Showing posts with label Yangi EURO S. Show all posts
Showing posts with label Yangi EURO S. Show all posts

Friday, June 19, 2015

Company announcements: Prudential USD, Yangi EURO S

Prudential USD - General Announcement::Changes in issued share capital

Announcement Type: General Announcement
Company: PRUDENTIAL PLC
Stock Code/Name: K6S - Prudential USD

General Announcement::Changes in issued share capital
Issuer & Securities
Issuer/ ManagerPRUDENTIAL PLC
SecuritiesPRUDENTIAL PLC - GB0007099541 - K6S
Stapled SecurityNo
Announcement Details
Announcement Title General Announcement
Date & Time of Broadcast19-Jun-2015 11:46:17
StatusNew
Announcement Sub TitleChanges in issued share capital
Announcement ReferenceSG150619OTHR40R9
Submitted By (Co./ Ind. Name)Ms Fiona Wong
DesignationDeputy Group Secretary
Description (Please provide a detailed description of the event in the box below)Please refer to the attachment.
Attachments



Yangi EURO S - General Announcement::NAV per unit as at 31 May 2015: EUR163,269.15

Announcement Type: General Announcement
Company: YANGI FUND
Stock Code/Name: R8P - Yangi EURO S

General Announcement::NAV per unit as at 31 May 2015: EUR163,269.15
Issuer & Securities
Issuer/ ManagerSG TRUST (ASIA) LTD
SecuritiesYANGI FUND - SG9902989103 - R8P
Stapled SecurityNo
Announcement Details
Announcement Title General Announcement
Date & Time of Broadcast19-Jun-2015 11:43:54
StatusNew
Announcement Sub TitleNAV per unit as at 31 May 2015: EUR163,269.15
Announcement ReferenceSG150619OTHRLYZ2
Submitted By (Co./ Ind. Name)Lim Hui Hoon
DesignationAdministrator
Effective Date and Time of the event29/05/2015 17:00:00
Description (Please provide a detailed description of the event in the box below)Please find below information on the net asset value (NAV) per unit for Yangi Fund:-

NAV per unit as at 31 May 2015: EUR163,269.15



Monday, May 25, 2015

Company announcements: SIA, Yangi EURO S

SIA - Employee Stock Option/ Share Scheme::NOTICE OF TRANSFER OF TREASURY SHARES

Announcement Type: Employee Stock Option/ Share Scheme
Company: SINGAPORE AIRLINES LTD
Stock Code/Name: C6L - SIA

Employee Stock Option/ Share Scheme::NOTICE OF TRANSFER OF TREASURY SHARES
Issuer & Securities
Issuer/ ManagerSINGAPORE AIRLINES LIMITED
SecuritiesSINGAPORE AIRLINES LTD - SG1V61937297 - C6L
Stapled SecurityNo
Announcement Details
Announcement Title Employee Stock Option/ Share Scheme
Date & Time of Broadcast25-May-2015 14:36:32
StatusNew
Announcement Sub TitleNOTICE OF TRANSFER OF TREASURY SHARES
Announcement ReferenceSG150525OTHRJ0UM
Submitted By (Co./ Ind. Name)Mrs Ethel Tan
DesignationCompany Secretary
Description (Please provide a detailed description of the event in the box below)Please see attached.
Attachments



Yangi EURO S - General Announcement::NAV per unit as at 30 April 2015: EUR158,823.58

Announcement Type: General Announcement
Company: YANGI FUND
Stock Code/Name: R8P - Yangi EURO S

General Announcement::NAV per unit as at 30 April 2015: EUR158,823.58
Issuer & Securities
Issuer/ ManagerSG TRUST (ASIA) LTD
SecuritiesYANGI FUND - SG9902989103 - R8P
Stapled SecurityNo
Announcement Details
Announcement Title General Announcement
Date & Time of Broadcast25-May-2015 14:32:36
StatusNew
Announcement Sub TitleNAV per unit as at 30 April 2015: EUR158,823.58
Announcement ReferenceSG150525OTHRUSNA
Submitted By (Co./ Ind. Name)Lim Hui Hoon
DesignationAdministrator
Effective Date and Time of the event30/04/2015 17:00:00
Description (Please provide a detailed description of the event in the box below)Please find below information on the net asset value (NAV) per unit for Yangi Fund:-

NAV per unit as at 30 April 2015: EUR158,823.58.



