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Securities (Disclosure of Interests) Daily Summaries |
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SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 09/10/00 PAGE: 1
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
STOCK NAME : Asia Orient (00214) * ISC as at 03/10/00 : 7,491,321,498
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
POON JING 27/09/00 N1 3,373,526,736 2,249,017,824 FULL SPEED INV LTD 447,269,976 WONG MEI LING SUZANNE 34,002,000
HESTON HOLDINGS LTD 660,485,880
TEDDINGTON HOLDINGS LTD 792,829,080
TEDDINGTON HOLDINGS LIM- 27/09/00 N1 792,829,080 528,552,720
ITED
STOCK NAME : Asia Standard Int'l (00129) * ISC as at 03/10/00 : 4,090,192,180
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
ASIA ORIENT COMPANY LIM- 27/09/00 N1 2,198,254,130 1,318,952,485 IMPETUS HOLDINGS LTD 8,358,035
ITED
PHATOM INV LTD 26,923,860
BASSINDALE LTD 81,000,395
PAN BRIGHT INV LTD 113,684,774
PAN SPRING INV LTD 159,320,630
PAN KITE INV LTD 113,684,775
PAN INN INV LTD 113,684,774
PAN PEARL INV LTD 113,684,774
PAN HARBOUR INV LTD 182,777,708
OCEAN HAND INV LTD 170,527,160
* 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.
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 09/10/00 PAGE: 2
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
STOCK NAME : Asia Standard Int'l (00129) * ISC as at 03/10/00 : 4,090,192,180
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
ASIA ORIENT COMPANY LIM- 27/09/00 2,198,254,130 1,318,952,485 UNION HOME DEV LTD 1,080,583
ITED
ASIA ORIENT CO LTD 1,082,989,164
HITAKO LTD 16,666
PERSIAN LTD 30,520,832
ASIA ORIENT HOLDINGS (B- 27/09/00 N1 2,198,254,130 1,318,952,485 IMPETUS HOLDINGS LTD 8,358,035
VI) LIMITED
PHATOM INV LTD 26,923,860
BASSINDALE LTD 81,000,395
PAN BRIGHT INV LTD 113,684,774
PAN SPRING INV LTD 159,320,630
PAN KITE INV LTD 113,684,775
PAN INN INV LTD 113,684,774
PAN PEARL INV LTD 113,684,774
PAN HARBOUR INV LTD 182,777,708
OCEAN HAND INV LTD 170,527,160
UNION HOME DEV LTD 1,080,583
ASIA ORIENT CO LTD 1,082,989,164
* 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.
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 09/10/00 PAGE: 3
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
STOCK NAME : Asia Standard Int'l (00129) * ISC as at 03/10/00 : 4,090,192,180
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
ASIA ORIENT HOLDINGS (B- 27/09/00 2,198,254,130 1,318,952,485 HITAKO LTD 16,666
VI) LIMITED
PERSIAN LTD 30,520,832
ASIA ORIENT HOLDINGS LI- 27/09/00 N1 2,198,254,130 1,318,952,485 IMPETUS HOLDINGS LTD 8,358,035
MITED
PHATOM INV LTD 26,923,860
BASSINDALE LTD 81,000,395
PAN BRIGHT INV LTD 113,684,774
PAN SPRING INV LTD 159,320,630
PAN KITE INV LTD 113,684,775
PAN INN INV LTD 113,684,774
PAN PEARL INV LTD 113,684,774
PAN HARBOUR INV LTD 182,777,708
OCEAN HAND INV LTD 170,527,160
UNION HOME DEV LTD 1,080,583
ASIA ORIENT CO LTD 1,082,989,164
HITAKO LTD 16,666
PERSIAN LTD 30,520,832
* 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.
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 09/10/00 PAGE: 4
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
STOCK NAME : Asia Standard Int'l (00129) * ISC as at 03/10/00 : 4,090,192,180
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
IMPETUS HOLDINGS LIMITE- 27/09/00 N1 1,084,727,468 650,836,485 IMPETUS HOLDINGS LTD 8,358,035
D
PHATOM INV LTD 26,923,860
BASSINDALE LTD 81,000,395
PAN BRIGHT INV LTD 113,684,774
PAN SPRING INV LTD 159,320,630
PAN KITE INV LTD 113,684,775
PAN INN INV LTD 113,684,774
PAN PEARL INV LTD 113,684,774
PAN HARBOUR INV LTD 182,777,708
OCEAN HAND INV LTD 170,527,160
UNION HOME DEV LTD 1,080,583
KINGFISHER INC. 27/09/00 N1 968,445,178 581,067,110 PAN BRIGHT INV LTD 113,684,774
PAN SPRING INV LTD 159,320,630
PAN KITE INV LTD 113,684,775
PAN PEARL INV LTD 113,684,774
PAN HARBOUR INV LTD 182,777,708
* 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.
