Friday, May 31, 2013

Company announcements: Halcyon, Sri Trang, Yangi EURO S

Halcyon - QUERY REGARDING TRADING ACTIVITY

Announcement Type: QUERY REGARDING TRADING ACTIVITY
Company: HALCYON AGRI CORPORATION LTD
Stock Code/Name: 5VJ - Halcyon

QUERY REGARDING TRADING ACTIVITY
* Asterisks denote mandatory information
Name of Announcer * SINGAPORE EXCHANGE SECURITIES TRADING LIMITED  
Company Registration No. 197300970D  
Announcement submitted on behalf of SINGAPORE EXCHANGE SECURITIES TRADING LIMITED  
Announcement is submitted with respect to * HALCYON AGRI CORPORATION LTD  
Announcement is submitted by * KELVIN KOH  
Designation * VICE PRESIDENT  
Date & Time of Broadcast 31-May-2013 11:55:12  
Announcement No. 00032  
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Description *
31 May 2013

Meyer Gunther Robert
Chief Executive Officer
Halcyon Agri Corporation Ltd
250 North Bridge Road
12-01 Raffles City Tower
Singapore 179101

Dear Sir

QUERY REGARDING TRADING ACTIVITY

We have noted, and draw to your attention, a substantial increase in the price of your shares today. To ensure a fair, orderly and transparent market, please answer each of the following:

Question 1: Are you aware of any information not previously announced concerning you (the issuer), your subsidiaries or associated companies which, if known, might explain the trading?
- If yes, the information must be announced immediately.

Question 2: Are you aware of any other possible explanation for the trading?

Question 3: Can you confirm your compliance with the listing rules and, in particular, listing rule 703?

Please respond immediately via SGXNET. Where appropriate, you may want to request a trading halt or a suspension of trading. Please contact Securities Market Control (or, if you need to discuss the matter, your Account Manager in Catalist Regulation) immediately. Thank you for your cooperation.

We have released this letter via SGXNET.

Yours faithfully


Kelvin Koh
Vice President
Head, Market Surveillance
Risk Management & Regulation

Notes:
1. Subject to limited exceptions in rule 703, an issuer must announce any information known to the issuer concerning it or any of its subsidiaries or associated companies which is necessary to avoid the establishment of a false market in the issuer’s securities, or would be likely to materially affect the price or value of its securities must be publicly disclosed (rule 703).
2. An issuer must undertake a review to determine the causes of any unusual trading activity (paragraph 20 of Appendix 7.1).
3. An announcement should, among other things, state whether the issuer or any of its directors are aware of the reasons for the unusual trading activity and whether there is any material information which has not been publicly disclosed (paragraph 31 of Appendix 7.1).
4. Your responsibility under listing rules is not confined to, or necessarily satisfied by, answering the questions in this letter.
 
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Sri Trang - DISCLOSURE OF INTEREST/CHANGES IN INTEREST OF DIRECTOR/CHIEF EXECUTIVE OFFICER

Announcement Type: DISCLOSURE OF INTEREST/CHANGES IN INTEREST
Company: SRI TRANG AGRO-INDUSTRY PCL
Stock Code/Name: NC2 - Sri Trang

DISCLOSURE OF INTEREST/CHANGES IN INTEREST OF DIRECTOR/CHIEF EXECUTIVE OFFICER
* Asterisks denote mandatory information
Name of Announcer * SRI TRANG AGRO-INDUSTRY PCL  
Company Registration No. 0107536001656  
Announcement submitted on behalf of SRI TRANG AGRO-INDUSTRY PCL  
Announcement is submitted with respect to * SRI TRANG AGRO-INDUSTRY PCL  
Announcement is submitted by * Jennifer Lim  
Designation * Controller  
Date & Time of Broadcast 31-May-2013 11:50:18  
Announcement No. 00030  
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Person(s) giving notice * Director/Chief Executive Officer who may also be a substantial shareholder/unitholder (Form 1)  
Date of receipt of notice by Listed Issuer * 31-05-2013  
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Yangi EURO S - MISCELLANEOUS :: NAV PER UNIT AS AT 30 APRIL 2013: EUR112.964.74

Announcement Type: MISCELLANEOUS
Company: YANGI FUND
Stock Code/Name: R8P - Yangi EURO S

MISCELLANEOUS
* Asterisks denote mandatory information
Name of Announcer * YANGI FUND  
Company Registration No. 200010525H  
Announcement submitted on behalf of YANGI FUND  
Announcement is submitted with respect to * YANGI FUND  
Announcement is submitted by * Lim Hui Hoon  
Designation * Administrator  
Date & Time of Broadcast 31-May-2013 11:54:05  
Announcement No. 00031  
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Announcement Title * NAV per unit as at 30 April 2013: EUR112.964.74  
Description
Please find below information on the net asset value (NAV) per unit for Yangi Fund (Fund):

NAV per unit as at 30 April 2013: EUR112,964.74
 
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