Wednesday, April 29, 2015

Company announcements: Maruwa Yen1k, Yangi EURO S, Serial System, TIH

Maruwa Yen1k - Financial Statements and Related Announcement::Full Yearly Results

Announcement Type: Financial Statements
Company: MARUWA CO. LTD
Stock Code/Name: M12 - Maruwa Yen1k

Financial Statements and Related Announcement::Full Yearly Results
Issuer & Securities
Issuer/ ManagerMARUWA CO. LTD
SecuritiesMARUWA CO. LTD - JP3879250003 - M12
Stapled SecurityNo
Announcement Details
Announcement Title Financial Statements and Related Announcement
Date & Time of Broadcast29-Apr-2015 15:40:46
StatusNew
Announcement Sub TitleFull Yearly Results
Announcement ReferenceSG150429OTHRLYVH
Submitted By (Co./ Ind. Name)Kunito Niwa
Designation GM
Description (Please provide a detailed description of the event in the box below - Refer to the Online help for the format)financial report 2014
Additional Details
For Financial Period Ended28/04/2015
Attachments
1503_4Q.pdf
Total size =397K



Yangi EURO S - General Announcement::NAV per unit as at 31 March 2015: EUR158,442.30

Announcement Type: General Announcement
Company: YANGI FUND
Stock Code/Name: R8P - Yangi EURO S

General Announcement::NAV per unit as at 31 March 2015: EUR158,442.30
Issuer & Securities
Issuer/ ManagerSG TRUST (ASIA) LTD
SecuritiesYANGI FUND - SG9902989103 - R8P
Stapled SecurityNo
Announcement Details
Announcement Title General Announcement
Date & Time of Broadcast29-Apr-2015 15:39:59
StatusNew
Announcement Sub TitleNAV per unit as at 31 March 2015: EUR158,442.30
Announcement ReferenceSG150429OTHR9KFO
Submitted By (Co./ Ind. Name)Lim Hui Hoon
DesignationAdministrator
Effective Date and Time of the event31/03/2015 17:00:00
Description (Please provide a detailed description of the event in the box below)Please find below information on the net asset value (NAV) per unit for Yangi Fund:

NAV per unit as at 31 March 2015: EUR158,442.30



Serial System - Financial Statements and Related Announcement::First Quarter Results

Announcement Type: Financial Statements
Company: SERIAL SYSTEM LTD
Stock Code/Name: S69 - Serial System

Financial Statements and Related Announcement::First Quarter Results
Issuer & Securities
Issuer/ ManagerSERIAL SYSTEM LTD
SecuritiesSERIAL SYSTEM LTD - SG1E36851343 - S69
Stapled SecurityNo
Announcement Details
Announcement Title Financial Statements and Related Announcement
Date & Time of Broadcast29-Apr-2015 14:58:06
StatusNew
Announcement Sub TitleFirst Quarter Results
Announcement ReferenceSG150429OTHRRM0I
Submitted By (Co./ Ind. Name)Derek Goh Bak Heng
Designation Executive Chairman/ Group 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 attachment for the following:-
1. 1Q2015 Results announcement
2. Press Release
3. Results presentation slides
Additional Details
For Financial Period Ended31/03/2015
Attachments



Serial System - Annual General Meeting::Voluntary

Announcement Type: Annual General Meeting
Company: SERIAL SYSTEM LTD
Stock Code/Name: S69 - Serial System

Annual General Meeting::Voluntary
Issuer & Securities
Issuer/ ManagerSERIAL SYSTEM LTD
SecuritySERIAL SYSTEM LTD - SG1E36851343 - S69
Announcement Details
Announcement Title Annual General Meeting
Date & Time of Broadcast29-Apr-2015 14:57:39
StatusNew
Announcement ReferenceSG150429MEET30KG
Submitted By (Co./ Ind. Name)Wui Heck Koon
DesignationCompany Secretary
Financial Year End29/04/2015
Event Narrative
Narrative TypeNarrative Text
Additional TextResults of the Annual General Meeting on 29 April 2015
Event Dates
Meeting Date and Time29/04/2015 11:00:00
Response Deadline Date27/04/2015 00:00:00
Event Venue(s)
Place
Venue(s)Venue details
Meeting VenueNo. 8 Ubi View, Serial System Building, #05-01, Singapore 408554
Attachments
RESULTS_AGM_29APR15.pdf
Total size =522K



