Securities (Disclosure of Interests) Daily Summaries

 

 

                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 09/04/01  PAGE:   1
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - A
                                                                        (ACTUAL TRANSACTIONS)

 STOCK NAME : Ananda Wing On                 (01189)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 CHAN YEUK WAI                         ORD                    ANANDA WING ON TRAVEL (HOLDING-  30/03/01    4,478,154,440   4,371,954,440  A         0.069   N4         
                                                              S) LTD                        

 CHAN YEUK PUN                         ORD                    ANANDA WING ON TRAVEL (HOLDING-  30/03/01    4,478,154,440   4,371,954,440  A         0.069   N4         
                                                              S) LTD                        

 STOCK NAME : Asean Resources                (00022)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 CHEUNG HON KIT                        ORD                    ASEAN RESOURCES HOLDINGS LTD       /  /                  0               0            0.000   N5         

                                       ORD                    PAUL Y. - ITC CONSTRUCTION HOL-  02/04/01              400            N.A.            0.000              
                                                              DINGS LTD                     

 STOCK NAME : Asia Orient                    (00214)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 POON JING                             ORD                    ASIA ORIENT HOLDINGS LTD         30/03/01    3,451,644,736   3,451,540,736  A         0.078              

 STOCK NAME : Asia Std Hotel                 (00292)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 POON JING                             ORD                    ASIA STANDARD HOTEL GROUP LIMI-    /  /      3,699,397,711   3,699,397,711            0.000              
                                                              TED                           

                                       WAR                    ASIA STANDARD HOTEL GROUP LIMI-    /  /        731,863,515     731,863,515            0.000              
                                                              TED                           

                                       ORD                    ASIA STANDARD INT'L GROUP LTD      /  /      2,200,836,680   2,200,836,680            0.000              
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 09/04/01  PAGE:   2
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - A
                                                                        (ACTUAL TRANSACTIONS)

 STOCK NAME : Asia Std Hotel                 (00292)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 POON JING                             WAR                    ASIA STANDARD INT'L GROUP LTD      /  /        440,334,815     440,334,815            0.000              

                                       ORD                    CENTOP INV LTD                     /  /                 20              20            0.000              

                                       ORD                    ASIA ORIENT HOLDINGS LTD         30/03/01    3,451,644,736   3,451,540,736  A         0.078              

 STOCK NAME : Bank of E Asia                 (00023)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 LI KWOK SING AUBREY                   ORD                    BANK OF EAST ASIA LTD.           29/03/01       30,403,673      30,097,607            0.000   N6  N7     

 STOCK NAME : CKI Holdings                   (01038)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 LI TZAR KUOI VICTOR                   ORD                    CHEUNG KONG INFRASTRUCTURE HOL-    /  /      1,912,109,945   1,912,109,945            0.000              
                                                              DINGS LTD                     

                                       ORD                    HUTCHISON WHAMPOA LTD            02/04/01    2,140,031,823   2,139,973,773  A         0.000   N13        

                                       ORD                    HONGKONG ELECTRIC HOLDINGS LTD     /  /        829,599,612     829,599,612            0.000              

                                       COMMON SH              HUSKY ENERGY INC.                  /  /        137,103,086     137,103,086            0.000              

                                       TRANSFERABLE WAR       HUSKY ENERGY INC.                25/08/00          631,037            N.A.  A         0.000   N14        

                                       7.00% NOTES DUE 2011   HUTCHISON WHAMPOA INT'L (01/11-    /  /       US$5,000,000    US$5,000,000            0.000              
                                                              ) LTD                         

                                       EQUITY-LINKED-NOTE     DEUTSCHE BANK AG ON HUTCHISON -  02/04/01             N.A.    HK$5,000,000  D         0.000   N13        
                                       CONVERSION PRICE       WHAMPOA LTD                   
                                       HK$86.175 DUE 04/01
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 09/04/01  PAGE:   3
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - A
                                                                        (ACTUAL TRANSACTIONS)

 STOCK NAME : CKI Holdings                   (01038)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 LI TZAR KUOI VICTOR                   EQUITY-LINKED-NOTE     KBC INTERNATIONALE FINANCIERIN-    /  /       HK$5,000,000    HK$5,000,000            0.000              
                                       CONVERSION PRICE       GSMAATSCHAPPIJ N.V. ON HUTCHISON
                                       HK$86.64 DUE 04/01     WHAMPOA LTD

