Friday, December 6, 2013

Company announcements: SIIC Env, Artivision, Lyxor Cmdty 10US$, ABF SG BOND ETF, Chosen

SIIC Env - ACQUISITIONS AND DISPOSALS

Announcement Type: ACQUISITIONS AND DISPOSALS
Company: SIIC ENVIRONMENT HOLDINGS LTD.
Stock Code/Name: 5GB - SIIC Env

ACQUISITIONS AND DISPOSALS :: MAJOR TRANSACTION :: PROPOSED ACQUISITION OF SHANGHAI PUCHENG THERMAL POWER ENERGY CO., LTD.
* Asterisks denote mandatory information
Name of Announcer *SIIC ENVIRONMENT HOLDINGS LTD.
Company Registration No.200210042R
Announcement submitted on behalf of SIIC ENVIRONMENT HOLDINGS LTD.
Announcement is submitted with respect to *SIIC ENVIRONMENT HOLDINGS LTD.
Announcement is submitted by *Liu Yujie
Designation *Executive Director
Date & Time of Broadcast06-Dec-2013 18:02:00
Announcement No.00092
 
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Announcement Title * PROPOSED ACQUISITION OF SHANGHAI PUCHENG THERMAL POWER ENERGY CO., LTD.
Description Please refer to the attached.
Attachments
PuchengPower-SPA-PurchaserUpdate.pdf
Total size =238K
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Artivision - MISCELLANEOUS :: RESULTS OF EXTRAORDINARY GENERAL MEETING

Announcement Type: MISCELLANEOUS
Company: ARTIVISION TECHNOLOGIES LTD.
Stock Code/Name: 5NK - Artivision

MISCELLANEOUS :: RESULTS OF EXTRAORDINARY GENERAL MEETING
* Asterisks denote mandatory information
Name of Announcer *ARTIVISION TECHNOLOGIES LTD.
Company Registration No.200407031R
Announcement submitted on behalf of ARTIVISION TECHNOLOGIES LTD.
Announcement is submitted with respect to *ARTIVISION TECHNOLOGIES LTD.
Announcement is submitted by *SOH SAI KIANG
Designation *NON-EXECUTIVE CHAIRMAN
Date & Time of Broadcast06-Dec-2013 18:05:27
Announcement No.00095
 
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Announcement Title *RESULTS OF EXTRAORDINARY GENERAL MEETING
Description
Please refer to the attachment
Attachments
Arti_Results_of_EGM.pdf
Total size =150K
(2048K size limit recommended)



Lyxor Cmdty 10US$ - MISCELLANEOUS :: CHANGE OF NAME OF THE INDICES OF THE FUNDS AND CHANGE OF NAME OF THE FUNDS

Announcement Type: MISCELLANEOUS
Company: LYXOR COMMODITIES CRB FUND 10
Stock Code/Name: A0W - Lyxor Cmdty 10US$

MISCELLANEOUS :: CHANGE OF NAME OF THE INDICES OF THE FUNDS AND CHANGE OF NAME OF THE FUNDS
* Asterisks denote mandatory information
Name of Announcer *SG SECURITIES (HK) LIMITED
Company Registration No.136771
Announcement submitted on behalf of LYXOR COMMODITIES CRB FUND 10
Announcement is submitted with respect to *LYXOR COMMODITIES CRB FUND 10
Announcement is submitted by *Lyxor Group
Designation *Lyxor Group
Date & Time of Broadcast06-Dec-2013 17:50:49
Announcement No.00082
 
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Announcement Title *CHANGE OF NAME OF THE INDICES OF THE FUNDS AND CHANGE OF NAME OF THE FUNDS
Description
Attachments
20131206LyxorCRBCRNchangeofname.pdf
Total size =61K
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ABF SG BOND ETF - MISCELLANEOUS :: NET TANGIBLE ASSETS ("NTA") PER UNIT

Announcement Type: MISCELLANEOUS
Company: ABF SPORE BOND INDEX FUND ETF
Stock Code/Name: A35 - ABF SG BOND ETF