TIH - REPL::Annual General Meeting::Voluntary

Announcement Type: Annual General Meeting
Company: TIH LIMITED
Stock Code/Name: T55 - TIH

REPL::Annual General Meeting::Voluntary
Issuer & Securities
Issuer/ ManagerTIH LIMITED
SecurityTIH LIMITED - SG1A82000914 - T55
Announcement Details
Announcement Title Annual General Meeting
Date & Time of Broadcast29-Apr-2015 14:20:03
StatusReplacement
Announcement ReferenceSG150409MEETYIX2
Submitted By (Co./ Ind. Name)Tham Shook Han
DesignationCompany Secretary
Financial Year End31/12/2014
Event Narrative
Narrative TypeNarrative Text
Additional TextResults of the 21st Annual General Meeting Held on 29 April 2015

Please refer to the attachment.
Event Dates
Meeting Date and Time29/04/2015 10:00:00
Response Deadline Date27/04/2015 10:00:00
Event Venue(s)
Place
Venue(s)Venue details
Meeting VenueConcorde 1, 3rd Level Concorde Hotel Singapore,
100 Orchard Road, Singapore 238840
Attachments
Related Announcements
09/04/2015 09:59:16




Friday, February 28, 2014

Company announcements: AP Strat, Yangi EURO S, Tosei 100, KrisEnergy

AP Strat - ACQUISITIONS AND DISPOSALS

Announcement Type: ACQUISITIONS AND DISPOSALS
Company: ASIA-PACIFIC STRATEGIC INV LTD
Stock Code/Name: 5RA - AP Strat

ACQUISITIONS AND DISPOSALS :: VERY SUBSTANTIAL ACQUISITION OR REVERSE TAKEOVER :: PROPOSED ACQUISITION OF THE ENTIRE ISSUED AND PAID-UP SHARE CAPITAL OF COEUR GOLD ARMENIA LIMITED
* Asterisks denote mandatory information
Name of Announcer *ASIA-PACIFIC STRATEGIC INV LTD
Company Registration No.200609901H
Announcement submitted on behalf of ASIA-PACIFIC STRATEGIC INV LTD
Announcement is submitted with respect to *ASIA-PACIFIC STRATEGIC INV LTD
Announcement is submitted by *Dato' Dr Choo Yeow Ming
Designation *Chairman & Chief Executive Officer
Date & Time of Broadcast28-Feb-2014 15:02:42
Announcement No.00056
 
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title * PROPOSED ACQUISITION OF THE ENTIRE ISSUED AND PAID-UP SHARE CAPITAL OF COEUR GOLD ARMENIA LIMITED
Description Please see attached.
Attachments
APS_SPA_Annnc_CoeurGold.pdf
Total size =143K
(2048K size limit recommended)



AP Strat - REQUEST FOR RESUMPTION OF TRADING FROM SUSPENSION

Announcement Type: REQUEST FOR RESUMPTION OF TRADING FROM SUSPENSION
Company: ASIA-PACIFIC STRATEGIC INV LTD
Stock Code/Name: 5RA - AP Strat

REQUEST FOR RESUMPTION OF TRADING FROM SUSPENSION
* Asterisks denote mandatory information
Name of Announcer *ASIA-PACIFIC STRATEGIC INV LTD
Company Registration No.200609901H
Announcement submitted on behalf of ASIA-PACIFIC STRATEGIC INV LTD
Announcement is submitted with respect to *ASIA-PACIFIC STRATEGIC INV LTD
Announcement is submitted by *Dato' Dr Choo Yeow Ming
Designation *Chairman & Chief Executive Officer
Date & Time of Broadcast28-Feb-2014 15:29:52
Announcement No.00059
 
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Date of Lifting of Suspension * 28/02/2014
Time of Resumption of Trading *1600 hours
 