 STOCK NAME : Cheung Kong (Holdings)         (00001)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 LI TZAR KUOI VICTOR                   ORD                    CHEUNG KONG (HOLDINGS) LTD.        /  /        772,425,406     772,425,406            0.000              

                                       ORD                    HUTCHISON WHAMPOA LTD            02/04/01    2,140,031,823   2,139,973,773  A         0.000   N13        

                                       ORD                    CHEUNG KONG INFRASTRUCTURE HOL-    /  /      1,912,109,945   1,912,109,945            0.000              
                                                              DINGS LTD                     

                                       8.15% NOTES DUE 2002   CHEUNG KONG FINANCE CAYMAN LTD     /  /      HK$25,000,000   HK$25,000,000            0.000              

                                       7.00% NOTES DUE 2011   HUTCHISON WHAMPOA INT'L (01/11-    /  /       US$5,000,000    US$5,000,000            0.000              
                                                              ) LTD                         

                                       EQUITY-LINKED NOTE     DEUTSCHE BANK AG ON HUTCHISON -  02/04/01             N.A.    HK$5,000,000  D         0.000   N13        
                                       CONVERSION PRICE       WHAMPOA LTD
                                       HK$86.175 DUE 04/01

                                       EQUITY-LINKED-NOTE     KBC INTERNATIONALE FINANCIERIN-    /  /       HK$5,000,000    HK$5,000,000            0.000              
                                       CONVERSION PRICE       GSMAATSCHAPPIJ N.V. ON HUTCHISON
                                       HK$86.64 DUE 04/01     WHAMPOA LTD

                                       EQUITY-LINKED-NOTE     DEUTSCHE BANK AG LONDON BRANCH-    /  /      HK$10,000,000   HK$10,000,000            0.000
                                       CONVERSION PRICE       ON CHEUNG KONG (HOLDINGS) LTD
                                       HK$72.225 DUE 05/01

                                       EQUITY-LINKED-NOTE     DEUTSCHE BANK AG LONDON BRANCH-    /  /       HK$5,000,000    HK$5,000,000            0.000              
                                       CONVERSION PRICE       ON CHEUNG KONG (HOLDINGS) LTD
                                       HK$72.00 DUE 05/01
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 09/04/01  PAGE:   4
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - A
                                                                        (ACTUAL TRANSACTIONS)

 STOCK NAME : Chevalier Cons                 (00579)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 CHOW YEI CHNG                         ORD                    CHEVALIER CONSTRUCTION HOLDING-    /  /        128,201,933     128,201,933            0.000              
                                                              S LTD                         

                                       ORD                    CHEVALIER INT'L HOLDINGS LTD       /  /        615,445,993     615,445,993            0.000              

                                       ORD                    CHEVALIER iTECH HOLDINGS LTD     30/03/01      465,697,936     548,477,936  D         0.000   N2         

                                       ORD                    CHEVALIER SINGAPORE HOLDINGS L-    /  /         84,375,000      84,375,000            0.000              
                                                              TD                            

 STOCK NAME : Chevalier Int'l                (00025)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 CHOW YEI CHING                        ORD                    CHEVALIER INTERNATIONAL HOLDIN-    /  /        615,445,993     615,445,993            0.000              
                                                              GS LTD.                       

                                       ORD                    CHEVALIER iTECH HOLDINGS LTD     30/03/01      465,697,936     548,477,936  D         0.000   N2         

                                       ORD                    CHEVALIER SINGAPORE HOLDINGS L-    /  /         84,375,000      84,375,000            0.000              
                                                              TD                            

                                       ORD                    CHEVALIER CONSTRUCTION HOLDING-    /  /        128,201,933     128,201,933            0.000              
                                                              S LTD                         

 STOCK NAME : Chevalier iTech                (00508)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 CHOW YEI CHING                        ORD                    CHEVALIER iTECH HOLDINGS LTD     30/03/01      465,697,936     548,477,936  D         0.000   N2         

                                       ORD                    CHEVALIER INT'L HOLDINGS LTD       /  /        615,445,993     615,445,993            0.000              
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 09/04/01  PAGE:   5
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - A
                                                                        (ACTUAL TRANSACTIONS)

 STOCK NAME : Chevalier iTech                (00508)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 CHOW YEI CHING                        ORD                    CHEVALIER SINGAPORE HOLDINGS L-    /  /         84,375,000      84,375,000            0.000              
                                                              TD                            

