Showing posts with label OSK. Show all posts
Showing posts with label OSK. Show all posts

June 12, 2015

Company announcements: SANICHI, CIMBA40, CIMBC50, METFSID, AMPROP, OSK, TENAGA, GAMUDA

SANICHI - Additional Listing Announcement

Announcement Type: Additional Listing Announcement
Company Name SANICHI TECHNOLOGY BERHAD
Stock Name SANICHI
Date Announced 12 Jun 2015
Category Additional Listing Announcement
Reference Number ALA-11062015-00022

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 Irredeemable Convertible Unsecured Loan Stocks to ordinary shares
No. of shares issued under this corporate proposal 89,130
Issue price per share ($$) Malaysian Ringgit (MYR)   0.1000
Par Value ($$) Malaysian Ringgit (MYR)   0.100
Latest issued and paid up share capital after the above corporate proposal in the following
Units 1,143,996,113
Currency Malaysian Ringgit (MYR) 114,399,611.300
Listing Date 15 Jun 2015



CIMBA40 - NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE

Announcement Type: General Announcement for PLC
Company Name CIMB FTSE ASEAN 40 MALAYSIA
Stock Name CIMBA40
Date Announced 12 Jun 2015
Category General Announcement for PLC
Reference Number GA1-12062015-00011

Type Announcement
Subject NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Description
Fund:	CIMB FTSE ASEAN 40 Malaysia
Date:	12-Jun-2015
IOPV per unit (RM):	1.7936
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:	 10,124.84





CIMBC50 - NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE

Announcement Type: General Announcement for PLC
Company Name CIMB FTSE CHINA 50
Stock Name CIMBC50
Date Announced 12 Jun 2015
Category General Announcement for PLC
Reference Number GA1-12062015-00012

Type Announcement
Subject NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Description
Fund:	CIMB FTSE China 50
Date:	12-Jun-2015
IOPV per unit (RM):	1.5046
Units in circulation (units):	13,650,000.00
Management Fee (% p.a.):	0.60
Trustee Fee (% p.a.):	       0.08
Index Licence Fee (% p.a.):	0.04
FTSE/Xinhua China 25 Index:	 21,458.86





METFSID - NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE

Announcement Type: General Announcement for PLC
Company Name MYETF MSCI SEA ISLAMIC DIVIDEND
Stock Name METFSID
Date Announced 12 Jun 2015
Category General Announcement for PLC
Reference Number GA1-12062015-00013

Type Announcement
Subject NET ASSET VALUE / INDICATIVE OPTIMUM PORTFOLIO VALUE
Description
Fund:	MYETF-MSEAD
Date:	12-Jun-2015
NAV per unit (RM):	1.0034
Units in circulation (units):	22,000,000.00
Manager's Fee  (p.a.):	0.65
Trustee's Fee (% p.a.):	0.045
Index License Fee (% p.a.):	0.06
MSCI Islamic High DVD Yield 10/40 Index:	2,411.32





AMPROP - Additional Listing Announcement

Announcement Type: Additional Listing Announcement
Company Name AMCORP PROPERTIES BERHAD
Stock Name AMPROP
Date Announced 12 Jun 2015
Category Additional Listing Announcement
Reference Number ALA-12062015-00003

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 Scheme
No. of shares issued under this corporate proposal 35,000
Issue price per share ($$) Malaysian Ringgit (MYR)   0.5100
Par Value ($$) Malaysian Ringgit (MYR)   0.500
Latest issued and paid up share capital after the above corporate proposal in the following
Units 596,985,437
Currency Malaysian Ringgit (MYR) 298,492,718.500
Listing Date 15 Jun 2015