Yangi EURO S - MISCELLANEOUS :: NAV PER UNIT AS AT 31 JANUARY 2014: EUR131,746.99

Announcement Type: MISCELLANEOUS
Company: YANGI FUND
Stock Code/Name: R8P - Yangi EURO S

MISCELLANEOUS :: NAV PER UNIT AS AT 31 JANUARY 2014: EUR131,746.99
* Asterisks denote mandatory information
Name of Announcer *YANGI FUND
Company Registration No.200010525H
Announcement submitted on behalf of YANGI FUND
Announcement is submitted with respect to *YANGI FUND
Announcement is submitted by *Lim Hui Hoon
Designation *Administrator
Date & Time of Broadcast28-Feb-2014 15:29:25
Announcement No.00058
 
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title *NAV per unit as at 31 January 2014: EUR131,746.99
Description
Please find below information on the net asset value (NAV) per unit for Yangi Fund (Fund):

NAV per unit as at 31 January 2014: EUR131,746.99
Attachments
Total size = 0K
(2048K size limit recommended)



Tosei 100 - MISCELLANEOUS :: EXTRAORDINARY REPORT

Announcement Type: MISCELLANEOUS
Company: TOSEI CORPORATION
Stock Code/Name: S2D - Tosei 100

MISCELLANEOUS :: EXTRAORDINARY REPORT
* Asterisks denote mandatory information
Name of Announcer *TOSEI CORPORATION
Company Registration No.0104-01-064940
Announcement submitted on behalf of TOSEI CORPORATION
Announcement is submitted with respect to *TOSEI CORPORATION
Announcement is submitted by *Noboru Hirano
Designation *Director and Chief Financial Officer
Date & Time of Broadcast28-Feb-2014 14:11:29
Announcement No.00048
 
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title *Extraordinary Report
Description
Please see attached.

Daiwa Capital Markets Singapore Limited was the Sole Global Coordinator and Manager of the Company's Introduction. The Sole Global Coordinator and Manager assumes no responsibility for the content of this announcement.
Attachments
Tosei_Extraordinary_Report_28Feb14.pdf
Total size =110K
(2048K size limit recommended)



KrisEnergy - MISCELLANEOUS :: KRISENERGY LTD - SHAREHOLDERS' FORUM PRESENTATION

Announcement Type: MISCELLANEOUS
Company: KRISENERGY LTD.
Stock Code/Name: SK3 - KrisEnergy

MISCELLANEOUS :: KRISENERGY LTD - SHAREHOLDERS' FORUM PRESENTATION
* Asterisks denote mandatory information
Name of Announcer *KRISENERGY LTD.
Company Registration No.WK-231666
Announcement submitted on behalf of KRISENERGY LTD.
Announcement is submitted with respect to *KRISENERGY LTD.
Announcement is submitted by *Kelvin Tang
Designation *Company Secretary
Date & Time of Broadcast28-Feb-2014 14:22:00
Announcement No.00050
 
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title *KrisEnergy Ltd - Shareholders' Forum Presentation
Description
KrisEnergy Ltd refers to its announcement number 000019 made earlier today at 07:36:15 AM, please be informed that the shareholders' forum presentation has been revised and to refer to the attached for the revised shareholders' forum presentation instead.
Attachments
KrisEnergy_2013AnnualResultsShareholdersForumPPT_UPDATED_28Feb2014.pdf
Total size =2652K
(2048K size limit recommended)



Thursday, February 27, 2014

Company announcements: Lorenzo, Yangi EURO S

Lorenzo - REQUEST FOR LIFTING OF TRADING HALT

Announcement Type: REQUEST FOR LIFTING OF TRADING HALT
Company: LORENZO INTERNATIONAL LIMITED
Stock Code/Name: 5IE - Lorenzo

REQUEST FOR LIFTING OF TRADING HALT
* Asterisks denote mandatory information
Name of Announcer *LORENZO INTERNATIONAL LIMITED
Company Registration No.200508277C
Announcement submitted on behalf of LORENZO INTERNATIONAL LIMITED
Announcement is submitted with respect to *LORENZO INTERNATIONAL LIMITED
Announcement is submitted by *ONG BENG HONG
Designation *COMPANY SECRETARY
Date & Time of Broadcast27-Feb-2014 10:21:31
Announcement No.00039
 
