Wednesday, March 16, 2011

Company announcements: Novo Group, Qualitas, F & N, MR ADR 10US$+, CIMBFTASEAN40 100US$

Novo Group - MISCELLANEOUS

Announcement Type: MISCELLANEOUS
Company: NOVO GROUP LTD.
Stock Code/Name: 5MY - Novo Group

MISCELLANEOUS
* Asterisks denote mandatory information
Name of Announcer * NOVO GROUP LTD.  
Company Registration No. 198902648H  
Announcement submitted on behalf of NOVO GROUP LTD.  
Announcement is submitted with respect to * NOVO GROUP LTD.  
Announcement is submitted by * Yu Wing Keung Dicky  
Designation * Executive Chairman  
Date & Time of Broadcast 16-Mar-2011 08:26:04  
Announcement No. 00006  
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title * ANNOUNCEMENT POSTED BY THE COMPANY ON HONG KONG STOCK EXCHANGE WEBSITE - FORMATION OF A JOINT VENTURE  
Description
Please see attached.  
Attachments
Total size = 71K
(2048K size limit recommended)



Qualitas - REQUEST FOR LIFTING OF TRADING HALT

Announcement Type: REQUEST FOR LIFTING OF TRADING HALT
Company: QUALITAS MEDICAL GROUP LIMITED
Stock Code/Name: 5NN - Qualitas

REQUEST FOR LIFTING OF TRADING HALT
* Asterisks denote mandatory information
Name of Announcer * QUALITAS MEDICAL GROUP LIMITED  
Company Registration No. 200717959H  
Announcement submitted on behalf of QUALITAS MEDICAL GROUP LIMITED  
Announcement is submitted with respect to * QUALITAS MEDICAL GROUP LIMITED  
Announcement is submitted by * Sharon Yeoh  
Designation * Company Secretary  
Date & Time of Broadcast 16-Mar-2011 07:55:36  
Announcement No. 00004  
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Date of Lifting of Trading Halt * 16-03-2011  
Time of Lifting of Trading Halt * 0900 hours  



F & N - MISCELLANEOUS

Announcement Type: MISCELLANEOUS
Company: FRASER AND NEAVE, LIMITED
Stock Code/Name: F99 - F & N

MISCELLANEOUS
* Asterisks denote mandatory information
Name of Announcer * FRASER AND NEAVE, LIMITED  
Company Registration No. 189800001R  
Announcement submitted on behalf of FRASER AND NEAVE, LIMITED  
Announcement is submitted with respect to * FRASER AND NEAVE, LIMITED  
Announcement is submitted by * Anthony Cheong Fook Seng  
Designation * Group Company Secretary  
Date & Time of Broadcast 16-Mar-2011 07:33:43  
Announcement No. 00001  
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title * APPROVAL IN PRINCIPLE OBTAINED FROM THE SINGAPORE EXCHANGE SECURITIES TRADING LIMITED FOR UNDERWRITTEN OFFER OF S$300,000,000 IN AGGREGATE PRINCIPAL AMOUNT OF BONDS TO THE PUBLIC IN SINGAPORE, AND INSTITUTIONAL AND OTHER INVESTORS  
Description
Please see attached.  
Attachments
Total size = 92K
(2048K size limit recommended)



MR ADR 10US$+ - MISCELLANEOUS :: CASH DIVIDEND

Announcement Type: MISCELLANEOUS
Company: MINDRAY MEDICAL INTL ADR 10
Stock Code/Name: K3QD - MR ADR 10US$+

MISCELLANEOUS
* Asterisks denote mandatory information
Name of Announcer * SINGAPORE EXCHANGE SECURITIES TRADING LIMITED  
Company Registration No. 197300970D  
Announcement submitted on behalf of BANK OF NEW YORK MELLON  
Announcement is submitted with respect to * MINDRAY MEDICAL INTL ADR 10  
Announcement is submitted by * Securities Market Control  
Designation * SGX-ST  
Date & Time of Broadcast 16-Mar-2011 07:54:21  
Announcement No. 00003  
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title * CASH DIVIDEND  
Description
   
Attachments
Total size = 14K
(2048K size limit recommended)



CIMBFTASEAN40 100US$ - MISCELLANEOUS :: NET ASSET VALUE (NAV) PER UNIT

Announcement Type: MISCELLANEOUS
Company: CIMB FTSE ASEAN40 100
Stock Code/Name: M62 - CIMBFTASEAN40 100US$

MISCELLANEOUS
* Asterisks denote mandatory information
Name of Announcer * CIMB FTSE ASEAN40 100  
Company Registration No. N.A.  
Announcement submitted on behalf of CIMB FTSE ASEAN40 100  
Announcement is submitted with respect to * CIMB FTSE ASEAN40 100  
Announcement is submitted by * Roslin Zhu  
Designation * Fund Manager, CIMB-Principal Asset Management (S) Pte Ltd  
Date & Time of Broadcast 16-Mar-2011 08:16:29  
Announcement No. 00005  
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title * Net Asset Value (NAV) Per Unit  
Description
The daily fund value as of Tuesday Mar 15, 2011

a> the NAV per unit is US$9.879.

b> the total assets of the fund is US$162.02million

(For further information, please visit our website at http://etf.cimb-principal.com.my)
 
Attachments
Total size = 0
(2048K size limit recommended)



No comments:

Post a Comment