Securities (Disclosure of Interests) Daily Summaries

 

 
                                                                                 SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                                                       PRINTED: 11/10/01  PAGE:   1
                                                                                      SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT

STOCK NAME :  Beijing Yanhua - H shares      (00325)        * ISC as at 10/10/01 :       1,012,000,000

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
FRANKLIN RESOURCES, INC- 04/10/01 1,3,4,5        141,277,700      151,429,700                                             TEMPLETON INV COUNSEL, -        8,757,700                                                       
.                                                                                                                         LLC                                        

                                                                                                                          TEMPLETON ASSET MANAGEM-      132,520,000                            
                                                                                                                          ENT LTD                                    

TEMPLETON ASSET MANAGEM- 04/10/01 1,3,5          132,520,000      151,354,000                                                                                                                                             
ENT LTD                                                                                                                                                              

TEMPLETON INTERNATIONAL- 04/10/01 1,3,4,5        132,520,000      151,354,000                                             TEMPLETON ASSET MANAGEM-      132,520,000                                                       
, INC.                                                                                                                    ENT LTD                                    

TEMPLETON WORLDWIDE, IN- 04/10/01 1,3,4,5        141,277,700      151,429,700                                             TEMPLETON INV COUNSEL, -        8,757,700                                                       
C.                                                                                                                        LLC                                        

                                                                                                                          TEMPLETON ASSET MANAGEM-      132,520,000                            
                                                                                                                          ENT LTD                                    

STOCK NAME :  China United                   (00273)        * ISC as at 10/10/01 :      27,924,394,622

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
CHUANG YUEHENG HENRY     03/10/01 1,3,4        3,049,202,364    2,995,202,364                                             RADFORD DEVELOPMENTS LT-    3,049,202,364  CHUANG NICHOLAS SEAN        3,049,202,364            
                                                                                                                          D                                                                 

STOCK NAME :  Four Seas Mer                  (00374)        * ISC as at 10/10/01 :         399,565,640

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
ADVANCE FINANCE INVESTM- 08/10/01 1,4            102,952,000      102,948,000                                             CAPITAL SEASON INV LTD        102,952,000                                                       
ENTS LIMITED                                                                                                                                                         

CAPITAL SEASON INVESTME- 08/10/01 1              102,952,000      102,948,000                                                                                                                                             
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: 11/10/01  PAGE:   2
                                                                                      SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT

STOCK NAME :  Four Seas Mer                  (00374)        * ISC as at 10/10/01 :         399,565,640

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
FOUR SEAS eFOOD HOLDING- 08/10/01 1,4            102,952,000      102,948,000                                             CAPITAL SEASON INV LTD        102,952,000                                                       
S LIMITED                                                                                                                                                            

STOCK NAME :  Kamboat                        (00318)        * ISC as at 10/10/01 :         460,000,000

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
CAMBO ENTERPRISES LIMIT- 09/10/01 1,2            345,000,000                0                                                                                                                                             
ED                                                                                                                                                                   

WONG CHI MAN             09/10/01 1,2            345,000,000                0                                             CAMBO ENTERPRISES LTD         345,000,000                                                       

STOCK NAME :  Karl Thomson                   (00007)        * ISC as at 10/10/01 :         460,000,000

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
LAM KWOK HING            09/10/01 1,3,5,7        287,758,000      287,710,000                                             J & A INV LTD                 287,758,000                                                       

STOCK NAME :  Manulife                       (00945)        * ISC as at 10/10/01 :         482,255,704

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
                                                                                                                                                                                                               N14        

STOCK NAME :  Miramar Hotel                  (00071)        * ISC as at 10/10/01 :         577,231,252

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
AYNBURY INVESTMENTS LIM- 03/10/01 3              237,689,250      234,390,250                                             HIGGINS HOLDINGS LTD          100,612,750                                                       
ITED                                                                                                                                                                 

                                                                                                                          MULTIGLADE HOLDINGS LTD        79,121,500                            


                    * 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: 11/10/01  PAGE:   3
                                                                                      SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT

STOCK NAME :  Miramar Hotel                  (00071)        * ISC as at 10/10/01 :         577,231,252

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
AYNBURY INVESTMENTS LIM- 03/10/01 3              237,689,250      234,390,250                                             THREADWELL LTD                 57,955,000                                                       
ITED                                                                                                                                                                 

