0.6800 |
Par Value ($$) | Malaysian Ringgit (MYR) 0.500 |
Latest issued and paid up share capital after the above corporate proposal in the following |
|
Units | 975,646,797 |
Currency | Malaysian Ringgit (MYR) 487,823,398.500 |
Listing Date | 23 Jun 2015 |
Remarks : |
This announcement is dated 22 June 2015 |
PRESBHD-CA - Listing Information & Profile for Structured Warrants
Announcement Type: Listing Information and Profile
Company Name | PRESBHD-CA: CW PRESTARIANG BERHAD (MIBB) |
Stock Name | PRESBHD-CA |
Date Announced | 22 Jun 2015 |
Category | Listing Information and Profile |
Reference Number | LIP-19062015-00002 |
Instrument Category | Structured Warrants |
Instrument Type | CALL WARRANTS |
Description | European Style Non-Collateralised Cash Settled |
Underlying Stock | PRESBHD-CA: CW PRESTARIANG BERHAD (MIBB) |
Issuer | MAYBANK INVESTMENT BANK BERHAD |
Stock Code | 5204CA |
Stock Short Name | PRESBHD-CA |
ISIN Code | MYL5204CAQ63 |
Board | Structured Warrants |
Sector | TRADING/SERVICES |
Initial Listing Information
Listing Date | 23 Jun 2015 |
Term Sheet Date | 22 Jun 2015 |
Issue Date | 22 Jun 2015 |
Issue/ Ask Price | Malaysian Ringgit (MYR) 0.1500 |
Issue Size Indicator | Unit |
Issue Size in Unit | 100,000,000 |
Maturity Date | 30 Jun 2016 |
Name of Guarantor | Not Applicable |
Name of Trustee | Not Applicable |
Coupon/Profit/Interest/Payment Rate | Not Applicable |
Coupon/Profit/Interest/Payment Frequency | Not Applicable |
Redemption | Not Applicable |
Exercise/Conversion Period | 12.00 Month(s) |
Revised Exercise/Conversion Period | Not Applicable |
Exercise/Strike/Conversion Price | Malaysian Ringgit (MYR) 2.6800 |
Revised Exercise/Strike/Conversion Price | Not Applicable |
Exercise/Conversion Ratio | 5:1 |
Revised Exercise/Conversion Ratio | Not Applicable |
Settlement Type/ Convertible into | Cash |
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 2014. |
VS - Additional Listing Announcement
Announcement Type: Additional Listing Announcement
Company Name | V.S. INDUSTRY BERHAD |
Stock Name | VS |
Date Announced | 22 Jun 2015 |
Category | Additional Listing Announcement |
Reference Number | ALA-19062015-00008 |
1. Details of Corporate Proposal |
|
Involve issuance of new type/class of securities ? | No |
Types of corporate proposal | ESOS |
Details of corporate proposal | Employees' Share Option Scheme |
No. of shares issued under this corporate proposal | 2,004,400 |
Issue price per share ($$) | Malaysian Ringgit (MYR) 3.5100 |
Par Value ($$) | Malaysian Ringgit (MYR) 1.000 |
Latest issued and paid up share capital after the above corporate proposal in the following |
|
Units | 229,663,906 |
Currency | Malaysian Ringgit (MYR) 229,663,906.000 |
Listing Date | 23 Jun 2015 |
ECOWLD-CB - Listing Information & Profile for Structured Warrants
Announcement Type: Listing Information and Profile
Company Name | ECOWLD-CB: CW ECO WORLD DEV GROUP BHD (MIBB) |
Stock Name | ECOWLD-CB |
Date Announced | 22 Jun 2015 |
Category | Listing Information and Profile |
Reference Number | LIP-19062015-00004 |
Instrument Category | Structured Warrants |
Instrument Type | CALL WARRANTS |
Description | European Style Non-Collateralised Cash Settled |
Underlying Stock | ECOWLD-CB: CW ECO WORLD DEV GROUP BHD (MIBB) |
Issuer | MAYBANK INVESTMENT BANK BERHAD |
Stock Code | 8206CB |
Stock Short Name | ECOWLD-CB |
ISIN Code | MYL8206CBQ64 |
Board | Structured Warrants |
Sector | PROPERTIES |
Initial Listing Information
Listing Date | 23 Jun 2015 |
Term Sheet Date | 22 Jun 2015 |
Issue Date | 22 Jun 2015 |
Issue/ Ask Price | Malaysian Ringgit (MYR) 0.1500 |
Issue Size Indicator | Unit |
Issue Size in Unit | 100,000,000 |
Maturity Date | 30 Jun 2016 |
Name of Guarantor | Not Applicable |
Name of Trustee | Not Applicable |
Coupon/Profit/Interest/Payment Rate | Not Applicable |
Coupon/Profit/Interest/Payment Frequency | Not Applicable |
Redemption | Not Applicable |
Exercise/Conversion Period | 12.00 Month(s) |
Revised Exercise/Conversion Period | Not Applicable |
Exercise/Strike/Conversion Price | Malaysian Ringgit (MYR) 1.6800 |
Revised Exercise/Strike/Conversion Price | Not Applicable |
Exercise/Conversion Ratio | 2.5:1 |
Revised Exercise/Conversion Ratio | Not Applicable |
Settlement Type/ Convertible into | Cash |
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 2014. |
MITRA - Additional Listing Announcement
Announcement Type: Additional Listing Announcement
Company Name | MITRAJAYA HOLDINGS BERHAD |
Stock Name | MITRA |
Date Announced | 22 Jun 2015 |
Category | Additional Listing Announcement |
Reference Number | ALA-19062015-00007 |
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 2011/2016 (Warrants C) |
No. of shares issued under this corporate proposal | 1,165,700 |
Issue price per share ($$) | Malaysian Ringgit (MYR) 0.9000 |
Par Value ($$) | Malaysian Ringgit (MYR) 0.500 |
Latest issued and paid up share capital after the above corporate proposal in the following |
|
Units | 409,085,586 |
Currency | Malaysian Ringgit (MYR) 204,542,793.000 |
Listing Date | 23 Jun 2015 |
No comments:
Post a Comment