EuNetworks Grp - General Announcement::COMPANY PRESENTATION
Announcement Type: General Announcement
Company: EUNETWORKS GROUP LIMITED
Stock Code/Name: 5VT - EuNetworks Grp
Company: EUNETWORKS GROUP LIMITED
Stock Code/Name: 5VT - EuNetworks Grp
| General Announcement::COMPANY PRESENTATION |
| Issuer & Securities |
| Issuer/ Manager | EUNETWORKS GROUP LIMITED |
| Securities | EUNETWORKS GROUP LIMITED - SG2F76992880 - 5VT |
| Stapled Security | No |
| Announcement Details |
| Announcement Title | General Announcement |
| Date & Time of Broadcast | 27-Aug-2014 17:10:58 |
| Status | New |
| Announcement Sub Title | COMPANY PRESENTATION |
| Announcement Reference | SG140827OTHR50B0 |
| Submitted By (Co./ Ind. Name) | Brady Rafuse |
| Designation | Chief Executive Officer |
| Description (Please provide a detailed description of the event in the box below) | Please see attached. This Announcement and its contents have been reviewed by the Company's sponsor, CIMB Bank Berhad, Singapore Branch (the "Sponsor"), for compliance with the relevant rules of the Singapore Exchange Securities Trading Limited ("SGX-ST"). The Sponsor has not independently verified the contents of this Announcement. This Announcement has not been examined or approved by the SGX-ST and the SGX-ST assumes no responsibility for the contents of this Announcement, including the correctness of any of the statements or opinions made or reports contained in this announcement. The contact person for the Sponsor is Mr Jason Chian (Director, Corporate Finance), CIMB Bank Berhad, Singapore Branch, 50 Raffles Place, #09-01 Singapore Land Tower, Singapore 048623, telephone (65) 6337 5115. |
| Attachments |
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CapitaLand - Coupon Payment::Mandatory
Announcement Type: Coupon Payment
Company: CAPITALAND LIMITED
Stock Code/Name: C31 - CapitaLand
Company: CAPITALAND LIMITED
Stock Code/Name: C31 - CapitaLand
| Coupon Payment::Mandatory |
| Issuer & Securities |
| Issuer/Manager | CAPITALAND LIMITED |
| Security | CAPITALANDS$1.2B2.875%C160903A - XS0448887777 - 3YGB |
| Announcement Details |
| Announcement Title | Coupon Payment |
| Date & Time of Broadcast | 27-Aug-2014 17:13:36 |
| Status | New |
| Corporate Action Reference | SG140827INTRCJJ0 |
| Submitted By (Co./Ind. Name) | Michelle Koh |
| Designation | Company Secretary |
| Method of Coupon Computation | Actual/ 365 (Fixed) |
| Maturity Date | 03/09/2016 |
| Next Coupon Payment Date | 03/03/2015 |
| Event Narrative |
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| Disbursement Details |
| Cash Payment Details | |
| Taxable | No |
| Coupon Rate (%) | 2.875 |
| Pay Date | 03/09/2014 |
| Attachments |
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CapitaLand - Coupon Payment::Mandatory
Announcement Type: Coupon Payment
Company: CAPITALAND LIMITED
Stock Code/Name: C31 - CapitaLand
Company: CAPITALAND LIMITED
Stock Code/Name: C31 - CapitaLand
| Coupon Payment::Mandatory |
| Issuer & Securities |
| Issuer/Manager | CAPITALAND LIMITED |
| Security | CAPITALANDS$1.2B2.875%C160903R - XS0444106644 - 3YFB |
| Announcement Details |
| Announcement Title | Coupon Payment |
| Date & Time of Broadcast | 27-Aug-2014 17:12:22 |
| Status | New |
| Corporate Action Reference | SG140827INTRV3OG |
| Submitted By (Co./Ind. Name) | Michelle Koh |
| Designation | Company Secretary |
| Method of Coupon Computation | Actual/ 365 (Fixed) |
| Maturity Date | 03/09/2016 |
| Next Coupon Payment Date | 03/03/2015 |
| Event Narrative |
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| Disbursement Details |
| Cash Payment Details | |
| Taxable | No |
| Coupon Rate (%) | 2.875 |
| Pay Date | 03/09/2014 |
| Attachments |
|
China Intl - Financial Statements and Related Announcement::Second Quarter and/ or Half Yearly Results
Announcement Type: Financial Statements
Company: CHINA INTERNATIONAL HLDGS LTD
Stock Code/Name: C37 - China Intl
Company: CHINA INTERNATIONAL HLDGS LTD
Stock Code/Name: C37 - China Intl
| Financial Statements and Related Announcement::Second Quarter and/ or Half Yearly Results |
| Issuer & Securities |
| Issuer/ Manager | CHINA INTERNATIONAL HLDGS LTD |
| Securities | CHINA INTERNATIONAL HLDGS LTD - BMG2113G1078 - C37 |
| Stapled Security | No |
| Announcement Details |
| Announcement Title | Financial Statements and Related Announcement |
| Date & Time of Broadcast | 27-Aug-2014 17:14:03 |
| Status | New |
| Announcement Sub Title | Second Quarter and/ or Half Yearly Results |
| Announcement Reference | SG140827OTHRDFYK |
| Submitted By (Co./ Ind. Name) | YANGE HAN |
| Designation | Company Secretary |
| Description (Please provide a detailed description of the event in the box below - Refer to the Online help for the format) | Please refer to the attached additional information on announcement made in relation to financial results for second quarter ended 30 June 2014. |
| Additional Details |
| For Financial Period Ended | 30/06/2014 |
| Attachments |
|
CDW - Cash Dividend/ Distribution::Mandatory
Announcement Type: Cash Dividend/ Distribution
Company: CDW HOLDING LIMITED
Stock Code/Name: D38 - CDW
Company: CDW HOLDING LIMITED
Stock Code/Name: D38 - CDW
| Cash Dividend/ Distribution::Mandatory |
| Issuer & Securities |
| Issuer/ Manager | CDW HOLDING LIMITED |
| Security | CDW HOLDING LIMITED - BMG2022E1021 - D38 |
| Announcement Details |
| Announcement Title | Mandatory Cash Dividend/ Distribution |
| Date & Time of Broadcast | 27-Aug-2014 17:09:27 |
| Status | New |
| Corporate Action Reference | SG140827DVCAXFVA |
| Submitted By (Co./ Ind. Name) | LYNN WAN TIEW LENG |
| Designation | COMPANY SECRETARY |
| Dividend/ Distribution Number | Not Applicable |
| Dividend/ Distribution Type | Interim |
| Financial Year End | 31/12/2014 |
| Declared Dividend Rate (Per Share) | USD 0.005 |
| Event Narrative |
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| Event Dates |
| Record Date and Time | 04/09/2014 17:00:00 |
| Ex Date | 02/09/2014 |
| Dividend Details |
| Payment Type | Tax Not Applicable |
| Gross Rate (Per Share) | USD 0.005 |
| Net Rate (Per Share) | USD 0.005 |
| Pay Date | 12/09/2014 |
| Gross Rate Status | Actual Rate |
Applicable for REITs/ Business Trusts/ Stapled Securities |
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