HENDERSON DEVELOPMENT L- 03/10/01 3              237,689,250      234,390,250                                             HIGGINS HOLDINGS LTD          100,612,750                                                       
IMITED                                                                                                                                                               

                                                                                                                          MULTIGLADE HOLDINGS LTD        79,121,500                            

                                                                                                                          THREADWELL LTD                 57,955,000                            

HENDERSON INVESTMENT LI- 03/10/01 3              237,689,250      234,390,250                                             HIGGINS HOLDINGS LTD          100,612,750                                                       
MITED                                                                                                                                                                

                                                                                                                          MULTIGLADE HOLDINGS LTD        79,121,500                            

                                                                                                                          THREADWELL LTD                 57,955,000                            

HENDERSON LAND DEVELOPM- 03/10/01 3              237,689,250      234,390,250                                             HIGGINS HOLDINGS LTD          100,612,750                                                       
ENT COMPANY LIMITED                                                                                                                                                  

                                                                                                                          MULTIGLADE HOLDINGS LTD        79,121,500                            

                                                                                                                          THREADWELL LTD                 57,955,000                            

HOPKINS (CAYMAN) LIMITE- 03/10/01 3              237,689,250      234,390,250                                             HIGGINS HOLDINGS LTD          100,612,750                                                       
D                                                                                                                                                                    

                                                                                                                          MULTIGLADE HOLDINGS LTD        79,121,500                            

                                                                                                                          THREADWELL LTD                 57,955,000                            

KINGSLEE S.A.            03/10/01 3              237,689,250      234,390,250                                             HIGGINS HOLDINGS LTD          100,612,750                                                       


                    * 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: 11/10/01  PAGE:   4
                                                                                      SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT

STOCK NAME :  Miramar Hotel                  (00071)        * ISC as at 10/10/01 :         577,231,252

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
KINGSLEE S.A.            03/10/01 3              237,689,250      234,390,250                                             MULTIGLADE HOLDINGS LTD        79,121,500                                                       

                                                                                                                          THREADWELL LTD                 57,955,000                            

RIMMER (CAYMAN) LIMITED  03/10/01 3              237,689,250      234,390,250                                             HIGGINS HOLDINGS LTD          100,612,750                                                       

                                                                                                                          MULTIGLADE HOLDINGS LTD        79,121,500                            

                                                                                                                          THREADWELL LTD                 57,955,000                            

THREADWELL LIMITED       05/10/01 2               57,955,000             N.A.                                                                                                                                             

STOCK NAME :  Online Credit                  (00185)        * ISC as at 10/10/01 :       1,268,117,965

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
CHAN HENG FAI            03/10/01 1              378,930,843      378,900,843                                             HENG FAI CHINA & ASIA I-        8,535,276  CHAN YOKE KEOW                298,919,334            
                                                                                                                          NDUSTRIES LTD                                                     

                                                                                                                          BERMUDA TRUST (SOUTH PA-       59,733,600                            
                                                                                                                          CIFIC) LTD                                 

                                                                                                                          BPR HOLDINGS (BC) INC.         10,190,000                            

                                                                                                                          BRP HOLDINGS (FAR EAST)-            3,840                            
                                                                                                                           LTD                                       

                                                                                                                          PRIME STAR GROUP CO LTD       101,260,000                            

                                                                                                                          FIRST PACIFIC INT'L LTD       102,874,600                            

CHAN YOKE KEOW           03/10/01 1              378,930,843      378,900,843                                             BERMUDA TRUST (SOUTH PA-       59,733,600  CHAN HENG FAI                  80,011,509            
                                                                                                                          CIFIC) LTD                                                        


                    * 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: 11/10/01  PAGE:   5
                                                                                      SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT

STOCK NAME :  Online Credit                  (00185)        * ISC as at 10/10/01 :       1,268,117,965

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
CHAN YOKE KEOW           03/10/01 1              378,930,843      378,900,843                                             BPR HOLDINGS (BC) INC.         10,190,000                                                       

                                                                                                                          BPR HOLDINGS (FAR EAST)-            3,840                            
                                                                                                                           LTD                                       

                                                                                                                          PRIME STAR GROUP CO LTD       101,260,000                            

                                                                                                                          FIRST PACIFIC INT'L LTD       102,874,600                            

                                                                                                                          HENG FAI CHINA & ASIA I-        8,535,276                            
                                                                                                                          NDUSTRIES LTD                              