                                       ORD                    CHEVALIER CONSTRUCTION HOLDING-    /  /        128,201,933     128,201,933            0.000              
                                                              S LTD                         

 STOCK NAME : Daiwa Associate                (01037)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 LAU TAK WAN                           ORD                    DAIWA ASSOCIATE HOLDINGS LTD     30/03/01       23,439,300      23,433,300  A         0.620              

                                       ORD                    DAIWA ASSOCIATE HOLDINGS LTD     30/03/01       23,459,300      23,439,300  A         0.640              

                                       NON-VOTING DEFERRED -  COSMOS WIRES AND CONNECTORS MA-    /  /             50,000          50,000            0.000              
                                       SH                     NUFACTURING LTD               

                                       NON-VOTING DEFERRED -  WESTPAC DIGITAL LTD                /  /                  1               1            0.000              
                                       SH                                                   

                                       NON-VOTING DEFERRED -  VASTPOINT INDUSTRIAL LTD           /  /            455,000         455,000            0.000              
                                       SH                                                   

                                       NON-VOTING DEFERRED -  DAIWA ASSOCIATE (HK) LTD           /  /          1,500,000       1,500,000            0.000              
                                       SH                                                   

                                       NON-VOTING DEFERRED -  COSMOTEC PRECISION INDUSTRIAL -    /  /            150,000         150,000            0.000              
                                       SH                     LTD                           

 CHAN YUEN MEI PINKY                   ORD                    DAIWA ASSOCIATE HOLDINGS LTD     30/03/01       22,339,300      22,333,300  A         0.620              

                                       ORD                    DAIWA ASSOCIATE HOLDINGS LTD     30/03/01       22,359,300      22,339,300  A         0.640              
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 09/04/01  PAGE:   6
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - A
                                                                        (ACTUAL TRANSACTIONS)

 STOCK NAME : Daiwa Associate                (01037)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 CHAN YUEN MEI PINKY                   NON-VOTING DEFERRED -  COSMOTEC PRECISION INDUSTRIAL -    /  /             10,000          10,000            0.000              
                                       SH                     LTD                           

 STOCK NAME : Gold Peak                      (00040)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 LO CHUNG WAI PAUL                     ORD                    GOLD PEAK INDUSTRIES (HOLDINGS-    /  /         18,486,518      18,486,518            0.000              
                                                              ) LTD.                        

                                       WAR                    GOLD PEAK INDUSTRIES (HOLDINGS-    /  /          1,848,651       1,848,651            0.000              
                                                              ) LTD.                        

                                       ORD                    GP BATTERIES INT'L LTD             /  /             80,000          80,000            0.000              

 STOCK NAME : HSBC Holdings                  (00005)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 FLINT DOUGLAS JARDINE                 ORD US$0.50 (GBP)      HSBC HOLDINGS PLC                03/04/01          163,524         162,686  A         8.290   N8         

 DE CROISSET CHARLES FRANCIS WIENER    ORD US$0.50            HSBC HOLDINGS PLC                03/04/01       39,858,647      39,871,647  D         0.000   N9  N10    

 STOCK NAME : Henderson Investment           (00097)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 LEE SHAU KEE                          ORD                    HENDERSON INVESTMENT LTD.        30/03/01    2,102,638,943   2,099,039,943  A         5.550   N11        

                                       ORD                    AMANWANA LTD                       /  /                  5               5            0.000              

                                       ORD                    ANGELFIELD LTD                     /  /                  1               1            0.000              
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 09/04/01  PAGE:   7
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - A
                                                                        (ACTUAL TRANSACTIONS)

 STOCK NAME : Henderson Investment           (00097)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 LEE SHAU KEE                          ORD                    APPLEGATE CO LTD                   /  /              5,000           5,000            0.000              

                                       ORD                    BEST HOMES LTD                     /  /             13,000          13,000            0.000              

                                       ORD                    BEST RICH INT'L TRADING LTD        /  /                  8               8            0.000              

                                       ORD                    BETA COURT LTD                     /  /                425             425            0.000              

                                       ORD                    BILLION VENTURES LTD               /  /                  1               1            0.000              

                                       ORD                    BOONEVILLE CO LTD                  /  /                  1               1            0.000              

                                       ORD                    CENTRAL WATERFRONT PROPERTY IN-    /  /                 50              50            0.000              
                                                              V HOLDINGS LTD                