2. Details of Corporate Proposal

Involve issuance of new type/class of securities ? No
Types of corporate proposal ESOS
Details of corporate proposal Employees' Share Scheme
No. of shares issued under this corporate proposal 40,000
Issue price per share ($$) Malaysian Ringgit (MYR)   0.6300
Par Value ($$) Malaysian Ringgit (MYR)   0.500
Latest issued and paid up share capital after the above corporate proposal in the following
Units 597,025,437
Currency Malaysian Ringgit (MYR) 298,512,718.500
Listing Date 15 Jun 2015



OSK - Circular/Notice to Shareholders

Announcement Type: Document Submission
Company Name OSK HOLDINGS BERHAD
Stock Name OSK
Date Announced 12 Jun 2015
Category Document Submission
Reference Number DCS-12062015-00003

Subject OSK HOLDINGS BERHAD - PROPOSED OSK PROPERTY ACQUISITION, PJ DEVELOPMENT ACQUISITION, OSK PROPERTY OFFER, PJ DEVELOPMENT OFFER, DIVERSIFICATION, EXEMPTION, BONUS ISSUE OF WARRANTS, SPECIAL CASH DIVIDEND, INCREASE IN AUTHORISE SHARE CAPITAL AND AMENDMENTS
Remarks


Please refer attachment below.




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

Announcement Type: Change in Substantial Shareholders Interest Pursuant to Form 29B
Company Name TENAGA NASIONAL BHD
Stock Name TENAGA
Date Announced 12 Jun 2015
Category Change in Substantial Shareholders Interest Pursuant to Form 29B
Reference Number CS2-12062015-00001

Particulars of substantial Securities Holder

Name EMPLOYEES PROVIDENT FUND BOARD
Address Tingkat 19
Bangunan KWSP
Jalan Raja Laut
Kuala Lumpur
50350 Wilayah Persekutuan
Malaysia.
NRIC/Passport No/Company No. EPF ACT 1991
Nationality/Country of incorporation Malaysia
Descriptions (Class & nominal value) Ordinary Shares of RM1.00 each
Name & address of registered holder 1) EMPLOYEES PROVIDENT FUND BOARD Tingkat 19, Bangunan KWSP, Jalan Raja Laut, 50350 Kuala Lumpur 2) CITIGROUP NOMINEES (TEMPATAN) SDN. BHD. Level 42, Menara Citibank, 165, Jalan Ampang, 50450 Kuala Lumpur

Details of changes

Currency: Malaysian Ringgit (MYR)

Type of transaction Date of change
No of securities
Price Transacted (RM)
Disposed 05 Jun 2015
1,685,400

Circumstances by reason of which change has occurred Sales of Shares Managed by Citigroup Nominees (Tempatan) Sdn. Bhd.:- Employees Provident Fund Board:- 1,685,400
Nature of interest Direct Interest
Direct (units) 864,330,419
Direct (%) 15.32
Indirect/deemed interest (units)
Indirect/deemed interest (%)
Total no of securities after change 864,330,419
Date of notice 08 Jun 2015


Remarks :
A) Employees Provident Fund Board B) Citigroup Nominees (Tempatan) Sdn. Bhd.:- Employees Provident Fund Board:- 1) KIB 2) AFFIN-HWG 3) AM INV 4) NOMURA 5) PHEIM 6) CIMB PRI 7) ARIM 8) TEMPLETON 9) ASIANISLAMIC 10) RHBISLAMIC *The Notice of Change In The Interests of Substantial Shareholder was received from Citigroup Nominees (Tempatan) Sdn. Bhd. for and on behalf of Employees Provident Fund Board on 12 June 2015


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

Announcement Type: Change in Substantial Shareholders Interest Pursuant to Form 29B
Company Name TENAGA NASIONAL BHD
Stock Name TENAGA
Date Announced 12 Jun 2015
Category Change in Substantial Shareholders Interest Pursuant to Form 29B
Reference Number CS2-12062015-00002