STOCK NAME :  S.A.S. Dragon                  (01184)        * ISC as at 10/10/01 :         230,140,720

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
UNIMICRO LIMITED         08/10/01 1,4             54,639,400       54,539,400                                                                                                                                             

YIM YUK LUN STANLEY      08/10/01 1,5             60,129,400       60,029,400                                             UNIMICRO LTD                   54,639,400                                                       

STOCK NAME :  South East GP                  (00726)        * ISC as at 10/10/01 :       3,305,718,800

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
KWEE CAHYADI KUMALA      07/08/01 1,3,5          116,500,000      376,500,000                                             PRESTBURY INCORPORATED -      116,500,000                                                       
                                                                                                                          LTD                                        

PRESTBURY INCORPORATED - 07/08/01 1,3,7          116,500,000      376,500,000                                                                                                                                             
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: 11/10/01  PAGE:   6
                                                                                      SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT

STOCK NAME :  TCC Int'l Hold                 (01136)        * ISC as at 10/10/01 :         795,474,000

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
TAIWAN CEMENT CORPORATI- 09/10/01 3              491,966,000      486,630,000                                             TCC INT'L LTD                 491,966,000                                                       
ON                                                                                                                                                                   

TCC INTERNATIONAL LIMIT- 09/10/01 3              491,966,000      486,630,000                                                                                                                                             
ED                                                                                                                                                                   

STOCK NAME :  Telecom Plus                   (01013)        * ISC as at 10/10/01 :       1,053,535,187

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
ABLE TECHNOLOGY LIMITED  09/10/01 4              182,702,000      180,222,000                                                                                                                                             

ZOU YISHANG              09/10/01 5              182,702,000      180,222,000                                             ABLE TECHNOLOGY LTD           182,702,000                                                       

STOCK NAME :  Tsingtao Brew - H shares       (00168)        * ISC as at 10/10/01 :         346,850,000

Name of Sub. Shareholder   Date     Reason    Present Bal.     Previous Bal.             Share Jointly Held                          Corporate Interest                          Family Interest                  Note
------------------------ -------- ---------- ---------------  ---------------  -----------------------------------------  -----------------------------------------  ----------------------------------------- -----------
FRANKLIN RESOURCES, INC- 05/10/01 1,3,4,5         72,901,000       72,597,000                                             TEMPLETON ASSET MANAGEM-       72,351,000                                                       
.                                                                                                                         ENT LTD                                    

                                                                                                                          FIDUCIARY TRUST CO INT'-          550,000                            
                                                                                                                          L                                          


                    * 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     Date of transaction : 10/07/98 - 06/05/99

N2     Date of transaction : 14/06/99 - 15/07/99

N3     Date of transaction : 20/11/98 - 04/06/99

N4     Wiltec Holdings Limited has changed its name to CCT Multimedia
       Holdings Limited with effect from 05/10/2000.

N5     Scrip Dividend

N6     Consideration per unit : $1.70 - $1.72

N7     Appointed as a director of the Company on 3 October 2001.

N8     With effect from 6th October 2001, the subscription price for the
       exercise of the warrants of MUI Hong Kong Ltd. ("MUI H.K.") has been
       adjusted from HK$0.20 per share to HK$0.19 per share as a result of
       the rights issue of MUI H.K. which is expected to be completed by
       end of October 2001.  Due to the aforesaid adjustment of subscription
       price, the number of shares issuable upon exercise of the warrants has
       been adjusted accordingly.

N9     Consideration per unit : $47.30 - $47.90

N10    Shares acquired on 8th October 2001 are duplicated with those
       disclosed by each of Mr. Thomas Kwok Ping Kwong and Raymond Kwok Ping
       Luen.

N11    Shares acquired on 8th October 2001 are duplicated with those
       disclosed by each of Mr. Walter Kwok Ping Sheung and Thomas Kwok Ping
       Kwong.

N12    Shares acquired on 8th October 2001 are duplicated with those
       disclosed by each of Mr. Walter Kwok Ping Sheung and Raymond Kwok
       Ping Luen.

N13    Consideration per unit : $0.53 - $0.55

N14    SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES
       SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT

       Stock Name: Manulife Financial Corporation (stock code: 945)
       *ISC as at 10/10/01 : 482,255,704

       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 arrange-
           ments 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 10/10/01 : 482,255,704

       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.