Weekly Update Week Commencing 23/02/2015



Similar documents
Weekly Update Week Commencing 03/12/2012

Weekly Update Week Commencing 13/10/2014

Weekly Update Week Commencing 23/06/2014

Weekly Update Week Commencing 22/09/2014

Acorn Income Fund Ltd

APPENDIX Company Annoucement May 15, 2014, STOCK OPTIONS TO PRESIDENT AND CEO OF ASPOCOMP GROUP PLC

China Huarong Asset Management Co., Ltd. (the Company )

The Suffolk Life Self-Invested Personal Pension

NZX Derivatives Market. Options on Equity Securities Corporate Actions Policy

Jupiter Enhanced Income Investment Trust PLC

Status of Capital Adequacy

Main Market Factsheet

KONECRANES PLC STOCK OPTIONS 2009

Information Memorandum

Tele2 s Share Redemption Program. March 27, 2013

Componenta Corporation Stock Options 2016

JULIUS BAER MULTIBOND Société d'investissement à capital variable 25, Grand-Rue, L 1661 Luxembourg R.C.S. Luxembourg B-32.

Jupiter Merlin International Equities Portfolio

GLG INVESTMENTS PLC GLG GLOBAL CONVERTIBLE UCITS FUND SIMPLIFIED PROSPECTUS 6 February 2009

ELISA CORPORATION STOCK OPTIONS 2007

(1) Stock code : 8089 Description : Ordinary Shares. No. of ordinary shares. No. of ordinary shares

Scrip Dividend Scheme Terms and Conditions

January Market Statistics. Fact sheets are located within the Statistics section. UK Markets Analysis

Investors in the D share class of the Contributing Fund will be moved into the A1 share class of the Receiving Fund

Luxembourg SICAV UCITS class. Registered office: 33 rue de Gasperich, L-5826 Hesperange Luxembourg Trade and Company Register No.

No. of ordinary shares

BFS Income & Growth Trust Plc

Wrap Share Dealing Service Guide

Commercial Terms dated AMATHEA FUNDING PUBLIC LIMITED COMPANY

ING Groep N.V. 7.20% ING Perpetual Debt Securities

SEAGATE TECHNOLOGY PLC CONDENSED CONSOLIDATED BALANCE SHEETS

Dividend Procedure Timetable 2016

Winfair Investment Company Limited Date Submitted 4/7/2016. No. of ordinary shares. No. of ordinary shares

Year ended 31 Dec 2009

Prices and conditions for e-trading. Status as at 1 November 2014 Subject to price changes

WSE DETAILED EXCHANGE TRADING RULES IN UTP SYSTEM

Table of Contents. Thomson Reuters Indices Corporate Actions Methodology 2

Schroder International Selection Fund Emerging Markets Debt Absolute Return (the Fund )

TD Direct Investing. Rates and Charges

Standard Life Ireland Share Dealing Service Guide

7. (a) Place and Method of Offering / (b) Offer price of the Bonds:

AMENDMENT OF SUMMARY OF FINANCIAL STATEMENTS FOR THE YEAR ENDED MARCH 31, 2003 (Consolidated)

Dividend Procedure Timetable 2015

Shareholders who are in any doubt as to their tax position should consult an appropriate professional adviser.

Operational Guide. Admission of a retail bond to the Order book for Retail Bonds (ORB)

! "#$ %&!& "& ' &*!&-.,,5///2!(.//+ & $!- )!* & % +, -).//0)& 7+00///2 *&&.4 &*!&- 7.00///2 )!*.//+ 8 -!% %& "#$ ) &!&.