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Date of Lifting of Trading Halt * 27/02/2014
Time of Lifting of Trading Halt * 1100 hours



Lorenzo - CHANGE IN CAPITAL

Announcement Type: CHANGE IN CAPITAL
Company: LORENZO INTERNATIONAL LIMITED
Stock Code/Name: 5IE - Lorenzo

CHANGE IN CAPITAL :: PLACEMENT :: PROPOSED PLACEMENT OF UP TO 43,317,693 NEW ORDINARY SHARES IN THE CAPITAL OF THE COMPANY
* Asterisks denote mandatory information
Name of Announcer *LORENZO INTERNATIONAL LIMITED
Company Registration No.200508277C
Announcement submitted on behalf of LORENZO INTERNATIONAL LIMITED
Announcement is submitted with respect to *LORENZO INTERNATIONAL LIMITED
Announcement is submitted by *ONG BENG HONG
Designation *COMPANY SECRETARY
Date & Time of Broadcast27-Feb-2014 10:18:28
Announcement No.00038
 
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title * PROPOSED PLACEMENT OF UP TO 43,317,693 NEW ORDINARY SHARES IN THE CAPITAL OF THE COMPANY
Specific shareholder's approval required? * No
Description * Please see attached.
Attachments
Lorenzo-Announcement-proposedplacement.pdf
Total size =48K
(2048K size limit recommended)

 



Lorenzo - CHANGE IN CAPITAL :: CONVERTIBLE SECURITIES :: TERMINATION OF THE NOTE SUBSCRIPTION AGREEMENT DATED 7 FEBRUARY 2014

Announcement Type: CHANGE IN CAPITAL
Company: LORENZO INTERNATIONAL LIMITED
Stock Code/Name: 5IE - Lorenzo

CHANGE IN CAPITAL :: CONVERTIBLE SECURITIES :: TERMINATION OF THE NOTE SUBSCRIPTION AGREEMENT DATED 7 FEBRUARY 2014
* Asterisks denote mandatory information
Name of Announcer *LORENZO INTERNATIONAL LIMITED
Company Registration No.200508277C
Announcement submitted on behalf of LORENZO INTERNATIONAL LIMITED
Announcement is submitted with respect to *LORENZO INTERNATIONAL LIMITED
Announcement is submitted by *ONG BENG HONG
Designation *COMPANY SECRETARY
Date & Time of Broadcast27-Feb-2014 10:15:59
Announcement No.00037
 
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title * TERMINATION OF THE NOTE SUBSCRIPTION AGREEMENT DATED 7 FEBRUARY 2014
Specific shareholder's approval required? * No
Description * Please see attached.
Attachments
LorenzoAnnouncementTerminationOfNoteSubscriptionAgreement.pdf
Total size =20K
(2048K size limit recommended)

 



Yangi EURO S - FULL YEAR RESULTS * FINANCIAL STATEMENT AND RELATED ANNOUNCEMENT

Announcement Type: FINANCIAL STATEMENT AND RELATED ANNOUNCEMENT
Company: YANGI FUND
Stock Code/Name: R8P - Yangi EURO S

FULL YEAR RESULTS * FINANCIAL STATEMENT AND RELATED ANNOUNCEMENT
* Asterisks denote mandatory information
Name of Announcer *YANGI FUND
Company Registration No.200010525H
Announcement submitted on behalf of YANGI FUND
Announcement is submitted with respect to *YANGI FUND
Announcement is submitted by *Lim Hui Hoon
Designation *Administrator
Date & Time of Broadcast27-Feb-2014 09:58:08
Announcement No.00036
 
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
For the Financial Period Ended * 31-12-2013
Description
Attachments
UnauditedFSYangiFundFY2013.pdf
Total size =833K
(2048K size limit recommended)




Wednesday, January 29, 2014

Company announcements: Yangi EURO S

Yangi EURO S - MISCELLANEOUS :: NAV PER UNIT AS AT 31 DECEMBER 2013: EUR133,844.55

Announcement Type: MISCELLANEOUS
Company: YANGI FUND
Stock Code/Name: R8P - Yangi EURO S

