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Securities (Disclosure of Interests) Daily Summaries
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SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 19/02/01 PAGE: 1
DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
(GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)
STOCK NAME : Asia Tele-Net (00679)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
LAM KWOK HING G OPT ASIA TELE-NET AND TECHNOLOGY C- 43,000,000 171100-161103 0.056 0
ORPORATION LIMITED
LAM KWOK YAN G OPT ASIA TELE-NET AND TECHNOLOGY C- 43,000,000 171100-161103 0.056 0
ORPORATION LIMITED
STOCK NAME : Giordano Int'l (00709)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
FUNG WING CHEONG CHARLES G ORD GIORDANO INTERNATIONAL LIMITED 800,000 300598-280505 2.150 0
G ORD GIORDANO INTERNATIONAL LIMITED 300,000 080701-280505 4.460 0
G ORD GIORDANO INTERNATIONAL LIMITED 300,000 080702-280505 4.460 0
G ORD GIORDANO INTERNATIONAL LIMITED 300,000 080703-280505 4.460 0
STOCK NAME : Gold Peak (00040)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
LO CHUNG WING VICTOR G ORD GOLD PEAK INDUSTRIES (HOLDINGS- 1,250,000 120500-110505 1.410 1
) LTD.
G ORD (S$) GP INDUSTRIES LTD 300,000 140402-130410 0.456 1
G ORD (S$) CLIPSAL INDUSTRIES (HOLDINGS) - 200,000 250502-240510 2.025 1
LTD
CHAU KWOK WAI G ORD CLIPSAL INDUSTRIES (HOLDINGS) - 140,000 120599-120503 US$1.300 S$1
LTD
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 19/02/01 PAGE: 2
DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
(GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)
STOCK NAME : Gold Peak (00040)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
CHAU KWOK WAI G ORD CLIPSAL INDUSTRIES (HOLDINGS) - 20,000 291099-291003 US$0.819 S$1
LTD
G ORD (S$) CLIPSAL INDUSTRIES (HOLDINGS) - 160,000 250502-240510 2.025 1
LTD
LO SIEW KIONG JOHN G ORD CLIPSAL INDUSTRIES (HOLDINGS) - 110,000 250502-240510 US$2.025 S$1
LTD
LEUNG PAK CHUEN G ORD GP INDUSTRIES LTD 120,000 030298-0202020 US$0.600 S$1
G ORD GP INDUSTRIES LTD 260,000 020800-010804 US$0.410 S$1
G ORD (S$) GP INDUSTRIES LTD 240,000 140402-130410 0.456 1
WONG WAI KAN RAYMOND G ORD GP BATTERIES INT'L LTD 25,000 160198-150102 US$0.331 S$1
G ORD (S$) GP BATTERIES INT'L LTD 25,000 290798-280702 4.448 1
G ORD (S$) GP BATTERIES INT'L LTD 120,000 060800-050804 3.080 1
G ORD (S$) GP BATTERIES INT'L LTD 120,000 170301-160310 1.410 1
G ORD (S$) GP BATTERIES INT'L LTD 130,000 111002-101010 1.600 1
G ORD (S$) CLIPSAL INDUSTRIES (HOLDINGS) - 40,000 250502-240510 1.913 1
LTD
G ORD GP INDUSTRIES LTD 80,000 030298-020202 US$0.600 S$1
G ORD GP INDUSTRIES LTD 80,000 230799-220703 US$0.300 S$1
G ORD GP INDUSTRIES LTD 130,000 020800-010804 US$0.410 S$1
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 19/02/01 PAGE: 3
DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
(GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)
STOCK NAME : Gold Peak (00040)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
WONG WAI KAN RAYMOND G ORD (S$) GP INDUSTRIES LTD 110,000 140402-130410 0.456 1
LO CHUNG WAI PAUL G ORD GOLD PEAK INDUSTRIES (HOLDINGS- 625,000 120500-110505 1.410 1
) LTD.