Particulars of substantial Securities Holder

Name EMPLOYEES PROVIDENT FUND BOARD
Address Tingkat 19
Bangunan KWSP
Jalan Raja Laut
Kuala Lumpur
50350 Wilayah Persekutuan
Malaysia.
NRIC/Passport No/Company No. EPF ACT 1991
Nationality/Country of incorporation Malaysia
Descriptions (Class & nominal value) Ordinary Shares of RM1.00 each
Name & address of registered holder 1) EMPLOYEES PROVIDENT FUND BOARD Tingkat 19, Bangunan KWSP, Jalan Raja Laut, 50350 Kuala Lumpur 2) CITIGROUP NOMINEES (TEMPATAN) SDN. BHD. Level 42, Menara Citibank, 165, Jalan Ampang, 50450 Kuala Lumpur

Details of changes

Currency: Malaysian Ringgit (MYR)

Type of transaction Date of change
No of securities
Price Transacted (RM)
Acquired 08 Jun 2015
1,763,600

Circumstances by reason of which change has occurred Purchased of Shares Managed by Citigroup Nominees (Tempatan) Sdn. Bhd.:- Employees Provident Fund Board:- 1,763,600
Nature of interest Direct Interest
Direct (units) 866,094,019
Direct (%) 15.35
Indirect/deemed interest (units)
Indirect/deemed interest (%)
Total no of securities after change 866,094,019
Date of notice 09 Jun 2015


Remarks :
A) Employees Provident Fund Board B) Citigroup Nominees (Tempatan) Sdn. Bhd.:- Employees Provident Fund Board:- 1) KIB 2) AFFIN-HWG 3) AM INV 4) NOMURA 5) PHEIM 6) CIMB PRI 7) ARIM 8) TEMPLETON 9) ASIANISLAMIC 10) RHBISLAMIC *The Notice of Change In The Interests of Substantial Shareholder was received from Citigroup Nominees (Tempatan) Sdn. Bhd. for and on behalf of Employees Provident Fund Board on 12 June 2015


GAMUDA - Changes in Sub. S-hldr's Int. (29B) - AMANAHRAYA TRUSTEES BERHAD - SKIM AMANAH SAHAM BUMIPUTERA

Announcement Type: Change in Substantial Shareholders Interest Pursuant to Form 29B
Company Name GAMUDA BERHAD
Stock Name GAMUDA
Date Announced 12 Jun 2015
Category Change in Substantial Shareholders Interest Pursuant to Form 29B
Reference Number CS2-12062015-00019

Particulars of substantial Securities Holder

Name AMANAHRAYA TRUSTEES BERHAD - SKIM AMANAH SAHAM BUMIPUTERA
Address Tingkat 4, Balai PNB
201-A, Jalan Tun Razak
Kuala Lumpur
50400 Wilayah Persekutuan
Malaysia.
NRIC/Passport No/Company No. 766894-T
Nationality/Country of incorporation Malaysia
Descriptions (Class & nominal value) Ordinary shares of RM1.00 each
Name & address of registered holder Same as above

Details of changes

Currency: Malaysian Ringgit (MYR)

Type of transaction Date of change
No of securities
Price Transacted (RM)
Disposed 08 Jun 2015
703,900

Circumstances by reason of which change has occurred Sale of shares
Nature of interest Direct
Direct (units) 204,509,700
Direct (%) 8.5
Indirect/deemed interest (units)
Indirect/deemed interest (%)
Total no of securities after change 204,509,700
Date of notice 08 Jun 2015


Remarks :
Notice was received on 12 June 2015.