MISCELLANEOUS :: NAV PER UNIT AS AT 31 DECEMBER 2013: EUR133,844.55
* Asterisks denote mandatory information
Name of Announcer *YANGI FUND
Company Registration No.200010525H
Announcement submitted on behalf of YANGI FUND
Announcement is submitted with respect to *YANGI FUND
Announcement is submitted by *Lim Hui Hoon
Designation *Administrator
Date & Time of Broadcast29-Jan-2014 10:14:05
Announcement No.00026
 
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title *NAV per unit as at 31 December 2013: EUR133,844.55
Description
Please find below information on the net asset value (NAV) per unit for Yangi Fund (Fund):

NAV per unit as at 31 December 2013: EUR133,844.55
Attachments
Total size = 0K
(2048K size limit recommended)



Thursday, December 26, 2013

Company announcements: SPDR DJIA 10US$, STI ETF, GLD 10US$, Yangi EURO S, SPDR S&P500 10US$

SPDR DJIA 10US$ - MISCELLANEOUS :: RESUME QUOTING

Announcement Type: MISCELLANEOUS
Company: SPDR DJIA ETF TRUST
Stock Code/Name: D07 - SPDR DJIA 10US$

MISCELLANEOUS :: RESUME QUOTING
* Asterisks denote mandatory information
Name of Announcer *COMMERZBANK AKTIENGESELLSCHAFT
Company Registration No.
Announcement submitted on behalf of COMMERZBANK AKTIENGESELLSCHAFT
Announcement is submitted with respect to *SPDR DJIA ETF TRUST
Announcement is submitted by *PIERRE THIRIET
Designation *MARKET MAKER
Date & Time of Broadcast26-Dec-2013 12:33:38
Announcement No.00012
 
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title *RESUME QUOTING
Description
COMMERZBANK AKTIENGESELLSCHAFT IS RESUMING QUOTING ON SPDR DJIA ETF TRUST
Attachments
Total size = 0K
(2048K size limit recommended)



STI ETF - MISCELLANEOUS :: RESUME QUOTING

Announcement Type: MISCELLANEOUS
Company: STI ETF
Stock Code/Name: ES3 - STI ETF

MISCELLANEOUS :: RESUME QUOTING
* Asterisks denote mandatory information
Name of Announcer *COMMERZBANK AKTIENGESELLSCHAFT
Company Registration No.
Announcement submitted on behalf of COMMERZBANK AKTIENGESELLSCHAFT
Announcement is submitted with respect to *STI ETF
Announcement is submitted by *PIERRE THIRIET
Designation *MARKET MAKER
Date & Time of Broadcast26-Dec-2013 12:39:06
Announcement No.00015
 
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title *RESUME QUOTING
Description
COMMERZBANK AKTIENGESELLSCHAFT IS RESUMING QUOTING ON STI ETF
Attachments
Total size = 0K
(2048K size limit recommended)



GLD 10US$ - MISCELLANEOUS :: RESUME QUOTING

Announcement Type: MISCELLANEOUS
Company: SPDR GOLD SHARES
Stock Code/Name: O87 - GLD 10US$

MISCELLANEOUS :: RESUME QUOTING
* Asterisks denote mandatory information
Name of Announcer *COMMERZBANK AKTIENGESELLSCHAFT
Company Registration No.
Announcement submitted on behalf of COMMERZBANK AKTIENGESELLSCHAFT
Announcement is submitted with respect to *SPDR GOLD SHARES
Announcement is submitted by *PIERRE THIRIET
Designation *MARKET MAKER
Date & Time of Broadcast26-Dec-2013 12:35:35
Announcement No.00013
 
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title *RESUME QUOTING
Description
COMMERZBANK AKTIENGESELLSCHAFT IS RESUMING QUOTING ON SPDR GOLD SHARES ETF
Attachments
Total size = 0K
(2048K size limit recommended)



Yangi EURO S - MISCELLANEOUS :: NAV PER UNIT AS AT 30 NOVEMBER 2013: EUR131,118.03

Announcement Type: MISCELLANEOUS
Company: YANGI FUND
Stock Code/Name: R8P - Yangi EURO S

