CDW - General Announcement::EXCHANGE RATE USED IN DETERMINING PAYMENT OF FINAL DIVIDEND IN SINGAPORE CURRENCY
Announcement Type: General Announcement
Company: CDW HOLDING LIMITED
Stock Code/Name: D38 - CDW
Company: CDW HOLDING LIMITED
Stock Code/Name: D38 - CDW
| General Announcement::EXCHANGE RATE USED IN DETERMINING PAYMENT OF FINAL DIVIDEND IN SINGAPORE CURRENCY |
| Issuer & Securities |
| Issuer/ Manager | CDW HOLDING LIMITED |
| Securities | CDW HOLDING LIMITED - BMG2022E1021 - D38 |
| Stapled Security | No |
| Announcement Details |
| Announcement Title | General Announcement |
| Date & Time of Broadcast | 14-May-2015 19:10:36 |
| Status | New |
| Announcement Sub Title | EXCHANGE RATE USED IN DETERMINING PAYMENT OF FINAL DIVIDEND IN SINGAPORE CURRENCY |
| Announcement Reference | SG150514OTHRWL8K |
| Submitted By (Co./ Ind. Name) | LYNN WAN TIEW LENG |
| Designation | COMPANY SECRETARY |
| Description (Please provide a detailed description of the event in the box below) | PLEASE SEE ATTACHED. |
| Attachments |
|
Courage Marine - Share Consolidation::Mandatory
Announcement Type: Share Consolidation
Company: COURAGE MARINE GROUP LIMITED
Stock Code/Name: E91 - Courage Marine
Company: COURAGE MARINE GROUP LIMITED
Stock Code/Name: E91 - Courage Marine
| Share Consolidation::Mandatory |
| Issuer & Securities |
| Issuer/ Manager | COURAGE MARINE GROUP LIMITED |
| Security | COURAGE MARINE GROUP LIMITED - BMG2535T2089 - ATL |
| Announcement Details |
| Announcement Title | Share Consolidation |
| Date & Time of Broadcast | 14-May-2015 18:54:50 |
| Status | New |
| Corporate Action Reference | SG150514SPLROLWD |
| Submitted By (Co./ Ind. Name) | LEE PIH PENG |
| Designation | COMPANY SECRETARY |
| Event Narrative |
| |||||
| Disbursement Details |
| Existing Security Details | |
| New Security Details | |
| Security not found | No |
| Distribution Ratio (New: Old) | 1:10 |
| Attachments |
|
Hi-P - Share Buy Back - Daily Share Buy-Back Notice::Daily Share Buy-Back
Announcement Type: Share Buy Back-On Market
Company: HI-P INTERNATIONAL LIMITED
Stock Code/Name: H17 - Hi-P
Company: HI-P INTERNATIONAL LIMITED
Stock Code/Name: H17 - Hi-P
| Share Buy Back - Daily Share Buy-Back Notice::Daily Share Buy-Back |
| Issuer & Securities |
| Issuer/ Manager | HI-P INTERNATIONAL LIMITED |
| Securities | HI-P INTERNATIONAL LIMITED - SG1O83915098 - H17 |
| Stapled Security | No |
| Announcement Details |
| Announcement Title | Share Buy Back - Daily Share Buy-Back Notice |
| Date & Time of Broadcast | 14-May-2015 19:15:46 |
| Status | New |
| Announcement Sub Title | Daily Share Buy-Back |
| Announcement Reference | SG150514OTHR5YP9 |
| Submitted By (Co./ Ind. Name) | Yao Hsiao Tung |
| Designation | Executive Chairman and Chief Executive Officer |
| Description (Please provide a detailed description of the event in the box below) | Daily Share Buy-Back by way of market acquisition. |
| Additional Details |
| Start date for mandate of daily share buy-back | 28/04/2015 |
| Section A |
| Maximum number of shares authorised for purchase | 81,724,929 | |||||||||||||||
| Purchase made by way of market acquisition | Yes | |||||||||||||||
| ||||||||||||||||
| Highest/ Lowest price per share | ||||||||||||||||
| ||||||||||||||||
| Section B |
| Purchase made by way of off-market acquisition on equal access scheme | No |
| Section C |
| |||||||||||||
| #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 | 816,962,123 |
| Number of treasury shares held after purchase | 70,212,877 |
Cambridge Ind Tr - General Announcement::Pricing of S$130,000,000 3.95% Fixed Rate Notes Due 2020
Announcement Type: General Announcement
Company: CAMBRIDGE INDUSTRIAL TRUST
Stock Code/Name: J91U - Cambridge Ind Tr
Company: CAMBRIDGE INDUSTRIAL TRUST
Stock Code/Name: J91U - Cambridge Ind Tr
| General Announcement::Pricing of S$130,000,000 3.95% Fixed Rate Notes Due 2020 |
| Issuer & Securities |
| Issuer/ Manager | CAMBRIDGE INDUSTRIAL TRUST MANAGEMENT LIMITED |
| Securities | CAMBRIDGE INDUSTRIAL TRUST - SG1T70931228 - J91U |
| Stapled Security | No |
| Announcement Details |
| Announcement Title | General Announcement |
| Date & Time of Broadcast | 14-May-2015 19:13:48 |
| Status | New |
| Announcement Sub Title | Pricing of S$130,000,000 3.95% Fixed Rate Notes Due 2020 |
| Announcement Reference | SG150514OTHRYD32 |
| Submitted By (Co./ Ind. Name) | Philip Levinson |
| Designation | CEO & Executive Director |
| Effective Date and Time of the event | 14/05/2015 19:10:00 |
| Description (Please provide a detailed description of the event in the box below) | Please refer to attached announcements. |
| Attachments |
Luzhou Bio-Chem - Financial Statements and Related Announcement::First Quarter Results
Announcement Type: Financial Statements
Company: LUZHOU BIO-CHEM TECHNOLOGY LTD
Stock Code/Name: L46 - Luzhou Bio-Chem
Company: LUZHOU BIO-CHEM TECHNOLOGY LTD
Stock Code/Name: L46 - Luzhou Bio-Chem
| Financial Statements and Related Announcement::First Quarter Results |
| Issuer & Securities |
| Issuer/ Manager | LUZHOU BIO-CHEM TECHNOLOGY LIMITED |
| Securities | LUZHOU BIO-CHEM TECHNOLOGY LTD - SG1S94928862 - L46 |
| Stapled Security | No |
| Announcement Details |
| Announcement Title | Financial Statements and Related Announcement |
| Date & Time of Broadcast | 14-May-2015 19:08:24 |
| Status | New |
| Announcement Sub Title | First Quarter Results |
| Announcement Reference | SG150514OTHRP579 |
| Submitted By (Co./ Ind. Name) | Niu Ji Xing |
| Designation | Executive Chairman and CEO |
| 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 attachments. |
| Additional Details |
| For Financial Period Ended | 31/03/2015 |
| Attachments |
|
No comments:
Post a Comment