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

Announcement Type: Change in Substantial Shareholders Interest Pursuant to Form 29B
Company Name GAMUDA BERHAD
Stock Name GAMUDA
Date Announced 12 Jun 2015
Category Change in Substantial Shareholders Interest Pursuant to Form 29B
Reference Number CS2-11062015-00021

Particulars of substantial Securities Holder

Name EMPLOYEES PROVIDENT FUND BOARD ("EPF BOARD")
Address Tingkat 19
Bangunan KWSP
Jalan Raja Laut
Kuala Lumpur
50350 Wilayah Persekutuan
Malaysia.
NRIC/Passport No/Company No. EPF ACT 1991
Nationality/Country of incorporation Malaysia
Descriptions (Class & nominal value) Ordinary shares of RM1.00 each
Name & address of registered holder Citigroup Nominees (Tempatan) Sdn Bhd - EPF Board

Details of changes

Currency: Malaysian Ringgit (MYR)

Type of transaction Date of change
No of securities
Price Transacted (RM)
Acquired 09 Jun 2015
300,000

Circumstances by reason of which change has occurred Acquisition
Nature of interest Direct
Direct (units) 230,495,705
Direct (%) 9.58
Indirect/deemed interest (units)
Indirect/deemed interest (%)
Total no of securities after change 230,495,705
Date of notice 10 Jun 2015


Remarks :
Notice was received on 12 June 2015.


June 11, 2015

Company announcements: OSK, AIRASIA, THPLANT, BENALEC, APFT, PESTECH, FGV, BJAUTO

OSK - General Meetings: Notice of Meeting

Announcement Type: General Meeting
Company Name OSK HOLDINGS BERHAD
Stock Name OSK
Date Announced 11 Jun 2015
Category General Meeting
Reference Number GMA-11062015-00006

Type of Meeting Extraordinary General Meeting
Indicator Notice of Meeting
Description
OSK Holdings Berhad
- Extraordinary General Meeting
Date of Meeting 06 Jul 2015
Time 10:00 AM
Venue
The Auditorium,
11th Floor, Plaza OSK,
Jalan Ampang, 50450 Kuala Lumpur
Date of General Meeting Record of Depositors 25 Jun 2015


Please refer attachment below.

Attachments

Notice - EGM - 060715.PDF
50.7 kB




AIRASIA - Changes in Sub. S-hldr's Int. (29B) - SECURITIES FUNDS MANAGED BY SKAGEN AS

Announcement Type: Change in Substantial Shareholders Interest Pursuant to Form 29B
Company Name AIRASIA BERHAD
Stock Name AIRASIA
Date Announced 11 Jun 2015
Category Change in Substantial Shareholders Interest Pursuant to Form 29B
Reference Number CS2-11062015-00006

Particulars of substantial Securities Holder

Name SECURITIES FUNDS MANAGED BY SKAGEN AS
Address SKAGEN Funds
Torgterrassen
Stavanger
4006
Norway.
NRIC/Passport No/Company No. N/A
Nationality/Country of incorporation Norway
Descriptions (Class & nominal value) Ordinary Shares of RM0.10 each
Name & address of registered holder Securities funds managed by SKAGEN AS (SKAGEN Kon-Tiki Verdipapirfond, SKAGEN Vekst Verdipapirfond and Skagen Focus Verdipapirfond) SKAGEN Funds, Torgterrassen, 4006 Stavanger, Norway

Details of changes

Currency: Malaysian Ringgit (MYR)

Type of transaction Date of change
No of securities
Price Transacted (RM)
Acquired 05 Jun 2015
210,100
Acquired 08 Jun 2015
600,000

Circumstances by reason of which change has occurred Acquisition of Shares
Nature of interest Direct
Direct (units) 143,327,900
Direct (%) 5.15
Indirect/deemed interest (units)
Indirect/deemed interest (%)
Total no of securities after change 143,327,900
Date of notice 09 Jun 2015


Remarks :
This announcement is based on the Notice of Change in the Interests of Substantial Shareholder from Securities funds managed by SKAGEN AS (SKAGEN Kon-Tiki Verdipapirfond, SKAGEN Vekst Verdipapirfond and SKAGEN Focus Verdipapirfond) dated 09/06/2015 received by the registered office of AirAsia Berhad on 11/06/2015.