MISCELLANEOUS :: NAV PER UNIT AS AT 30 NOVEMBER 2013: EUR131,118.03
* Asterisks denote mandatory information
Name of Announcer *YANGI FUND
Company Registration No.200010525H
Announcement submitted on behalf of YANGI FUND
Announcement is submitted with respect to *YANGI FUND
Announcement is submitted by *Lim Hui Hoon
Designation *Administrator
Date & Time of Broadcast26-Dec-2013 11:59:23
Announcement No.00011
 
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title *NAV per unit as at 30 November 2013: EUR131,118.03
Description
Please find below information on the net asset value (NAV) per unit for Yangi Fund (Fund):

NAV per unit as at 30 November 2013: EUR131,118.03
Attachments
Total size = 0K
(2048K size limit recommended)



SPDR S&P500 10US$ - MISCELLANEOUS :: RESUME QUOTING

Announcement Type: MISCELLANEOUS
Company: SPDR S&P 500 ETF TRUST
Stock Code/Name: S27 - SPDR S&P500 10US$

MISCELLANEOUS :: RESUME QUOTING
* Asterisks denote mandatory information
Name of Announcer *COMMERZBANK AKTIENGESELLSCHAFT
Company Registration No.
Announcement submitted on behalf of COMMERZBANK AKTIENGESELLSCHAFT
Announcement is submitted with respect to *SPDR S&P 500 ETF TRUST
Announcement is submitted by *PIERRE THIRIET
Designation *MARKET MAKER
Date & Time of Broadcast26-Dec-2013 12:37:29
Announcement No.00014
 
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title *RESUME QUOTING
Description
COMMERZBANK AKTIENGESELLSCHAFT IS RESUMING QUOTING ON SPDR S&P 500 ETF TRUST
Attachments
Total size = 0K
(2048K size limit recommended)



Wednesday, October 23, 2013

Company announcements: SIA, Yangi EURO S

SIA - CHANGE IN CAPITAL :: SALE/TRANSFER/CANCELLATION AND/OR USE OF TREASURY SHARES :: NOTICE OF TRANSFER OF TREASURY SHARES

Announcement Type: CHANGE IN CAPITAL
Company: SINGAPORE AIRLINES LTD
Stock Code/Name: C6L - SIA

CHANGE IN CAPITAL :: SALE/TRANSFER/CANCELLATION AND/OR USE OF TREASURY SHARES :: NOTICE OF TRANSFER OF TREASURY SHARES
* Asterisks denote mandatory information
Name of Announcer * SINGAPORE AIRLINES LTD  
Company Registration No. 197200078R  
Announcement submitted on behalf of SINGAPORE AIRLINES LTD  
Announcement is submitted with respect to * SINGAPORE AIRLINES LTD  
Announcement is submitted by * Mrs Ethel Tan  
Designation * Company Secretary  
Date & Time of Broadcast 23-Oct-2013 14:59:44  
Announcement No. 00046  
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title * Notice of Transfer of Treasury Shares  
Specific shareholder's approval required? * No  
DescriptionPlease see attached file.  
Attachments
Total size = 17K
(2048K size limit recommended)



Yangi EURO S - MISCELLANEOUS :: NAV PER UNIT AS AT 30 SEPTEMBER 2013: EUR126,194.93

Announcement Type: MISCELLANEOUS
Company: YANGI FUND
Stock Code/Name: R8P - Yangi EURO S

MISCELLANEOUS
* Asterisks denote mandatory information
Name of Announcer * YANGI FUND  
Company Registration No. 200010525H  
Announcement submitted on behalf of YANGI FUND  
Announcement is submitted with respect to * YANGI FUND  
Announcement is submitted by * Lim Hui Hoon  
Designation * Administrator  
Date & Time of Broadcast 23-Oct-2013 15:10:10  
Announcement No. 00047  
>> ANNOUNCEMENT DETAILS
The details of the announcement start here ...
Announcement Title * NAV per unit as at 30 September 2013: EUR126,194.93  
Description
Please find below information on the net asset value (NAV) per unit for Yangi Fund (Fund):

NAV per unit as at 30 September 2013: EUR126,194.93  
Attachments
Total size = 0
(2048K size limit recommended)