KrisEnergy - WD::Annual General Meeting::Voluntary
Announcement Type: Annual General Meeting
Company: KRISENERGY LTD.
Stock Code/Name: SK3 - KrisEnergy
Company: KRISENERGY LTD.
Stock Code/Name: SK3 - KrisEnergy
| WD::Annual General Meeting::Voluntary |
| Issuer & Securities |
| Issuer/ Manager | KRISENERGY LTD. |
| Security | KRISENERGY S$130M6.25%N170609 - SG6RD3000000 - 10CB |
| Announcement Details |
| Announcement Title | Annual General Meeting |
| Date & Time of Broadcast | 13-Apr-2015 19:44:25 |
| Status | Withdraw |
| Announcement Reference | SG150408MEETQGBJ |
| Submitted By (Co./ Ind. Name) | Kelvin Tang |
| Designation | Joint Company Secretary |
| Financial Year End | 31/12/2014 |
| Event Narrative |
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| Event Dates |
| Meeting Date and Time | 23/04/2015 10:00:00 |
| Response Deadline Date | 21/04/2015 10:00:00 |
| Event Venue(s) |
| Place | |||||
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| Reason(s) for Withdrawal |
| Reason(s) for Withdrawal | The security code chosen is incorrect. |
| Attachments |
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| Related Announcements | 08/04/2015 08:06:47 |
SoilbuildBizReit - Cash Dividend/ Distribution::Mandatory
Announcement Type: Cash Dividend/ Distribution
Company: SOILBUILD BUSINESS SPACE REIT
Stock Code/Name: SV3U - SoilbuildBizReit
Company: SOILBUILD BUSINESS SPACE REIT
Stock Code/Name: SV3U - SoilbuildBizReit
| Cash Dividend/ Distribution::Mandatory |
| Issuer & Securities |
| Issuer/ Manager | SB REIT MANAGEMENT PTE. LTD. |
| Security | SOILBUILD BUSINESS SPACE REIT - SG2G07995670 - SV3U |
| Announcement Details |
| Announcement Title | Mandatory Cash Dividend/ Distribution |
| Date & Time of Broadcast | 13-Apr-2015 20:13:01 |
| Status | New |
| Corporate Action Reference | SG150413DVCA7MNH |
| Submitted By (Co./ Ind. Name) | Shane Hagan |
| Designation | Chief Executive Officer |
| Dividend/ Distribution Number | Not Applicable |
| Declared Dividend/ Distribution Rate (Per Share/ Unit) | SGD 0.01633 |
| Dividend/ Distribution Period | 01/01/2015 TO 31/03/2015 |
| Number of Days | 90 |
| Event Narrative |
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| Event Dates |
| Record Date and Time | 21/04/2015 17:00:00 |
| Ex Date | 17/04/2015 |
| Dividend Details |
| Payment Type | Payment Rate in Net |
| Taxable | Yes |
| Gross Rate (Per Share) | SGD 0.01633 |
| Net Rate (Per Share) | SGD 0.01633 |
| Pay Date | 14/05/2015 |
| Gross Rate Status | Actual Rate |
| Attachments |
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Applicable for REITs/ Business Trusts/ Stapled Securities |
SoilbuildBizReit - Financial Statements and Related Announcement::First Quarter Results
Announcement Type: Financial Statements
Company: SOILBUILD BUSINESS SPACE REIT
Stock Code/Name: SV3U - SoilbuildBizReit
Company: SOILBUILD BUSINESS SPACE REIT
Stock Code/Name: SV3U - SoilbuildBizReit
| Financial Statements and Related Announcement::First Quarter Results |
| Issuer & Securities |
| Issuer/ Manager | SB REIT MANAGEMENT PTE. LTD. |
| Securities | SOILBUILD BUSINESS SPACE REIT - SG2G07995670 - SV3U |
| Stapled Security | No |
| Announcement Details |
| Announcement Title | Financial Statements and Related Announcement |
| Date & Time of Broadcast | 13-Apr-2015 19:48:46 |
| Status | New |
| Announcement Sub Title | First Quarter Results |
| Announcement Reference | SG150413OTHRNI8V |
| Submitted By (Co./ Ind. Name) | Shane Hagan |
| Designation | Chief Executive Officer |