THPLANT - OTHERS SUKUK MURABAHAH PROGRAMME OF UP TO RM1.2 BILLION IN NOMINAL VALUE WITH LEMBAGA TABUNG HAJI

Announcement Type: General Announcement for PLC
Company Name TH PLANTATIONS BERHAD
Stock Name THPLANT
Date Announced 11 Jun 2015
Category General Announcement for PLC
Reference Number GA1-11062015-00044

Type Announcement
Subject OTHERS
Description
SUKUK MURABAHAH PROGRAMME OF UP TO RM1.2 BILLION IN NOMINAL VALUE WITH LEMBAGA TABUNG HAJI

TH Plantations Berhad ("THP") is pleased to announce that its wholly-owned subsidiary, THP Suria Mekar Sdn. Bhd., has on 11 June 2015 issued another RM50.0 million of Sukuk Murabahah under the Sukuk Murabahah Programme - RM1.2 Billion to THP’s holding company, Lembaga Tabung Haji. Please refer to the file attached for further details.




Please refer attachment below.



BENALEC - MEMORANDUM OF UNDERSTANDING

Announcement Type: General Announcement for PLC
Company Name BENALEC HOLDINGS BERHAD
Stock Name BENALEC
Date Announced 11 Jun 2015
Category General Announcement for PLC
Reference Number GA1-10062015-00025

Type Announcement
Subject MEMORANDUM OF UNDERSTANDING
Description
TERM SHEET ENTERED BETWEEN SPEKTRUM KUKUH SDN. BHD., AND THE STATE SECRETARY, JOHOR (INCORPORATED) AND 1MY STRATEGIC OIL TERMINAL SDN. BHD.

Reference is made to the Company’s announcements dated 12 March 2013, 12 June 2013, 17 June 2013, 11 September 2013, 12 December 2013, 19 March 2014, 12 June 2014, 11 September 2014, 12 December 2014 and 12 March 2015 in relation to the binding term sheet (“Term Sheet”) entered between Spektrum Kukuh Sdn. Bhd. ("SKSB"), a 70%-owned subsidiary of Tanjung Piai Maritime Industries Sdn. Bhd., which in turn is a wholly-owned subsidiary of Benalec Sdn. Bhd., which in turn is a wholly-owned subsidiary of Benalec Holdings Berhad, and The State Secretary, Johor (Incorporated) (“S.S.I.”) and 1MY Strategic Oil Terminal Sdn Bhd (“the Purchaser”) to undertake the reclamation works and sale of approximately 1,000 acres of land off the coast of Tanjung Piai, Johor Darul Ta’zim for the purpose of constructing and operating a crude oil and petroleum storage facility together with a private jetty.

 

(SKSB, S.S.I. and the Purchaser are collectively referred to as “the Parties”.)

 

The Board of Directors of Benalec Holdings Berhad wishes to inform that the Term Sheet has expired on 11 June 2015. The Parties do not intend to pursue the finalisation of the terms and conditions of the Sale and Purchase Agreement nor extend the validity of the Term Sheet.

 

This announcement is dated 11 June 2015.






APFT - NEW ISSUE OF SECURITIES (CHAPTER 6 OF LISTING REQUIREMENTS) : FUND RAISING

Announcement Type: General Announcement for PLC
Company Name APFT BERHAD
Stock Name APFT
Date Announced 11 Jun 2015
Category General Announcement for PLC
Reference Number GA1-11062015-00028

Type Announcement
Subject NEW ISSUE OF SECURITIES (CHAPTER 6 OF LISTING REQUIREMENTS)
FUND RAISING
Description
APFT BERHAD ("APFT" OR THE "COMPANY")
 
PRIVATE PLACEMENT

For consistency purposes, the abbreviations and definitions used throughout this announcement shall have the same meanings as those previously defined in the Company’s announcement dated 26 August 2014 in relation to the Private Placement.

We refer to the Company’s announcement dated 26 August 2014 and the Company’s circular to shareholders dated 2 September 2014 in relation to the Private Placement.