                                       ORD                    CERTAIN HOLDINGS LTD               /  /                  8               8            0.000              

                                       ORD                    CHINA INV GROUP LTD                /  /            192,200         192,200            0.000              

                                       ORD                    CHOIFORM LTD                       /  /              7,280           7,280            0.000              

                                       ORD                    CHRONICLE GAIN LTD                 /  /                550             550            0.000              

                                       ORD                    COSMOS RICH DEV LTD                /  /                  5               5            0.000              

                                       ORD                    COTECH INV LTD                     /  /          9,681,000       9,681,000            0.000              

                                       ORD                    COUNTRY LINK ENTERPRISES LTD       /  /              2,875           2,875            0.000              

                                       ORD                    CROWN TRUTH LTD                    /  /                 80              80            0.000              

                                       ORD                    DAILY WIN DEV LTD                  /  /                100             100            0.000              
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 09/04/01  PAGE:   8
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - A
                                                                        (ACTUAL TRANSACTIONS)

 STOCK NAME : Henderson Investment           (00097)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 LEE SHAU KEE                          ORD                    DRINKWATER INV LTD                 /  /             78,038          78,038            0.000              

                                       ORD                    DRAGON PACIFIC DEV LTD             /  /                  7               7            0.000              

                                       ORD                    EVERISE (H.K.) LTD                 /  /                  2               2            0.000              

                                       DEFERRED SH            FEEL CONCEPT DEV LTD               /  /              6,000           6,000            0.000              

                                       ORD                    FESWIN INV LTD                     /  /              5,000           5,000            0.000              

                                       ORD                    FLEETMAN INV LTD                   /  /                700             700            0.000              

                                       ORD                    FLORA PLAZA MANAGEMENT LTD         /  /                  6               6            0.000              

                                       ORD                    FORDLEY INV LTD                    /  /              7,000           7,000            0.000              

                                       ORD                    FRECO LTD                          /  /                 45              45            0.000              

                                       ORD                    GAIN BASE DEV LTD                  /  /                750             750            0.000              

                                       ORD                    GOODFIT INT'L INV LTD              /  /                  8               8            0.000              

                                       ORD                    HAPPY PROFIT INV LTD               /  /              5,000           5,000            0.000              

                                       ORD                    HARBOUR ALLIANCE LTD               /  /              5,500           5,500            0.000              

                                       ORD                    HARDON INT'L FINANCE LTD           /  /                  6               6            0.000              

                                       ORD                    HARVEST DEV LTD                    /  /                 50              50            0.000              

                                       ORD                    HARVEST OCEAN INV LTD              /  /              7,500           7,500            0.000              

                                       ORD                    HEYIELD ESTATE LTD                 /  /                 80              80            0.000              
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 09/04/01  PAGE:   9
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - A
                                                                        (ACTUAL TRANSACTIONS)

 STOCK NAME : Henderson Investment           (00097)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 LEE SHAU KEE                          ORD                    HENDERSON CHINA HOLDINGS LTD       /  /        290,608,477     290,608,477            0.000              

                                       ORD                    HENDERSON CYBER LTD                /  /      4,245,169,992   4,245,169,992            0.000              

                                       ORD A                  HENDERSON DEV LTD                  /  /              8,190           8,190            0.000              

                                       NON-VOTING DEFERRED -  HENDERSON DEV LTD                  /  /         50,000,000      50,000,000            0.000              
                                       SH                                                   

                                       NON-VOTING B SH        HENDERSON DEV LTD                  /  /              3,510           3,510            0.000              

                                       ORD                    HENDERSON LAND DEV CO LTD          /  /      1,120,352,300   1,120,352,300            0.000              

                                       ORD                    HANG SENG QUARRY CO LTD            /  /              6,400           6,400            0.000              

                                       ORD                    HENFIELD PROPERTIES LTD            /  /              6,000           6,000            0.000              

                                       ORD                    HENG FAI CONCRETE LTD              /  /            600,000         600,000            0.000              

                                       ORD                    HONG KONG FERRY (HOLDINGS) CO -    /  /        118,162,310     118,162,310            0.000              
                                                              LTD                           