MISCELLANEOUS :: NET TANGIBLE ASSETS ("NTA") PER UNIT
* Asterisks denote mandatory information
Name of Announcer *NIKKO ASSET MANAGEMENT ASIA LIMITED
Company Registration No.NA
Announcement submitted on behalf of ABF SPORE BOND INDEX FUND ETF
Announcement is submitted with respect to *ABF SPORE BOND INDEX FUND ETF
Announcement is submitted by *Jonathan Lee
Designation *Authorised User
Date & Time of Broadcast06-Dec-2013 17:50:26
Announcement No.00080
 
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Announcement Title *NET TANGIBLE ASSETS ("NTA") PER UNIT
Description
As of 05 December 2013

(1) the NTA per unit is S$ 1.1288

(2) the total number of units in issue is 441,561,000
Attachments
Total size = 0K
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Chosen - DAILY SHARE BUY-BACK NOTICE

Announcement Type: DAILY SHARE BUY-BACK NOTICE
Company: CHOSEN HOLDINGS LIMITED
Stock Code/Name: C10 - Chosen

DAILY SHARE BUY-BACK NOTICE
* Asterisks denote mandatory information
Name of Announcer *CHOSEN HOLDINGS LIMITED
Company Registration No.199804325C
Announcement submitted on behalf of CHOSEN HOLDINGS LIMITED
Announcement is submitted with respect to *CHOSEN HOLDINGS LIMITED
Announcement is submitted by *Soong Wee Choo
Designation *Joint Company Secretary
Date & Time of Broadcast 06-Dec-2013 17:51:42
Announcement No.00084
 
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 Name of Overseas Exchange where Company has Dual Listing (if applicable)
(A) Share Buy-Back Authority
I. Maximum number of shares authorised for purchase*28,694,642
(B) Details of Purchases Made
I. Purchases made by way of market acquisitionYes
If answer to the above question is Yes, please fill in the following :
Singapore Exchange
Overseas Exchange
1Date of Purchases06/12/2013
2aTotal number of shares purchased80,000
2bNumber of shares cancelled0
2cNumber of shares held as treasury shares80,000
3aPrice paid per share# orCurrency : S$
 
Amount : 0.119
Currency :
 
Amount :
3bHighest price per share#Currency :
 
Amount :
Currency :
 
Amount :
 Lowest price per share#Currency :
 
Amount :
Currency :
 
Amount :
4Total consideration (including stamp duties, clearing charges, etc) paid or payable for the shares#Currency : S$
 
Amount : 9,575.77
Currency :
 
Amount :
# Specify currency
II.Purchases made by way of off-market acquisition on equal access scheme?No
If answer to the above question is Yes, please fill in the following :
Singapore Exchange
Overseas Exchange
1 Date of Purchases
2aTotal number of shares purchased
2bNumber of shares cancelled
2cNumber of shares held as treasury shares
3 Price paid or payable per share#Currency :
 
Amount :
Currency : Amount :
4 Total consideration (including stamp duties, clearing charges, etc) paid or payable for the shares#Currency : Amount : Currency : Amount :
# Specify currency
(C) Cumulative Purchases
By way of market acquisition
By way of off-market acquisition on equal access scheme
Total
No.
% 1 
No.
%
No.
%
Cumulative no. of shares purchased to-date 2311,0000.108
1 Percentage of company's issued shares excluding treasury shares as at the date of the share buy-back resolution
2 From the date on which the share buy-back mandate is obtained
(D) Number of issued shares excluding treasury shares after purchase *286,635,424
Number of treasury shares held after purchase*311,000
Footnotes1. As at 28 October 2013, the date on which the share buy-back resolution was passed, the total number of issued shares of the company is 286,946,424 ordinary shares (Treasury shares: NIL).

2. The shares bought back under the share buy-back mandate in this announcement will be held as treasury shares.
Attachments
Total size = 0K
(2048K size limit recommended)




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