G ORD GP BATTERIES INT'L LTD 70,000 160198-150102 US$3.312 S$1
G ORD (S$) GP BATTERIES INT'L LTD 70,000 290798-280702 4.448 1
KU YUK HING RICHARD G ORD GP BATTERIES INT'L LTD 60,000 160198-150102 US$3.312 S$1
G ORD (S$) GP BATTERIES INT'L LTD 60,000 290798-280702 4.448 1
G ORD (S$) BP BATTERIES INT'L LTD 200,000 060800-050804 3.080 1
G ORD (S$) GP BATTERIES INT'L LTD 180,000 170301-160310 1.410 1
G ORD (S$) GP BATTERIES INT'L LTD 180,000 111002-101010 1.600 1
NG SUNG ON ANDREW G ORD GOLD PEAK INDUSTRIES (HOLDINGS- 1,000,000 120500-110505 1.410 1
) LTD.
G ORD GP BATTERIES INT'L LTD 70,000 160198-150102 US$3.312 S$1
G ORD (S$) GP BATTERIES INT'L LTD 70,000 290798-280702 4.448 1
G ORD (S$) GP BATTERIES INT'L LTD 220,000 060800-050804 3.080 1
G ORD (S$) GP BATTERIES INT'L LTD 200,000 170301-160310 1.410 1
G ORD (S$) GP BATTERIES INT'L LTD 200,000 111002-101010 1.600 1
CHUANG SIU LEUNG ANDREW G ORD GOLD PEAK INDUSTRIES (HOLDINGS- 625,000 120500-110505 1.410 1
) LTD.
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 19/02/01 PAGE: 4
DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
(GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)
STOCK NAME : Gold Peak (00040)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
CHUANG SIU LEUNG ANDREW G ORD GP INDUSTRIES LTD 80,000 030298-020202 US$0.600 S$1
G ORD GP INDUSTRIES LTD 80,000 230799-220703 US$0.300 S$1
G ORD GP INDUSTRIES LTD 130,000 020800-010804 US$0.410 S$1
G ORD (S$) GP INDUSTRIES LTD 110,000 140402-130410 0.456 1
STOCK NAME : Hanny Holdings (00275)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
LUI SIU TSUEN RICHARD G ORD HANNY HOLDINGS LIMITED 10,000,000 270100-271101 1.064 1
G ORD HANNY HOLDINGS LIMITED 15,000,000 140800-271101 0.402 1
STOCK NAME : LS High-Tech (00606)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
WONG SHI LING G ORD LEADING SPIRIT HIGH-TECH (HOLD- 150,000,000 230100-220102 0.100 1
INGS) CO LTD
G ORD LEADING SPIRIT HIGH-TECH (HOLD- 70,000,000 290700-280702 0.210 1
INGS) CO LTD
STOCK NAME : Lai Sun Garment (Int'l) (00191)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
LEE PO ON MARK G ORD eSUN HOLDINGS LTD 4,000,000 050900-040902 7.000 10
LEE PO ON MARK G ORD eSUN HOLDINGS LTD 6,000,000 050900-040902 6.094 10 N7
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 19/02/01 PAGE: 5
DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
(GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)
STOCK NAME : MAE Holdings (00851)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
HO WING YUK G ORD MAE HOLDINGS LIMITED 8,250,000 121099-091108 0.210 1
G ORD MAE HOLDINGS LIMITED 6,400,000 240900-091108 0.090 1
STOCK NAME : New World Dev (00017)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
LEUNG CHI KIN STEWART G ORD NEW WORLD INFRASTRUCTURE LTD 120,000 010799-010604 10.200 10
G ORD NEW WORLD INFRASTRUCTURE LTD 150,000 010700-010604 12.000 10
G ORD NEW WORLD INFRASTRUCTURE LTD 150,000 010701-010604 12.000 10
G ORD NEW WORLD INFRASTRUCTURE LTD 180,000 010702-010604 12.000 10
G ORD NEW WORLD CHINA LAND LTD 100,000 080301-070306 1.955 10
G ORD NEW WORLD CHINA LAND LTD 100,000 080302-070306 1.955 10
G ORD NEW WORLD CHINA LAND LTD 100,000 080303-070306 1.955 10
G ORD NEW WORLD CHINA LAND LTD 100,000 080304-070306 1.955 10
G ORD NEW WORLD CHINA LAND LTD 100,000 080305-070306 1.955 10
CHENG KAR SHUN G ORD NEW WORLD INFRASTRUCTURE LTD 600,000 010799-010604 10.200 10
G ORD NEW WORLD INFRASTRUCTURE LTD 750,000 010700-010604 12.000 10
G ORD NEW WORLD INFRASTRUCTURE LTD 750,000 010701-010604 12.000 10
G ORD NEW WORLD INFRASTRUCTURE LTD 900,000 010702-010604 12.000 10
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 19/02/01 PAGE: 6
DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
(GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)
STOCK NAME : New World Dev (00017)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
CHENG KAR SHUN G ORD NEW WORLD CYBERBASE LTD 5,000,000 170800-160802 0.566 0
G ORD NEW WORLD CYBERBASE LTD 5,000,000 170201-160802 0.566 0
G ORD NEW WORLD CYBERBASE LTD 7,500,000 170801-160802 0.566 0
G ORD NEW WORLD CYBERBASE LTD 7,500,000 170202-160802 0.566 0
G ORD NEW WORLD CHINA LAND LTD 1,000,000 080301-070306 1.955 10
G ORD NEW WORLD CHINA LAND LTD 1,000,000 080302-070306 1.955 10
G ORD NEW WORLD CHINA LAND LTD 1,000,000 080303-070306 1.955 10
G ORD NEW WORLD CHINA LAND LTD 1,000,000 080304-070306 1.955 10
G ORD NEW WORLD CHINA LAND LTD 1,000,000 080305-070306 1.955 10
STOCK NAME : Pacific Ports (00659)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
CHAN WING TAK DOUGLAS G ORD NEW WORLD CHINA LAND LTD 100,000 130301-120306 1.955 10
G ORD NEW WORLD CHINA LAND LTD 100,000 130302-120306 1.955 10
G ORD NEW WORLD CHINA LAND LTD 100,000 130303-130306 1.955 10
G ORD NEW WORLD CHINA LAND LTD 100,000 130304-120306 1.955 10
G ORD NEW WORLD CHINA LAND LTD 100,000 130305-120306 1.955 10
DOO WAI HOI WILLIAM G ORD NEW WORLD CHINA LAND LTD 700,000 090301-080306 1.955 10
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 19/02/01 PAGE: 7
DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
(GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)
STOCK NAME : Pacific Ports (00659)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
DOO WAI HOI WILLIAM G ORD NEW WORLD CHINA LAND LTD 700,000 090302-080306 1.955 10
G ORD NEW WORLD CHINA LAND LTD 700,000 090303-080306 1.955 10
G ORD NEW WORLD CHINA LAND LTD 700,000 090304-080306 1.955 10
G ORD NEW WORLD CHINA LAND LTD 700,000 090305-080306 1.955 10
STOCK NAME : Shui On Cons (00983)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
WONG YUET LEUNG FRANKIE G ORD SHUI ON CONSTRUCTION AND MATER- 80,000 250701-240702 7.500 1
IALS LTD
G ORD SHUI ON CONSTRUCTION AND MATER- 48,000 150701-140703 4.140 1
IALS LTD
G ORD SHUI ON CONSTRUCTION AND MATER- 200,000 070100-060704 11.210 1
IALS LTD
G ORD SHUI ON CONSTRUCTION AND MATER- 200,000 040101-030705 9.560 1
IALS LTD
***** END OF REPORT *****
NOTES:
N1 Please refer to the Company's announcement of 16 February 2001.
N2 Bonus Issue
N3 The exercise price of the warrants has been adjusted from $0.42 per share
to $0.36 per share as a result of the rights issue.
N4 Acquisitions were made from 07/02/01 to 09/02/01 at prices ranging from
$0.186 to $0.190 per share.
N5 Consideration per unit : $1.57 -$1.62
N6 Mr. Zhou Mingchen ceased to have deemed corporate interests in the
shareholding held by China National Cereals, Oils & Foodstuffs Import
& Export Corporation in Top Glory Int'l Holdings Ltd and China Foods
Holdings Ltd.
N7 The number of securities("Quantity") and the unit price to be paid for
securities ("Ex. Price") are adjusted following the completion of the
Rights Issue of 1 for 2.
N8 A) Completion had taken place on 9 February 2001 pursuant to a Sale and
Purchase Agreement dated 31 January 2001 (as amended by a Supplemental
Agreement dated as of the same date) and Mr. Jurgen A. Friedrich ("JF")
acquired from Worldwide Thousand Ltd ("WTL") 130,713,826 Shares at the
price of HK$8.65 per Share.
B) Completion had taken place on 9 February 2001 pursuant to a Sale and
Purchase Agreement dated 31 January 2001 (as amended by a Supplemental
Agreement dated as of the same date) and Anke Beck-Friedrich, the spouse
of JF acquired from WTL 51,401 Shares at the price of HK$8.65 per Share.
