SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES - (GEM) PRINTED: 18/07/01 PAGE: 1 SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT STOCK NAME : Excel Tech (08048) * ISC as at 17/07/01 : 1,000,000,000 Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest Note ------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- ----------------------------------------- ----------- ZEE CHAN MEI CHU PEGGY 13/07/01 1,5,6 576,521,544 579,512,044 PASSION INV (BVI) LTD 576,521,544 N1 STOCK NAME : Town Health (08138) * ISC as at 17/07/01 : 434,000,000 Name of Sub. Shareholder Date Reason Present Bal. Previous Bal. Share Jointly Held Corporate Interest Family Interest Note ------------------------ -------- ---------- --------------- --------------- ----------------------------------------- ----------------------------------------- ----------------------------------------- ----------- CHAN WING LOK BRIAN 12/07/01 180,475,846 152,475,846 ORIGIN LTD 180,475,846 N2 CHENG CHOR HO 12/07/01 180,475,846 152,475,846 ORIGIN LTD 180,475,846 N2 CHIK FU FAI 12/07/01 180,475,846 152,475,846 ORIGIN LTD 180,475,846 N2 CHO KAM LUK 12/07/01 180,475,846 152,475,846 ORIGIN LTD 180,475,846 N2 CHO KWAI CHEE 12/07/01 3,5,7 180,475,846 152,475,846 ORIGIN LTD 180,475,846 N2 FUNG YIU TONG BENNET 12/07/01 180,475,846 152,475,846 ORIGIN LTD 180,475,846 N2 LEUNG CHI SANG 12/07/01 180,475,846 152,475,846 ORIGIN LTD 180,475,846 N2 ORIGIN LIMITED 12/07/01 1,3,6 180,475,846 152,475,846 N2 * 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 2,990,500 shares transferred to employees pursuant to the Share Option Scheme at HK$0.0138 per share. N2 Please refer to the Company's announcement of 29 June 2001. |