CMPacific - Equity Listing - Ordinary Shares::Convertible Bonds due 2017 - Cancellation of Bonds due to Conversion
Announcement Type: Listing-Equity
Company: CHINA MERCHANTS HLDGS(PACIFIC)
Stock Code/Name: C22 - CMPacific
Company: CHINA MERCHANTS HLDGS(PACIFIC)
Stock Code/Name: C22 - CMPacific
| Equity Listing - Ordinary Shares::Convertible Bonds due 2017 - Cancellation of Bonds due to Conversion |
| Issuer & Securities |
| Issuer/Manager | CHINA MERCHANTS HOLDINGS (PACIFIC) LIMITED |
| Security Not Found | No |
| Security Name | CHINA MERCHANTS HLDGS(PACIFIC) |
| Security Short Name | CMPAC |
| ISIN | SG2P22002535 |
| Stock Code | C22 |
| Announcement Details |
| Announcement Title | Equity Listing - Ordinary Shares |
| Date & Time of Broadcast | 11-May-2015 17:43:07 |
| Status | New |
| Announcement Sub Title | Convertible Bonds due 2017 - Cancellation of Bonds due to Conversion |
| Announcement Reference | SG150511OTHR3I87 |
| Submitted By (Co./Ind. Name) | Lim Lay Hoon |
| Designation | Company Secretary |
| Description(Please provide a detailed description of the announcement in the box below) | Please refer to the attachment. |
| Listing Details |
| Form of Issue | Registered |
| Primary Listing | Yes |
| Country of Primary Listing | Singapore |
| Listing Date | 12/05/2015 09:00:00 |
| Issue Currency | Singapore Dollar |
| Trading Currency | Singapore Dollar |
| Asset Class | Ordinary Shares |
| Agent Details |
| Attachments |
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CapitaLand - Change of Terms
Announcement Type: Change of Terms
Company: CAPITALAND LIMITED
Stock Code/Name: C31 - CapitaLand
Company: CAPITALAND LIMITED
Stock Code/Name: C31 - CapitaLand
| Debt - Change of Terms::Adjustment of the conversion price to S$4.2014 for S$800 million 1.95% Convertible Bonds due 2023 |
| Issuer & Securities |
| Issuer/ Manager | CAPITALAND LIMITED |
| Securities | CAPITALANDS$800M1.95%CB231017A - XS0974106238 - 2G7B CAPITALANDS$800M1.95%CB231017R - XS0974088402 - 2G8B |
| Stapled Security | No |
| Announcement Details |
| Announcement Title | Debt - Change of Terms |
| Date & Time of Broadcast | 11-May-2015 17:26:08 |
| Status | New |
| Announcement Sub Title | Adjustment of the conversion price to S$4.2014 for S$800 million 1.95% Convertible Bonds due 2023 |
| Announcement Reference | SG150511OTHRQPL0 |
| Submitted By (Co./ Ind. Name) | Michelle Koh |
| Designation | Company Secretary |
| Description (Please provide a detailed description of the change in the box below) | The attached announcement issued by CapitaLand Limited on the above matter is for information. |
| Additional Details |
| Asset Class | Convertible Bonds |
| Attachments |
|
CapitaLand - Change of Terms
Announcement Type: Change of Terms
Company: CAPITALAND LIMITED
Stock Code/Name: C31 - CapitaLand
Company: CAPITALAND LIMITED
Stock Code/Name: C31 - CapitaLand
| Debt - Change of Terms::Adjustment of the conversion price to S$4.9875 for S$650 million 1.85% Convertible Bonds due 2020 |
| Issuer & Securities |
| Issuer/ Manager | CAPITALAND LIMITED |
| Securities | CAPITALANDS$650M1.85%CB200619A - XS0938965059 - 2WSB CAPITALANDS$650M1.85%CB200619R - XS0935605401 - 2WTB |
| Stapled Security | No |
| Announcement Details |
| Announcement Title | Debt - Change of Terms |
| Date & Time of Broadcast | 11-May-2015 17:25:05 |
| Status | New |
| Announcement Sub Title | Adjustment of the conversion price to S$4.9875 for S$650 million 1.85% Convertible Bonds due 2020 |
| Announcement Reference | SG150511OTHR08LI |
| Submitted By (Co./ Ind. Name) | Michelle Koh |
| Designation | Company Secretary |
| Description (Please provide a detailed description of the change in the box below) | The attached announcement issued by CapitaLand Limited on the above matter is for information. |
| Additional Details |
| Asset Class | Convertible Bonds |
| Attachments |
|
CapitaLand - Change of Terms
Announcement Type: Change of Terms
Company: CAPITALAND LIMITED
Stock Code/Name: C31 - CapitaLand
Company: CAPITALAND LIMITED
Stock Code/Name: C31 - CapitaLand
| Debt - Change of Terms::Adjustment of the conversion price to S$4.6355 for S$1.2 billion 2.875% Convertible Bonds due 2016 |
| Issuer & Securities |
| Issuer/ Manager | CAPITALAND LIMITED |
| Securities | CAPITALANDS$1.2B2.875%C160903A - XS0448887777 - 3YGB CAPITALANDS$1.2B2.875%C160903R - XS0444106644 - 3YFB |
| Stapled Security | No |
| Announcement Details |
| Announcement Title | Debt - Change of Terms |
| Date & Time of Broadcast | 11-May-2015 17:23:32 |
| Status | New |
| Announcement Sub Title | Adjustment of the conversion price to S$4.6355 for S$1.2 billion 2.875% Convertible Bonds due 2016 |
| Announcement Reference | SG150511OTHRIDTT |
| Submitted By (Co./ Ind. Name) | Michelle Koh |
| Designation | Company Secretary |
| Description (Please provide a detailed description of the change in the box below) | The attached announcement issued by CapitaLand Limited on the above matter is for information. |
| Additional Details |
| Asset Class | Convertible Bonds |
| Attachments |
|
Chuan Hup - Financial Statements and Related Announcement::Third Quarter Results
Announcement Type: Financial Statements
Company: CHUAN HUP HOLDINGS LIMITED
Stock Code/Name: C33 - Chuan Hup
Company: CHUAN HUP HOLDINGS LIMITED
Stock Code/Name: C33 - Chuan Hup
| Financial Statements and Related Announcement::Third Quarter Results |
| Issuer & Securities |
| Issuer/ Manager | CHUAN HUP HOLDINGS LIMITED |
| Securities | CHUAN HUP HOLDINGS LIMITED - SG1H43875910 - C33 |
| Stapled Security | No |
| Announcement Details |
| Announcement Title | Financial Statements and Related Announcement |
| Date & Time of Broadcast | 11-May-2015 17:47:29 |
| Status | New |
| Announcement Sub Title | Third Quarter Results |
| Announcement Reference | SG150511OTHR0GZG |
| Submitted By (Co./ Ind. Name) | Valerie Tan May Wei |
| 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 announcement. |
| Additional Details |
| For Financial Period Ended | 31/03/2015 |
| Attachments |
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