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 09/10/00 PAGE: 5
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
STOCK NAME : Asia Standard Int'l (00129) * ISC as at 03/10/00 : 4,090,192,180
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
KINGFISHER INC. 27/09/00 968,445,178 581,067,110 OCEAN HAND INV LTD 170,527,160
UNION HOME DEV LTD 1,080,583
LIPTON INVESTMENT LIMIT- 27/09/00 N1 968,445,178 581,067,110 PAN BRIGHT INV LTD 113,684,774
ED
PAN SPRING INV LTD 159,320,630
PAN KITE INV LTD 113,684,775
PAN INN INV LTD 113,684,774
PAN PEARL INV LTD 113,684,774
PAN HARBOUR INV LTD 182,777,708
OCEAN HAND INV LTD 170,527,160
UNION HOME DEV LTD 1,080,583
POON JING 27/09/00 N1 2,201,674,130 1,321,004,485 IMPETUS HOLDINGS LTD 8,358,035
PHATOM INV LTD 26,923,860
BASSINDALE LTD 81,000,395
PAN BRIGHT INV LTD 113,684,774
PAN SPRING INV LTD 159,320,630
PAN KITE INV LTD 113,684,775
* 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.
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 09/10/00 PAGE: 6
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
STOCK NAME : Asia Standard Int'l (00129) * ISC as at 03/10/00 : 4,090,192,180
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
POON JING 27/09/00 2,201,674,130 1,321,004,485 PAN INN INV LTD 113,684,774
PAN PEARL INV LTD 113,684,774
PAN HARBOUR INV LTD 182,777,708
OCEAN HAND INV LTD 170,527,160
UNION HOME DEV LTD 1,080,583
ASIA ORIENT CO LTD 1,082,989,164
HITAKO LTD 16,666
PERSIAN LTD 30,520,832
STOCK NAME : Asia Std Hotel (00292) * ISC as at 03/10/00 : 5,000,000,000
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
ASIA ORIENT COMPANY LIM- 27/09/00 N2 3,659,071,335 731,814,267 BASSINDALE LTD 5,831,940
ITED
PAN KITE INV LTD 8,185,200
PAN HARBOUR INV LTD 13,159,970
PAN SPRING INV LTD 11,471,090
PAN BRIGHT INV LTD 8,185,300
PAN INN INV LTD 8,185,070
* 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.
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 09/10/00 PAGE: 7
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
STOCK NAME : Asia Std Hotel (00292) * ISC as at 03/10/00 : 5,000,000,000
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
ASIA ORIENT COMPANY LIM- 27/09/00 3,659,071,335 731,814,267 PAN PEARL INV LTD 8,185,305
ITED
OCEAN HAND INV LTD 12,277,920
UNION HOME DEV LTD 77,630
ASIA ORIENT CO LTD 78,772,980
HITAKO LTD 1,200
PERSIAN LTD 2,197,440
PHATOM INV LTD 1,938,515
ASIA STANDARD INT'L LTD 3,495,000,000
THE SAI GROUP LTD 5,000,000
IMPETUS HOLDINGS LTD 601,775
ASIA ORIENT HOLDINGS (B- 27/09/00 N2 3,659,071,335 731,814,267 BASSINDALE LTD 5,831,940
VI) LIMITED
PAN KITE INV LTD 8,185,200
PAN HARBOUR INV LTD 13,159,970
PAN SPRING INV LTD 11,471,090
PAN BRIGHT INV LTD 8,185,300
PAN INN INV LTD 8,185,070
* 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.