                                       ORD                    HUMBLE RICH INV LTD                /  /                  8               8            0.000              

                                       ORD                    JADE LAND RESOURCES LTD            /  /                  1               1            0.000              

                                       ORD                    KEI FUNG INV CO LTD                /  /             50,000          50,000            0.000              

                                       ORD                    LAND FORTUNE DEV LTD               /  /                  5               5            0.000              

                                       ORD                    LANE SUCCESS DEV LTD               /  /              9,500           9,500            0.000              

                                       ORD                    LEVELGOLD LTD                      /  /                  8               8            0.000              
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 09/04/01  PAGE:  10
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - A
                                                                        (ACTUAL TRANSACTIONS)

 STOCK NAME : Henderson Investment           (00097)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 LEE SHAU KEE                          ORD                    LINDEN DEV LTD                     /  /              8,500           8,500            0.000              

                                       ORD                    LUCKY COUNTRY DEV LTD              /  /                  1               1            0.000              

                                       ORD                    LUCKY GAIN DEV LTD                 /  /              5,000           5,000            0.000              

                                       ORD                    LUXRICH LTD                        /  /                  8               8            0.000              

                                       ORD                    MING DRAGON LTD                    /  /                518             518            0.000              

                                       ORD                    MANDY INV CO LTD                   /  /                  1               1            0.000              

                                       ORD                    MARKREAL INV LTD                   /  /                  1               1            0.000              

                                       ORD                    MAXFINE DEV LTD                    /  /              1,525           1,525            0.000              

                                       ORD                    MAXON INV LTD                      /  /                  2               2            0.000              

                                       ORD                    MIGHTYPATTERN LTD                  /  /                200             200            0.000              

                                       ORD                    MILLION FAME DEV LTD               /  /                  5               5            0.000              

                                       ORD                    MILLION METRO INV LTD              /  /              7,000           7,000            0.000              

                                       ORD                    MIRAMAR HOTEL AND INV CO LTD       /  /        228,201,250     228,201,250            0.000              

                                       ORD                    MONDALE INV CO LTD                 /  /              5,000           5,000            0.000              

                                       ORD                    NEWFOUNDWORLD LTD                  /  /                 20              20            0.000              

                                       ORD                    NSW (HOLDINGS) LTD                 /  /                 50              50            0.000              

                                       ORD                    PACIFIC JUMBO DEV LTD              /  /                  1               1            0.000              
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 09/04/01  PAGE:  11
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - A
                                                                        (ACTUAL TRANSACTIONS)

 STOCK NAME : Henderson Investment           (00097)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 LEE SHAU KEE                          ORD                    PETTYSTAR INV LTD                  /  /              3,038           3,038            0.000              

                                       ORD                    PERLIN DEV LTD                     /  /                  5               5            0.000              

                                       ORD                    PERFECT LUCK ENTERPRISES LTD       /  /                  1               1            0.000              

                                       ORD                    PRIME CHAMP LTD                    /  /                  5               5            0.000              

                                       ORD                    PRIMELAND INV LTD                  /  /                 95              95            0.000              

                                       ORD                    PURE JADE LTD                      /  /                200             200            0.000              

                                       ORD                    POCHETTE INV LTD                   /  /              1,860           1,860            0.000              

                                       ORD                    QUICKCENTRE PROPERTIES LTD         /  /                  1               1            0.000              

                                       ORD                    RACINE INV LTD                     /  /                  3               3            0.000              

                                       ORD                    RIUNITE ENTERPRISES INC.           /  /                  2               2            0.000              

                                       ORD                    SHELLSON INT'L LTD                 /  /                 75              75            0.000              

                                       ORD                    SHINNING WORLDWIDE LTD             /  /                450             450            0.000              

                                       ORD                    SHIU KIEN DEV CO LTD               /  /              1,416           1,416            0.000              

                                       NON-VOTING DEFERRED -  SHIU KIEN DEV CO LTD               /  /            141,600         141,600            0.000              
                                       SH                                                   

                                       ORD                    SIN CHENG HOLDINGS PTE LTD         /  /            792,000         792,000            0.000              

                                       ORD                    SINOGOOD FINANCE CO LTD            /  /                 90              90            0.000              
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 09/04/01  PAGE:  12
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - A
                                                                        (ACTUAL TRANSACTIONS)

 STOCK NAME : Henderson Investment           (00097)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 LEE SHAU KEE                          ORD                    SIU MING DEV CO LTD                /  /                240             240            0.000              

