|
|
|
Securities (Disclosure of Interests) Daily Summaries |
|
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES PRINTED: 11/05/99 PAGE: 1
DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
(GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)
STOCK NAME : CCT Telecom (0138)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
CHENG YUK CHING G ORD CCT TELECOM HOLDINGS LIMITED 2,000,000 080298-070200 1.920 1
G ORD CCT TELECOM HOLDINGS LIMITED 2,000,000 270898-260800 2.000 1
STOCK NAME : JCG Holdings (0626)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
TEH HONG PIOW G OPT (RM) PUBLIC BANK BERHAD 250,000 100498-240203 1.660 1
STOCK NAME : Jet Air Int'l (0370)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
YU KAM CHING PETER G OPT JET AIR INTERNATIONAL GROUP LT- 1,000,000 050898-040203 0.238 1
D
STOCK NAME : N P H Int'l (0182)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
YAU WAI MING G ORD N P H INTERNATIONAL HOLDINGS L- 10,000,000 301097-291000 0.670 1
IMITED
STOCK NAME : Sa Sa Int'l (0178)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
TONG HANG CHAN PETER G ORD SA SA INTERNATIONAL HOLDINGS L- 1,620,000 070599-060509 0.648 1
TD
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES PRINTED: 11/05/99 PAGE: 2
DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
(GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)
STOCK NAME : Sa Sa Int'l (0178)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
CHEN EDWARD G ORD SA SA INTERNATIONAL HOLDINGS L- 3,240,000 070599-060509 0.648 1
TD
STOCK NAME : Vitasoy Int'l (0345)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
YU FAT E ORD VITASOY INTERNATIONAL HOLDINGS- 50,000 - - 0
LTD
STOCK NAME : Winton Holdings (0510)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
TEH HONG PIOW G OPT (RM) PUBLIC BANK BERHAD 250,000 100498-240203 1.660 1
***** END OF REPORT *****
NOTES:
N1 COSCO Pacific Ltd placed 87,311,767 new shares to COSCO
(Hong Kong) Group Ltd on 5 May 1999.
N2 Revised
N3 TST subscribed 334,773,000 shares in Sino Land pursuant to
a Top-up Subscription Agreement dated 22 April 1999 entered
into between TST and Sino Land. The subscription completed
on 5 May 1999.
N4 Expiry of warrants
N5 Received from the estate of F.S. Li
N6 Scrip Dividend
N7 Acquisitions were made from 28/04/99 to 04/05/99 at prices
ranging from RM2.73 to RM2.792 per share.
N8 Disposals were made from 28/04/99 to 04/05/99 at prices
ranging from RM3.54 to RM3.622 per share.
N9 Acquisitions were made from 30/04/99 to 03/05/99 at prices
ranging from $0.32 to $0.335 per share.
N10 Consideration per unit : $0.126 - $0.128
N11 Pursuant to a subscription agreement made between Wanon
International Holdings Limited ("Wanon") as the Issuer and
Yorkshire Finance Group Limited ("Yorkshire") as the
Subscriber on 6 May 1999 in relation to the subscription by
Yorkshire for 52,800,000 new shares in Wanon (the
"Shares"). The allotment and issue of the Shares to
Yorkshire is expected to be completed on 20 May 1999.
|
|
|