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 09/10/00 PAGE: 8
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
STOCK NAME : Asia Std Hotel (00292) * ISC as at 03/10/00 : 5,000,000,000
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
ASIA ORIENT HOLDINGS (B- 27/09/00 3,659,071,335 731,814,267 PAN PEARL INV LTD 8,185,305
VI) LIMITED
OCEAN HAND INV LTD 12,277,920
UNION HOME DEV LTD 77,630
ASIA ORIENT CO LTD 78,772,980
HITAKO LTD 1,200
PERSIAN LTD 2,197,440
PHATOM INV LTD 1,938,515
ASIA STANDARD INT'L LTD 3,495,000,000
THE SAI GROUP LTD 5,000,000
IMPETUS HOLDINGS LTD 601,775
ASIA ORIENT HOLDINGS LI- 27/09/00 N2 3,659,071,335 731,814,267 BASSINDALE LTD 5,831,940
MITED
PAN KITE INV LTD 8,185,200
PAN HARBOUR INV LTD 13,159,970
PAN SPRING INV LTD 11,471,090
PAN BRIGHT INV LTD 8,185,300
PAN INN INV LTD 8,185,070
* 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.
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 09/10/00 PAGE: 9
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
STOCK NAME : Asia Std Hotel (00292) * ISC as at 03/10/00 : 5,000,000,000
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
ASIA ORIENT HOLDINGS LI- 27/09/00 3,659,071,335 731,814,267 PAN PEARL INV LTD 8,185,305
MITED
OCEAN HAND INV LTD 12,277,920
UNION HOME DEV LTD 77,630
ASIA ORIENT CO LTD 78,772,980
HITAKO LTD 1,200
PERSIAN LTD 2,197,440
PHATOM INV LTD 1,938,515
ASIA STANDARD INT'L LTD 3,495,000,000
THE SAI GROUP LTD 5,000,000
IMPETUS HOLDINGS LTD 601,775
ASIA STANDARD INTERNATI- 27/09/00 N2 3,500,000,000 700,000,000 ASIA STANDARD INT'L LTD 3,495,000,000
ONAL GROUP LIMITED
TEH SAI GROUP LTD 5,000,000
ASIA STANDARD INTERNATI- 27/09/00 N2 3,495,000,000 699,000,000
ONAL LIMITED
POON JING 27/09/00 N2 3,659,317,575 731,863,515 BASSINDALE LTD 5,831,940
PAN KITE INV LTD 8,185,200
* 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.
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 09/10/00 PAGE: 10
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
STOCK NAME : Asia Std Hotel (00292) * ISC as at 03/10/00 : 5,000,000,000
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
POON JING 27/09/00 3,659,317,575 731,863,515 PAN HARBOUR INV LTD 13,159,970
PAN SPRING INV LTD 11,471,090
PAN BRIGHT INV LTD 8,185,300
PAN INN INV LTD 8,185,070
PAN PEARL INV LTD 8,185,305
OCEAN HAND INV LTD 12,277,920
UNION HOME DEV LTD 77,630
ASIA ORIENT CO LTD 78,772,980
HITAKO LTD 1,200
PERSIAN LTD 2,197,440
PHATOM INV LTD 1,938,515
ASIA STANDARD INT'L LTD 3,495,000,000
THE SAI GROUP LTD 5,000,000
IMPETUS HOLDINGS LTD 601,775
STOCK NAME : China DigiC (01197) * ISC as at 03/10/00 : 16,819,053,651
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
DEUTSCHE BANK AG 29/09/00 1,4 N7 2,913,000,000 1,200,000,000 DB INV (GB) LTD 2,913,000,000
* 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.
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 09/10/00 PAGE: 11
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
STOCK NAME : China Internet (00235) * ISC as at 03/10/00 : 4,609,789,420
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
CHAN KWOK KEUNG CHARLES 28/09/00 1,2,5,6 804,400,000 N.A. GREAT DECISION LTD 804,400,000
CHINAVIEW INTERNATIONAL- 28/09/00 1,2,4,5 804,400,000 N.A. GREAT DECISION LTD 804,400,000
LIMITED
GALAXYWAY INVESTMENTS L- 28/09/00 1,2,4,5 804,400,000 N.A. GREAT DECISION LTD 804,400,000
IMITED
GREAT DECISION LIMITED 28/09/00 1,2,5 804,400,000 N.A.