                                       ORD                    SMART BRIGHT DEV LTD               /  /                 60              60            0.000              

                                       ORD                    SOLAR CLASSICS LTD                 /  /             75,000          75,000            0.000              

                                       ORD                    STANDWOOD HOLDINGS LTD             /  /                  8               8            0.000              

                                       ORD                    STAR PLAY DEV LTD                  /  /                  1               1            0.000              

                                       ORD                    SWEET VIEW PROPERTIES LTD          /  /            200,000         200,000            0.000              

                                       ORD                    TEAM GLORY DEV LTD                 /  /                  8               8            0.000              

                                       ORD                    TECHNO FACTOR (DEV) LTD            /  /          2,575,000       2,575,000            0.000              

                                       ORD                    TECHNO FACTOR (INT'L) LTD          /  /                  1               1            0.000              

                                       ORD                    THE HONG KONG AND CHINA GAS CO-    /  /      1,785,325,588   1,785,325,588            0.000              
                                                               LTD                          

                                       ORD                    TOPCYCLE DEV LTD                   /  /                  1               1            0.000              

                                       ORD                    TOPFOLD INT'L DEV LTD              /  /                  8               8            0.000              

                                       ORD                    TRENCA INT'L LTD                   /  /              5,000           5,000            0.000              

                                       ORD                    TRIPLE WIDE CO LTD                 /  /             10,000          10,000            0.000              
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 09/04/01  PAGE:  13
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - A
                                                                        (ACTUAL TRANSACTIONS)

 STOCK NAME : Hutchison                      (00013)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 LI TZAR KUOI VICTOR                   ORD                    HUTCHISON WHAMPOA LTD.           02/04/01    2,140,031,823   2,139,973,773  A         0.000   N13        

                                       ORD                    HONGKONG ELECTRIC HOLDINGS LTD     /  /        829,599,612     829,599,612            0.000              

                                       ORD                    CHEUNG KONG INFRASTRUCTURE HOL-    /  /      1,912,109,945   1,912,109,945            0.000              
                                                              DINGS LTD                     

                                       ORD                    TOM.COM LTD                        /  /      1,392,000,000   1,392,000,000            0.000              

                                       COMMON SH              HUSKY ENERGY INC.                  /  /        137,103,086     137,103,086            0.000              

                                       TRANSFERABLE WAR       HUSKY ENERGY INC.                25/08/00          631,037            N.A.  A         0.000   N14        

                                       7.00% NOTES DUE 2011   HUTCHISON WHAMPOA INT'L (01/11-    /  /       US$5,000,000    US$5,000,000            0.000              
                                                              ) LTD                         

                                       EQUITY-LINKED-NOTE     DEUTSCHE BANK AG ON HUTCHISON -  02/04/01             N.A.    HK$5,000,000  D         0.000   N13        
                                       CONVERSION PRICE       WHAMPOA LTD
                                       HK$86.175 DUE 04/01

                                       EQUITY-LINKED-NOTE     KBC INTERNATIONALE FINANCIERIN-    /  /       HK$5,000,000    HK$5,000,000            0.000              
                                       CONVERSION PRICE       GSMAATSCHAPPIJ N.V. ON HUTCHISON
                                       HK$86.64 DUE 04/01     WHAMPOA LTD

 STOCK NAME : Hysan Dev                      (00014)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 MOY CHI KUNG MICHAEL                  ORD                    HYSAN DEVELOPMENT CO., LTD.      04/04/01           52,000          22,000  A        10.500              

 STOCK NAME : Manulife                       (00945)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
                                                                                                                                                            N16        
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 09/04/01  PAGE:  14
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - A
                                                                        (ACTUAL TRANSACTIONS)

 STOCK NAME : Pricerite Group                (00996)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 KWAN PAK HOO BANKEE                   ORD                    PRICERITE GROUP LTD              26/03/01                0     320,000,000  D         0.350   N3         

                                       ORD                    PRICERITE GROUP LTD              26/03/01      435,132,000               0  A         0.350   N3         

                                       ORD                    CELESTIAL ASIA SECURITIES HOLD-    /  /      3,374,579,709            N.A.            0.000              
                                                              INGS LTD                      

                                       WAR                    CELESTIAL ASIA SECURITIES HOLD-    /  /     $159,976,285.3            N.A.            0.000              
                                                              INGS LTD                      

                                       ORD                    CASH ON-LINE LTD                   /  /      1,086,619,945            N.A.            0.000              

 LIN CHIH CHEIH SIDNEY                 ORD                    PRICERITE GROUP LTD              26/03/01        7,500,000     122,632,000  D         0.350   N3         

