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Securities (Disclosure of Interests) Daily Summaries |
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SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES PRINTED: 13/08/99 PAGE: 1
DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
(GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)
STOCK NAME : Cafe de Coral H (0341)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
LO PIK LING ANITA G ORD CAFE DE CORAL HOLDINGS LTD. 300,000 010396-280201 1.820 0
STOCK NAME : Four Seas Mer (0374)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
MAN WING CHEUNG ELLIS G OPT FOUR SEAS FROZEN FOOD HOLDINGS- 700,000 081098-261102 0.620 0
LTD
STOCK NAME : Gold Peak (0040)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
NG SUNG ON ANDREW G ORD CLIPSAL INDUSTRIES (HOLDINGS) - 30,000 171196-161100 US$2.350 S$1
LTD
G ORD GP BATTERIES INT'L LTD 80,000 220895-210899 US$3.016 S$1
G ORD GP BATTERIES INT'L LTD 65,000 170796-160700 US$2.538 S$1
G ORD GP BATTERIES INT'L LTD 70,000 160198-150102 US$3.312 S$1
G ORD (S$) GP BATTERIES INT'L LTD 70,000 290798-280702 4.448 1
G ORD (S$) GP BATTERIES INT'L LTD 220,000 060800-050804 3.080 1
KU YUK HING RICHARD G ORD GP BATTERIES INT'L LTD 50,000 220895-210899 US$3.016 S$1
G ORD GP BATTERIES INT'L LTD 60,000 170796-160700 US$2.538 S$1
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES PRINTED: 13/08/99 PAGE: 2
DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
(GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)
STOCK NAME : Gold Peak (0040)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
KU YUK HING RICHARD G ORD GP BATTERIES INT'L LTD 60,000 160198-150102 US$3.312 S$1
G ORD (S$) GP BATTERIES INT'L LTD 60,000 290798-280702 4.448 1
G ORD (S$) GP BATTERIES INT'L LTD 200,000 060800-050804 3.080 1
WONG WAI KAN RAYMOND G ORD GP BATTERIES INT'L LTD 20,000 220895-210899 US$3.016 S$1
G ORD GP BATTERIES INT'L LTD 25,000 170796-160700 US$2.538 S$1
G ORD GP BATTERIES INT'L LTD 25,000 160198-150102 US$3.312 S$1
G ORD (S$) GP BATTERIES INT'L LTD 25,000 290798-280702 4.448 1
G ORD (S$) GP BATTERIES INT'L LTD 120,000 060800-050804 3.080 1
G ORD CLIPSAL INDUSTRIES (HOLDINGS) - 30,000 171196-161100 US$2.350 S$1
LTD
G ORD CLIPSAL INDUSTRIES (HOLDINGS) - 60,000 120599-120503 US$1.300 S$1
LTD
G ORD CLIPSAL INDUSTRIES (HOLDINGS) - 50,000 291099-291003 US$0.819 S$1
LTD
G ORD GPE INDUSTRIES LTD 80,000 030298-020202 US$0.600 S$1
G ORD GPE INDUSTRIES LTD 80,000 230799-220703 US$0.300 S$1
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES PRINTED: 13/08/99 PAGE: 3
DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
(GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)
STOCK NAME : Gold Peak (0040)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
WONG WAI KAN RAYMOND G ORD GPE INDUSTRIES LTD 130,000 020800-010804 US$0.410 S$1
STOCK NAME : HSBC Holdings (0005)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
DALTON WILLIAM ROBERT PATRICK G ORD US$0.50 GBP HSBC HOLDINGS PLC 22,704 121096-121003 2.406 0
G ORD US$0.50 GBP HSBC HOLDINGS PLC 30,273 080397-080304 2.838 0
G ORD US$0.50 GBP HSBC HOLDINGS PLC 36,000 070398-070305 2.173 0
G ORD US$0.50 GBP HSBC HOLDINGS PLC 36,000 010499-010406 3.333 0
G ORD US$0.50 GBP HSBC HOLDINGS PLC 8,625 010800-310101 1.806 0
STOCK NAME : Ocean Grand (1220)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
YIP KIM PO G ORD OCEAN GRAND HOLDINGS LTD 12,000,000 270398-030907 0.370 1
STOCK NAME : Qualipak Int'l (1224)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
LAM HOW MUN PETER G OPT CHINA UNITED HOLDINGS LTD 6,000,000 170196-160106 0.450 1
G OPT CHINA UNITED HOLDINGS LTD 1,800,000 190496-180406 0.390 1
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES PRINTED: 13/08/99 PAGE: 4
DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
(GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)
STOCK NAME : Qualipak Int'l (1224)
Director/Chief Executive G/E Class Company Name Quantity Exercise Period Ex. Price Consideration
------------------------------------ --- --------------- ------------------------------- ------------------ --------------- ---------- ---------------
LAM HOW MUN PETER G OPT CHINA UNITED HOLDINGS LTD 1,000,000 240496-230406 0.410 1
G OPT CHINA UNITED HOLDINGS LTD 10,000,000 081097-071007 0.420 1
G OPT CHINA UNITED HOLDINGS LTD 3,500,000 260597-250507 0.470 1
G OPT CHINA UNITED HOLDINGS LTD 10,000,000 141097-131007 0.420 1
G OPT CHINA UNITED HOLDINGS LTD 5,000,000 271197-261107 0.180 1
LAM HOW MUN PETER G OPT QUALIPAK INTERNATIONAL HOLDING- 1,500,000 010699-080409 0.640 1
S LIMITED
G OPT CHINA UNITED HOLDINGS LTD 6,000,000 170196-160106 0.450 1
G OPT CHINA UNITED HOLDINGS LTD 1,800,000 190496-180406 0.390 1
G OPT CHINA UNITED HOLDINGS LTD 1,000,000 240496-230406 0.410 1
G OPT CHINA UNITED HOLDINGS LTD 10,000,000 081097-071007 0.420 1
G OPT CHINA UNITED HOLDINGS LTD 3,500,000 260597-250507 0.470 1
G OPT CHINA UNITED HOLDINGS LTD 10,000,000 141097-131007 0.420 1
G OPT CHINA UNITED HOLDINGS LTD 5,000,000 271197-261107 0.180 1
SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES PRINTED: 13/08/99 PAGE: 5
DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
(GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)
***** END OF REPORT *****
NOTES:
N1 The change is due to shareholding re-structuring of the group of
Chinese Estates Holdings Limited as Oriental Master Ltd. is a
wholly-owned subsidiary of Chinese Estates Holdings Ltd.
N2 Mr. Siegfried Lee were informed by The Hongkong and Shanghai
Banking Corporation Ltd (the "Bank") on 6 August 1999 that the
Bank had disposed a total of 116,472,746 shares in the Company
on behalf of Mr. Lee. Pursuant to a facility letter dated
25 March 1996 entered between NHD Systems (Holdings) Ltd, a
subsidiary of the Company and the Bank, a total of 150,000,000
shares, including the said shares, were charged with the Bank
for securing a loan granted to the said company.
N3 Disposals were made from 25/05/99 to 16/06/99 at prices ranging
from $0.01 to $$0.028 per share.
N4 Amendment
N5 Acquisitions were made from 06/08/99 to 09/08/99 at prices ranging
from $1.99 to $2.00 per share.
N6 Consideration per unit : $0.255 - $0.270
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