HOLLYFIELD GROUP LIMITE- 28/09/00 1,2,4,5 804,400,000 N.A. GREAT DECISION LTD 804,400,000
D
ITC CORPORATION LIMITED 28/09/00 1,2,4,5 804,400,000 N.A. GREAT DECISION LTD 804,400,000
PAUL Y.-ITC CONSTRUCTIO- 28/09/00 1,2,4,5 804,400,000 N.A. GREAT DECISION LTD 804,400,000
N HOLDINGS LIMITED
PAUL Y.-ITC CONSTRUCTIO- 28/09/00 1,2,4,5 804,400,000 N.A. GREAT DECISION LTD 804,400,000
N HOLDINGS (B.V.I.) LIM-
ITED
PAUL Y.-ITC INVESTMENTS- 28/09/00 1,2,4,5 804,400,000 N.A. GREAT DECISION LTD 804,400,000
GROUP LIMITED
STOCK NAME : Four Seas Mer (00374) * ISC as at 03/10/00 : 399,565,640
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
ADVANCE FINANCE INVESTM- 21/09/00 1,4 96,678,000 96,228,000 CAPITAL SEASON INV LTD 96,678,000
ENTS LIMITED
CAPITAL SEASON INVESTME- 21/09/00 1 96,678,000 96,228,000
NTS LIMITED
* 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.
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 09/10/00 PAGE: 12
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
STOCK NAME : Four Seas Mer (00374) * ISC as at 03/10/00 : 399,565,640
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
FOUR SEAS EFOOD HOLDING- 21/09/00 1,4 96,678,000 96,228,000 ADVANCE FINANCE INV LTD 96,678,000
S LIMITED
STOCK NAME : Four Seas eFood (00060) * ISC as at 03/10/00 : 247,820,000
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
SPECIAL ACCESS LIMITED 22/09/00 1 53,661,250 53,411,250
STOCK NAME : IDT Int'l (00167) * ISC as at 03/10/00 : 1,974,458,872
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
CHAN RAYMOND 25/09/00 1 N3 901,408,144 845,489,525 INTEGRATED DISPLAY TECH- 842,275,225 CHAN PAU SHIU YENG SHIR- 238,328,920
NOLOGY LTD LEY
INTEGRATED DISPLAY TECH- 25/09/00 1 842,275,225 790,024,901
NOLOGY LIMITED
STOCK NAME : KPI Company (00605) * ISC as at 03/10/00 : 564,433,557
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
CHEUNG SIU LAM 27/09/00 1,3 223,020,000 220,820,000 ARBALICE HOLDINGS LTD 57,600,000
STOCK NAME : Manulife (00945) * ISC as at 03/10/00 : 482,005,387
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
N14
* 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.
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 09/10/00 PAGE: 13
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
STOCK NAME : Mei Ah Enter (00391) * ISC as at 03/10/00 : 771,124,200
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
KUO HSING HOLDINGS LIMI- 27/09/00 1,3 115,975,170 115,965,170
TED
LI KUO HSING 28/09/00 7 131,943,920 131,933,920 KUO HSING HOLDINGS LTD 115,975,170 LI PIK LIN 12,656,250
STOCK NAME : Miramar Hotel (00071) * ISC as at 03/10/00 : 577,231,252
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
LEE SHAU KEE 28/09/00 1,5 209,577,250 207,317,250 HIGGINS HOLDINGS LTD 100,612,750
MULTIGLADE HOLDINGS LTD 79,121,500
THREADWELL LTD 29,843,000
STOCK NAME : OSK Asia Corp (00555) * ISC as at 03/10/00 : 600,000,000
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
DCP HOLDINGS LIMITED 28/09/00 1,2,4,5 84,650,572 N.A. OCEAN INFORMATION (BVI)- 84,650,572
LTD
OCEAN INFORMATION (BVI)- 28/09/00 1,2 84,650,572 N.A.
LIMITED
STOCK NAME : Prosper eVision (00979) * ISC as at 03/10/00 : 550,145,732
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
BEST FORTUNE CAPITAL LI- 21/09/00 4 N4 290,186,000 288,168,000 GOLD CHIEF INV LTD 290,186,000
MITED
CHINA BROADBAND CORPORA- 21/09/00 4 N4 290,186,000 288,168,000 GOLD CHIEF INV LTD 290,186,000
TION LIMITED
* 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.