N9 On 13 February 2001, McMahon David transferred 2,500,000 shares in iRegent
Group Limited to the David McMahon Personal Pension Fund, of which he is
the sole beneficiary, at HK$0.280 per share. Accordingly, an aggregate of
5,000,000 shares in iRegent Group Limited are held by the David McMahon
Personal Pension Fund.
N10 SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
Stock Name: Manulife Financial Corporation (stock code: 945)
*ISC as at 14/02/01 : 482,164,881
The Securities and Futures Commission has granted Manulife Financial
Corporation ("MFC") a partial exemption from compliance with the
Securities (Disclosure of Interests) Ordinance pursuant to guidelines
published under section 2A of the Ordinance. Under the partial
exemption, MFC is not required to prepare registers, maintain records
or file, and MFC's corporate insiders are not required to file, with
Hong Kong regulatory authorities disclosure of interest reports
pursuant to the Ordinance on the condition that MFC will file with
the SEHK disclosures of interests made in Canada and the U.S. where
it maintains primary listings.
1. Under Canadian law, 10% shareholders of MFC have to file reports to
the Ontario Securities Commission ("OSC"). Reports made by 10%
shareholders, if any, can be found in OSC website www.sedar.com.
MFC has agreed to monitor the OSC Weekly Bulletin and Insider Early
Warning Report Press Releases every two weeks and if any reports by
or concerning 10% shareholders and filed, MFC will provide a hard
copy to the SEHK for inspection by the Hong Kong public. So far,
the SEHK has not received any such reports from MFC.
2. Under U.S. law, 5% shareholders of MFC have to file reports to the
U.S. Securities and Exchange Commission ("SEC") pursuant to Schedule
13G/13D of the Securities and Exchange Act 1934 of the United States.
Up-to-date reports made by 5% shareholders, if any, can be found in
SEC website at www.sec.gov. MFC has agreed to monitor the SEC
website every two weeks and if any reports on 5% shareholders are
filed, MFC will provide a hard copy to the SEHK for inspection by
the Hong Kong public. So far, the SEHK has not received any such
reports from MFC.
3. Hard copies of filings or reports provided by MFC under paragraphs 1
and 2 above (if any) are available for inspection at the SEHK's
office at 11/F., One International Finance Centre, 1 Harbour View
Street, Central, Hong Kong, and upon request in writing to MFC at
MFC's office at Manulife Plaza, The Lee Gardens, 48th Floor, 33
Hysan Avenue, Causeway Bay, Hong Kong. For enquiries or arrangements
regarding inspection at the SEHK please contact the SEHK SDI Unit
(Mr. Chan (2840-3707) or Miss Tsui (2840-3769)).
* ISC refers to the latest Issued Share Capital of the listed company
recorded by the Exchange as at the date of this summaries. It might
not promptly reflect changes caused by share placements, rights issue,
bonus issue, etc. Readers should exercise caution when using these
figures.
N11 SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES
DIRECTORS' AND CHIEF EXECUTIVES' NOTIFICATIONS REPORT
Stock Name: Manulife Financial Corporation (stock code: 945)
*ISC as at 14/02/01 : 482,164,881
The Securities and Futures Commission has granted Manulife Financial
Corporation ("MFC") a partial exemption from compliance with the
Securities (Disclosure of Interests) Ordinance pursuant to guidelines
published under section 2A of the Ordinance. Under the partial
exemption, MFC is not required to prepare registers, maintain records
or file, and MFC's corporate insiders are not required to file, with
Hong Kong regulatory authorities disclosure of interest reports
pursuant to the Ordinance on the condition that MFC will file with
the SEHK disclosures of interests made in Canada and the U.S. where
it maintains primary listings.
1. Under Canadian law, "insiders" including directors of MFC have
to file reports to the Ontario Securities Commission ("OSC")
in Form 55 pursuant to the Ontario Securities Act. No Form 55
filings have been made by MFC today.
2. MFC is presently a "foreign private issuer" under U.S. law. As
such, no directors of MFC are required to make any disclosure of
interests filings under the Securities Exchange Act 1934 of the
United States.
* ISC refers to the latest Issued Share Capital of the listed company
recorded by the Exchange as at the date of this summaries. It might
not promptly reflect changes caused by share placements, rights issue,
bonus issue, etc. Readers should exercise caution when using these
figures.
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