| 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. Citigroup Global Markets Singapore Pte. Ltd., DBS Bank Ltd., and Oversea-Chinese Banking Corporation Limited are the joint global coordinators, issue managers, bookrunners & underwriters of the initial public offering of Soilbuild Business Space REIT. |
| Additional Details |
| For Financial Period Ended | 31/03/2015 |
| Attachments |
SPH - General Announcement::SPH REIT MANAGEMENT PTE LTD - SPH REIT ANNOUNCEMENT
Announcement Type: General Announcement
Company: SINGAPORE PRESS HLDGS LTD
Stock Code/Name: T39 - SPH
Company: SINGAPORE PRESS HLDGS LTD
Stock Code/Name: T39 - SPH
| General Announcement::SPH REIT MANAGEMENT PTE LTD - SPH REIT ANNOUNCEMENT |
| Issuer & Securities |
| Issuer/ Manager | SINGAPORE PRESS HOLDINGS LIMITED |
| Securities | SINGAPORE PRESS HLDGS LTD - SG1P66918738 - T39 |
| Stapled Security | No |
| Announcement Details |
| Announcement Title | General Announcement |
| Date & Time of Broadcast | 13-Apr-2015 19:28:42 |
| Status | New |
| Announcement Sub Title | SPH REIT MANAGEMENT PTE LTD - SPH REIT ANNOUNCEMENT |
| Announcement Reference | SG150413OTHR4GWD |
| Submitted By (Co./ Ind. Name) | Ginney Lim May Ling |
| Designation | Group Company Secretary |
| Description (Please provide a detailed description of the event in the box below) | Singapore Press Holdings Limited's subsidiary, SPH REIT Management Pte Ltd, as Manager of SPH REIT, has issued the following announcements today: 1) SPH REIT Second Quarter and/or Half Year Results; and 2) SPH REIT Books Closure and Distribution Payment Date |
| Attachments |
Sarine Tech - Share Buy Back - Daily Share Buy-Back Notice::Daily Share Buy-Back Notice
Announcement Type: Share Buy Back-On Market
Company: SARINE TECHNOLOGIES LTD
Stock Code/Name: U77 - Sarine Tech
Company: SARINE TECHNOLOGIES LTD
Stock Code/Name: U77 - Sarine Tech
| Share Buy Back - Daily Share Buy-Back Notice::Daily Share Buy-Back Notice |
| Issuer & Securities |
| Issuer/ Manager | SARINE TECHNOLOGIES LTD. |
| Securities | SARINE TECHNOLOGIES LTD - IL0010927254 - U77 |
| Stapled Security | No |
| Announcement Details |
| Announcement Title | Share Buy Back - Daily Share Buy-Back Notice |
| Date & Time of Broadcast | 13-Apr-2015 20:16:31 |
| Status | New |
| Announcement Sub Title | Daily Share Buy-Back Notice |
| Announcement Reference | SG150413OTHRXNY7 |
| Submitted By (Co./ Ind. Name) | Amir J. Zolty |
| Designation | Company Secretary |
| Effective Date and Time of the event | 13/04/2015 17:00:00 |
| Description (Please provide a detailed description of the event in the box below) | Daily share buy-back made by way of market acquisition. |
| Additional Details |
| Start date for mandate of daily share buy-back | 29/04/2014 |
| Section A |
| Name of Overseas exchange where company has dual listing | N/A | |||||||||||||||
| Maximum number of shares authorised for purchase | 34,814,730 | |||||||||||||||
| Purchase made by way of market acquisition | Yes | |||||||||||||||
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| Highest/ Lowest price per share | ||||||||||||||||
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| Section B |
| Purchase made by way of off-market acquisition on equal access scheme | No |
| Section C |
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| #Percentage of company's issued shares excluding treasury shares as at the date of the share buy-back resolution | |||||||||||||
| ^From the date on which share buy-back mandate is obtained | |||||||||||||
| Section D |
| Number of issued shares excluding treasury shares after purchase | 349,873,512 |
| Number of treasury shares held after purchase | 893,100 |
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