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 09/10/00 PAGE: 14
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
STOCK NAME : Prosper eVision (00979) * ISC as at 03/10/00 : 550,145,732
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
GOLD CHIEF INVESTMENT L- 21/09/00 1,3 N4 290,186,000 288,168,000
IMITED
STOCK NAME : Sa Sa Int'l (00178) * ISC as at 03/10/00 : 1,347,115,172
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
KWOK SIU MING 03/10/00 6 918,270,400 917,770,400 SUNRISE HEIGHT INCORPOR- 696,780,000
ATED
GREEN RAVINE LTD 201,726,400
STOCK NAME : Sun Tel Cyber (00307) * ISC as at 03/10/00 : 5,824,215,989
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
WU ZHENG BRUNO 28/09/00 1,3,4 2,328,122,572 3,000,000,000 GLOBAL FREQUENT LTD 2,328,122,572 YANG LAN 2,328,122,572
YANG LAN 28/09/00 1,3,5 2,328,122,572 3,000,000,000 GLOBAL FREQUENT LTD 2,328,122,572
STOCK NAME : TCC Int'l Hold (01136) * ISC as at 03/10/00 : 805,558,000
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
TAIWAN CEMENT CORPORATI- 03/10/00 3 483,424,000 475,766,000 TCC INT'L LTD 483,424,000
ON
TCC INTERNATIONAL LIMIT- 03/10/00 3 483,424,000 475,766,000
ED
* 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.
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - PRINTED: 09/10/00 PAGE: 15
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
STOCK NAME : YGM Trading (00375) * ISC as at 03/10/00 : 154,873,792
Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest
------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- -----------------------------------------
CHAN SUI KAU 03/10/00 5 72,971,632 72,960,632 YANGTZEKIANG INV CO (PA- 3,840,820 CHAN LAM MOON CHUN 214,368
NAMA) LTD INC
CHAN SUK LING SHIRLEY 03/10/00 5 66,891,716 66,880,716 CHOW WATT HEEM 16,000
CHAN WING FUI PETER 03/10/00 5 67,778,720 67,767,720 CHAN ARUNEE 100,000
CHAN WING KEE 03/10/00 5 72,013,832 72,002,832 CHAN FUNG KIT CHING 819,404
CHAN WING MING MICHAEL 03/10/00 5 65,954,380 65,943,380
CHAN WING SUN SAMUEL 03/10/00 5 67,976,724 67,965,724
CHAN WING TO 03/10/00 5 71,371,388 71,360,388
* 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.
***** END OF REPORT *****
NOTES:
N1 Bonus Issue
N2 Subdivision of shares.
N3 Scrip Dividend
N4 Date of transaction : 21/09/00 - 27/09/00
N5 Appointed as an executive director of the Company with effect from
29/09/00.
N6 Initial disclosure for appointment as director on 3 October 2000.
N7 The notice is concerning about a Legal Mortgage dated 11 November 1998
(the "Legal Mortgage") over 1,200,000,000 ordinary shares ("CDC Shares")
in China DigiContent Company Limited (formerly Leading Spirit Conrowa
Electric Company Limited) granted by Leading Spirit High-Tech (Holdings)
Company Limited (formerly Leading Spirit (Holdings) Limited Company Limited)
in favour of DB Trustees (Hong Kong) Limited (formerly DT Trustees (Hong Kong)
Limited)(the "Trustee") as security trustee for certain banks and financial
institutions (the "Beneficiaries"). The number of CDC Shares subject to the
Legal Mortgage has now been increased to 2,913,000,000 CDC Shares by virtue
of the transfer to the Trustee on 29th September 2000 of an additional
1,713,000,000 CDC Shares.
N8 Acquisitions were made from 28/09/00 to 03/10/00 at prices ranging from
$4.975 to $5.150 per share.
N9 Acquisitions were made from 28/09/00 to 03/10/00 at prices ranging from
$4.925 to $5.100 per share.
N10 Acquisitions were made from 27/09/00 to 28/09/00 at prices ranging from
$0.179 to $0.190 per share.
N11 Appointed as director on 15/09/00.
N12 Exercise of share options.
N13 Consideration per unit : S$0.270 - S$0.275
N14 SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES
SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT
Stock Name: Manulife Financial Corporation (stock code: 945)
*ISC as at 03/10/00 : 482,005,387
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.
N15 SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES
DIRECTORS' AND CHIEF EXECUTIVES' NOTIFICATIONS REPORT
Stock Name: Manulife Financial Corporation (stock code: 945)
*ISC as at 03/10/00 : 482,005,387
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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