On behalf of the Board of Directors of the Company, KAF Investment Bank Berhad wishes to announce that, after taking into consideration the current business needs of the Group, the Company had on 11 June 2015 resolved to revise the proposed utilisation of the proceeds raised/to be raised from the Private Placement of up to approximately RM23.62 million.

Kindly refer to the attached document for the complete announcement.


This announcement is dated 11 June 2015.




Please refer attachment below.

Attachments

APFT - Announcement.pdf
161.9 kB



PESTECH - Changes in Sub. S-hldr's Int. (29B) - LIM PAY CHUAN

Announcement Type: Change in Substantial Shareholders Interest Pursuant to Form 29B
Company Name PESTECH INTERNATIONAL BERHAD
Stock Name PESTECH
Date Announced 11 Jun 2015
Category Change in Substantial Shareholders Interest Pursuant to Form 29B
Reference Number CS2-11062015-00094

Particulars of substantial Securities Holder

Name LIM PAY CHUAN
Address No. 346, Jalan Yong Pak Kian, Ujong Pasir
75050 Melaka
Malaysia.
NRIC/Passport No/Company No. 700920045015
Nationality/Country of incorporation Malaysia
Descriptions (Class & nominal value) Ordinary Shares of RM0.50 each
Name & address of registered holder Lim Pay Chuan No. 346, Jalan Yong Pak Kian, Ujong Pasir, 75050 Melaka

Details of changes

Currency: Malaysian Ringgit (MYR)

Type of transaction Date of change
No of securities
Price Transacted (RM)
Acquired 11 Jun 2015
100,000
4.847

Circumstances by reason of which change has occurred Acquisition of shares through open market
Nature of interest Direct Interest
Direct (units) 38,336,898
Direct (%) 20.634
Indirect/deemed interest (units) 318,266
Indirect/deemed interest (%) 0.171
Total no of securities after change 38,655,164
Date of notice 11 Jun 2015


Remarks :
Indirect Interest:-
VESTECH Projects Sdn. Bhd. - 318,266


PESTECH - Changes in Director's Interest (S135) - LIM PAY CHUAN

Announcement Type: Changes in Director's Interest Pursuant to Section 135
Company Name PESTECH INTERNATIONAL BERHAD
Stock Name PESTECH
Date Announced 11 Jun 2015
Category Changes in Director's Interest Pursuant to Section 135
Reference Number CS4-11062015-00027

Information Compiled By KLSE

Particulars of Director

Name LIM PAY CHUAN
Address No. 346, Jalan Yong Pak Kian, Ujong Pasir
75050 Melaka
Malaysia.
Descriptions(Class & nominal value) Ordinary Shares of RM0.50 each

Details of changes

Currency: Malaysian Ringgit (MYR)

Type of transaction
Date of change
No of securities
Price Transacted (RM)
Acquired
11/06/2015
100,000
4.847

Circumstances by reason of which change has occurred
Acquisition of shares through open market
Nature of interest
Direct Interest
Consideration (if any)
RM484,700.00

Total no of securities after change

Direct (units) 38,336,898
Direct (%) 20.634
Indirect/deemed interest (units) 318,266
Indirect/deemed interest (%) 0.171
Date of notice 11/06/2015


Remarks :
Indirect Interest:- VESTECH Projects Sdn. Bhd. - 318,266


PESTECH - DEALINGS IN LISTED SECURITIES (CHAPTER 14 OF LISTING REQUIREMENTS) : DEALINGS OUTSIDE CLOSED PERIOD

Announcement Type: General Announcement for PLC
Company Name PESTECH INTERNATIONAL BERHAD
Stock Name PESTECH
Date Announced 11 Jun 2015
Category General Announcement for PLC
Reference Number GA1-11062015-00060