                                       ORD                    CELESTIAL ASIA SECURITIES HOLD-  26/03/01      134,320,667               0  A         0.300   N3         
                                                              INGS LTD                      

 STOCK NAME : SAINT HONORE                   (00192)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 CHAN KA SHUN RAYMOND                  ORD                    SAINT HONORE HOLDINGS LIMITED    02/04/01          172,500         212,500  D         0.630              

                                       ORD                    HONG KONG CATERING MANAGEMENT -  02/04/01          690,000         850,000  D         0.630              
                                                              LTD                           

 STOCK NAME : Shanghai Ind H                 (00363)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 GU WEN XING                           ORD                    SHANGHAI INDUSTRIAL HOLDINGS L-    /  /                  0               0            0.000              
                                                              TD                            
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 09/04/01  PAGE:  15
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - A
                                                                        (ACTUAL TRANSACTIONS)

 STOCK NAME : Sino Golf Hold                 (00361)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 CHU CHUN MAN AUGUSTINE                ORD                    SINO GOLF HOLDINGS LIMITED       03/04/01      205,566,038     205,486,038  A         0.520              

 STOCK NAME : Yau Lee Hold.                  (00406)

      Director/Chief Executive                Class                   Company Name            Tran. Date   Present Bal.   Previous Bal.  A/D Consideration     Note
 ------------------------------------  ---------------------  ------------------------------- ---------- --------------- --------------- --- -------------  -----------
 WONG IP KUEN                          ORD                    YAU LEE HOLDINGS LTD.            04/04/01      223,713,599     223,617,599  A         0.379              

                                                                     *****  END OF REPORT  *****


NOTES:

N1     Please refer to the Company announcement of 4 April 2001.

N2     Due to members' voluntary winding up, all the shares in Chevalier
       iTech Holdings Limited were distributed in specie to the existing
       shareholders of Cokin Limited ("Cokin").  Accordingly, Dr Chow Yei
       Ching ceased to have deemed interest in Cokin.

N3     Please refer to the Company announcement of 13/02/01 and 26/03/01.

N4     Consideration per unit : $0.067 - $0.071

N5     Appointed as a director of the Company on 2 April 2001.

N6     Revised

N7     Scrip Dividend

N8     Acquisition/Investment in Individual Savings Account (ISA) for
       2000/2001.

N9     Disposal by the Trustee of HSBC Holdings General Employee Benefit
       Trust.

N10    Consideration per share : 13 HSBC Ordinary shares of US$0.50 each for
                                 each Credit Commercial de France share of
                                 Euro 5 each.

N11    Acquisitions were made from 30/03/01 to 03/04/01 at prices ranging
       from $5.45 to $5.65 per share.

N12    Options granted by Credit Commercial de France ("CCF") which,
       following the success of the offer for CCF, have vested.  When these
       options are excercised the CCF shares issued will be exchangeable in
       the same ratio as for the acquisition of CCF - 13 HSBC Holdings plc
       Ordinary Shares of US$0.50 each for 1 CCF share.

N13    The Equity-Linked-Note ("ELN") of HK$5,000,000 issued by Deutsche
       Bank AG on Hutchison Whampoa Limited for a total consideration of
       HK$4,918,000 has matured and the same has been redeemed into 58,050
       shares of Hutchison Whampoa Limited at the strike price of HK$86.175
       each on 2nd April 2001 according to the terms and conditions of the
       ELN.

N14    By a plan of arrangement regarding the merger between Husky Oil Ltd
       ("Husky Oil") and its subsidiaries with Renaissance Energy Limited
       ("Renaissance") under which the shareholders of Husky Oil and the
       shareholders of Renaissance have exchanged their shareholding in their
       respective companies for shares and transferable warrants in a new
       company, Husky Energy Inc.  Husky Energy Inc. now owns all the issued
       shares in Husky Oil and Renaissance.  The shares of Husky Energy Inc.
       are being listed on the Toronto Stock Exchange.

N15    SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES
       SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT

       Stock Name: Manulife Financial Corporation (stock code: 945)
       *ISC as at 03/04/01 : 482,165,131

       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.

N16    SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES
       DIRECTORS' AND CHIEF EXECUTIVES' NOTIFICATIONS REPORT
  
       Stock Name: Manulife Financial Corporation (stock code: 945)
       *ISC as at 03/04/01 : 482,165,131

       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.