Friday, February 14, 2014

Company announcements: XMH, Cordlife, CourtsAsia, Sp Land, SI Fund

XMH - DAILY SHARE BUY-BACK NOTICE

Announcement Type: DAILY SHARE BUY-BACK NOTICE
Company: XMH HOLDINGS LTD.
Stock Code/Name: M9F - XMH

DAILY SHARE BUY-BACK NOTICE
* Asterisks denote mandatory information
Name of Announcer *XMH HOLDINGS LTD.
Company Registration No.201010562M
Announcement submitted on behalf of XMH HOLDINGS LTD.
Announcement is submitted with respect to *XMH HOLDINGS LTD.
Announcement is submitted by *TAN TIN YEOW
Designation *Chairman and CEO
Date & Time of Broadcast 14-Feb-2014 17:57:46
Announcement No.00101
 
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 Name of Overseas Exchange where Company has Dual Listing (if applicable)N/A
(A) Share Buy-Back Authority
I. Maximum number of shares authorised for purchase*42,105,303
(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 Purchases14/02/2014
2aTotal number of shares purchased1,000
2bNumber of shares cancelled0
2cNumber of shares held as treasury shares1,000
3aPrice paid per share# orCurrency : S$
 
Amount : 0.295
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 : 337.95
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 22,619,0000.62002,619,0000.62
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 *432,283,661
Number of treasury shares held after purchase*14,766,000
FootnotesAs at 29 August 2013, the date on which the share buy-back resolution was passed, the issued share capital consisted 421,053,030 ordinary shares (excluding treasury shares).

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)




Cordlife - DAILY SHARE BUY-BACK NOTICE

Announcement Type: DAILY SHARE BUY-BACK NOTICE
Company: CORDLIFE GROUP LIMITED
Stock Code/Name: P8A - Cordlife

DAILY SHARE BUY-BACK NOTICE
* Asterisks denote mandatory information
Name of Announcer *CORDLIFE GROUP LIMITED
Company Registration No.200102883E
Announcement submitted on behalf of CORDLIFE GROUP LIMITED
Announcement is submitted with respect to *CORDLIFE GROUP LIMITED
Announcement is submitted by *YEE PINH JEREMY
Designation *EXECUTIVE DIRECTOR & CHIEF EXECUTIVE OFFICER
Date & Time of Broadcast 14-Feb-2014 18:01:00
Announcement No.00106
 
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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*11,624,367
(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 Purchases14/02/2014
2aTotal number of shares purchased85,000
2bNumber of shares cancelled0
2cNumber of shares held as treasury shares85,000
3aPrice paid per share# orCurrency : S$
 
Amount : 1.18
Currency :
 
Amount :
3bHighest price per share#Currency : S$
 
Amount : 1.18
Currency :
 
Amount :
 Lowest price per share#Currency : S$
 
Amount : 1.18
Currency :
 
Amount :
4Total consideration (including stamp duties, clearing charges, etc) paid or payable for the shares#Currency : S$
 
Amount : 100,598.39
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 2360,0000.1548360,0000.1548
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 *266,965,354
Number of treasury shares held after purchase*560,000
Footnotes1. The Renewal of Share Buy-Back Mandate was approved by the Shareholders at the Extraordinary General Meeting held on 18 October 2013. As at 18 October 2013, the issued share capital of the Company consists of 232,487,354 ordinary shares (excluding 200,000 ordinary shares held as treasury shares). After the share buy-back carried out on 14 February 2014, the issued share capital of the Company is 266,965,354 (excluding the shares repurchased which were held as treasury shares).

2. The total consideration excludes GST.

The initial public offering of Cordlife Group Limiteds shares was sponsored by PrimePartners Corporate Finance Pte. Ltd. (Issue Manager). The Issue Manager assumes no responsibility for the contents of this Announcement.
Attachments
Total size = 0K
(2048K size limit recommended)




CourtsAsia - THIRD QUARTER RESULTS * FINANCIAL STATEMENT AND RELATED ANNOUNCEMENT

Announcement Type: FINANCIAL STATEMENT AND RELATED ANNOUNCEMENT
Company: COURTS ASIA LIMITED
Stock Code/Name: RE2 - CourtsAsia

THIRD QUARTER RESULTS * FINANCIAL STATEMENT AND RELATED ANNOUNCEMENT
* Asterisks denote mandatory information
Name of Announcer *COURTS ASIA LIMITED
Company Registration No.201001347K
Announcement submitted on behalf of COURTS ASIA LIMITED
Announcement is submitted with respect to *COURTS ASIA LIMITED
Announcement is submitted by *Terence Donald O'Connor
Designation *Executive Director/Regional Chief Executive Director
Date & Time of Broadcast14-Feb-2014 18:16:25
Announcement No.00124
 
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For the Financial Period Ended * 31-12-2013
Description Please refer to the attachment.

The initial public offering of Courts Asia's shares was sponsored by The Hongkong and Shanghai Banking Corporation Limited, Singapore Branch, who assumes no responsibility for the contents of this announcement.
Attachments
SGX_Q3FY1314.pdf
Total size =125K
(2048K size limit recommended)




Sp Land - NOTIFICATION OF RESULTS RELEASE * FINANCIAL STATEMENT AND RELATED ANNOUNCEMENT

Announcement Type: FINANCIAL STATEMENT AND RELATED ANNOUNCEMENT
Company: SINGAPORE LAND LIMITED
Stock Code/Name: S30 - Sp Land

NOTIFICATION OF RESULTS RELEASE * FINANCIAL STATEMENT AND RELATED ANNOUNCEMENT
* Asterisks denote mandatory information
Name of Announcer *SINGAPORE LAND LIMITED
Company Registration No.196300170C
Announcement submitted on behalf of SINGAPORE LAND LIMITED
Announcement is submitted with respect to *SINGAPORE LAND LIMITED
Announcement is submitted by *Susie Koh
Designation *Company Secretary
Date & Time of Broadcast14-Feb-2014 18:06:05
Announcement No.00110
 
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For the Financial Period Ended * 31-12-2013
Description Singapore Land Limited will release its Full Year Financial Statement and Dividend Announcement for the year ended 31 December 2013 on Friday, 21 February 2014.
Attachments
Total size = 0K
(2048K size limit recommended)




SI Fund - MISCELLANEOUS :: CREATION/CANCELLATION FOR 13-02-14 AND DAILY PRICE FOR 14-02-14

Announcement Type: MISCELLANEOUS
Company: SINGAPORE INDEX FUND
Stock Code/Name: S45U - SI Fund

MISCELLANEOUS :: CREATION/CANCELLATION FOR 13-02-14 AND DAILY PRICE FOR 14-02-14
* Asterisks denote mandatory information
Name of Announcer *SINGAPORE INDEX FUND
Company Registration No.NA
Announcement submitted on behalf of SINGAPORE INDEX FUND
Announcement is submitted with respect to *SINGAPORE INDEX FUND
Announcement is submitted by *DEBBIE SONG
Designation *CLASS II
Date & Time of Broadcast14-Feb-2014 18:09:58
Announcement No.00116
 
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Announcement Title *CREATION/CANCELLATION FOR 13-02-14 AND DAILY PRICE FOR 14-02-14
Description
Attachments
CREATEF130214.pdf
dailyprice140214.PDF
Total size =88K
(2048K size limit recommended)



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