Type Announcement
Subject DEALINGS IN LISTED SECURITIES (CHAPTER 14 OF LISTING REQUIREMENTS)
DEALINGS OUTSIDE CLOSED PERIOD
Description
PESTECH INTERNATIONAL BERHAD ("PESTECH" or "the Company")
- DEALINGS IN SECURITIES OF PESTECH OUTSIDE CLOSED PERIOD

The Company wishes to announce that the following Director of the Company had given notice of his dealings in the Ordinary Shares of RM0.50 each in the Company, details as set out in the table below:-

Name

Designation

Date of Transaction

No. of shares acquired

Percentage (%)

Price per share

(RM)

Mr. Lim Pay Chuan

Executive Director/ Chief Executive Officer

11/06/2015

100,000

(Direct Interest)

0.054

4.847

 

 

 

 

 

 

* Acquisition of shares through open market.

This announcement is dated 11 June 2015.






FGV - SUSPENSION OF SECURITIES

Announcement Type: General Announcement for PLC
Company Name FELDA GLOBAL VENTURES HOLDINGS BERHAD
Stock Name FGV
Date Announced 11 Jun 2015
Category General Announcement for PLC
Reference Number GA1-11062015-00041

Type Announcement
Subject SUSPENSION OF SECURITIES
Description
Felda Global Ventures Holdings Berhad ("Company") - Request for Suspension

On behalf of the Board of Directors of FGV, Kenanga Investment Bank Berhad wishes to announce that Bursa Malaysia Securities Berhad (“Bursa Securities”) has approved the Company’s request for suspension in the trading of its securities for one (1) market day, i.e. from 9.00 a.m. on 12 June 2015 to 5.00 p.m. on 12 June 2015.

 

The request for suspension was made under subparagraph 3.1(b) of Practice Note No. 2 on Requests for Suspension of the Main Market Listing Requirement of Bursa Securities pending a material announcement to be released by the Company.

 

This announcement is dated 11 June 2015.






BJAUTO - Quarterly rpt on consolidated results for the financial period ended 30/04/2015

Announcement Type: Financial Results
Company Name BERJAYA AUTO BERHAD
Stock Name BJAUTO
Date Announced 11 Jun 2015
Category Financial Results
Reference Number FRA-11062015-00002

Financial Year End 30 Apr 2015
Quarter 4 Qtr
Quarterly report for the financial period ended 30 Apr 2015
The figures have not been audited

Attachments

BAuto_Qtr4_2015.pdf
155.8 kB

  • Default Currency
  • Other Currency

Currency: Malaysian Ringgit (MYR)

SUMMARY OF KEY FINANCIAL INFORMATION
30 Apr 2015

 
INDIVIDUAL PERIOD
CUMULATIVE PERIOD
CURRENT YEAR QUARTER
PRECEDING YEAR
CORRESPONDING
QUARTER
CURRENT YEAR TO DATE
PRECEDING YEAR
CORRESPONDING
PERIOD
30 Apr 2015
30 Apr 2014
30 Apr 2015
30 Apr 2014
$$'000
$$'000
$$'000
$$'000
1 Revenue
424,343
394,975
1,829,877
1,450,790
2 Profit/(loss) before tax
77,244
64,410
300,916
179,775
3 Profit/(loss) for the period
57,011
49,141
222,521
133,848
4 Profit/(loss) attributable to ordinary equity holders of the parent
55,264
48,103
215,410
130,622
5 Basic earnings/(loss) per share (Subunit)
6.80
5.97
26.60
17.21
6 Proposed/Declared dividend per share (Subunit)
6.00
3.50
14.60
5.25


AS AT END OF CURRENT QUARTER
AS AT PRECEDING FINANCIAL YEAR END
7
Net assets per share attributable to ordinary equity holders of the parent ($$)
0.5859
0.4260

Definition of Subunit:

In a currency system, there is usually a main unit (base) and subunit that is a fraction amount of the main unit.
Example for the subunit as follows:

Country Base Unit Subunit
Malaysia Ringgit Sen
United States Dollar Cent
United Kingdom Pound Pence