ROYAL DUTCH SHELL PLC SCRIP DIVIDEND PROGRAMME TERMS AND CONDITIONS

(1) Stock code : Description : Lansen Pharma. No. of ordinary shares

Preference Shares Presenter Date

JPMorgan Income & Capital Trust plc Annual General Meeting. 2 July 2015


Session 11 - Corporate formation

CONSOLIDATED STATEMENTS OF OPERATIONS

Schroders Investment Trust ISA

TARP Capital Purchase Program. Senior Preferred Stock and Warrants. Summary of Senior Preferred Terms

HICL INFRASTRUCTURE COMPANY LIMITED

Appendix 5B. Mining exploration entity and oil and gas exploration entity quarterly report

Ground Rules. FTSE Russia IOB Index v2.4

J.P. Morgan Global Liquidity. Managed Reserves Fund Operation Services Guide. JPM Managed Reserves Fund

amleague Trading Platform User Guide

COMMISSION TRADING: STOCKS AND ETFS INVESTMENT FUNDS ACCOUNT FEES ACCOUNT MAINTENANCE FEES. Commission Rates. Trades > 250,000.

db x-trackers IMPORTANT NOTICE TO SHAREHOLDERS OF THE FOLLOWING SUB-FUNDS:

FIVE YEAR EQUITY INDEX LINKED STERLING STRUCTURED DEPOSIT ACCOUNT

Appendix 5. Admission to Trading Rules. Contents. Introduction 2. Part 1 Admission to the Main Securities Market 3. 1 General 3

FINANCIAL STATEMENTS OF THE COMPANY COMPANY STATEMENT OF FINANCIAL POSITION

Proposal to Build the First Truly Global Beer Company October 7, 2015

ING Groep N.V. 8.50% ING Perpetual Hybrid Capital Securities

Financial report Deutsche Bahn Finance B.V. Amsterdam

Redemption of Shares Class A Sales Charge Waivers beginning on page 37 of the Fund s Statement of Additional Information.

FREQUENTLY ASKED QUESTIONS ABOUT RIGHTS OFFERINGS

ARTICLES OF ASSOCIATION NEUROSEARCH A/S. (CVR-no )

Geared Income Investment Trust Plc

Appendix 5B. Mining exploration entity quarterly report. Quarter ended ( current quarter ) December 2015

Frontline Limited. (Was London and Overseas Freighters Limited, was London and Overseas Freighters plc)

PRODUCT HIGHLIGHTS SHEET

Transcription:

Weekly Update Week Commencing 23/02/2015 Important Information Covered Warrants Market Rumours Scrip Dividends

Company Announcements Stock Event Type Event Details Conversion CORPORATE ACTION REFERENCE: 201500251 F&C Global Smaller Cos (3.5% Cnv Bds 31/07/2019 GBP1) Sedol: BNH7RK3 Shareholders have received fractional proceeds of GBP 9.43255 for every fractional share held. Catco Reinsurance Opportunities, Ord Usd0.00012345 (Di) Sedol: BJ357L4 Abb Ltd (CHF1.03 (REGD)) Sedol: B0YBLH2 Return of Capital CORPORATE ACTION REFERENCE: 201500257 Shareholders have received a payment of GBP 0.07421510 per share held. Capital Distribution CORPORATE ACTION REFERENCE: 201500266 Key Dates Ex Date: 5 May 2015 Pay Date: 11 May 2015 Shareholders will receive CHF 0.55 per share held. Please note that the amount you receive will be in the Sterling equivalent using the applicable Barclays exchange rate at the time. Your account will be updated accordingly. JPMorgan Asset Management UK Ltd (Global Consumer Fd "C" Gbp Acc Nav) Sedol: B2NFHK4 Fund Merger CORPORATE ACTION REFERENCE: 201500267 EGM: 12 March 2015 Effective Date: 28 March 2015 Subject to shareholder approval at the meeting to be held on 12 March 2015, the JPM Global Consumer trends fund will be merged into JPM Global Equity Fund. Your accounts will be updated accordingly.

JPMorgan Asset Management UK Ltd (Global Consumer Fd"C"Gbp Inc) Sedol: B2NFVG8 Fund Merger CORPORATE ACTION REFERENCE: 201500268 EGM: 12 March 2015 Effective Date: 28 March 2015 Subject to shareholder approval at the meeting to be held on 12 March 2015, the JPM Global Consumer trends fund will be merged into JPM Global Equity Fund. Your accounts will be updated accordingly. Minorplanet Systems (Ord Gbp0.20) Sedol: B3W4T58 Liquidation CORPORATE ACTION REFERENCE: 201500265 Effective Date: 13 March 2015 The company has announced a liquidation event and the holding will be removed from the shareholder's account. There will be no distribution available to shareholders on back of this event. We will update you of any further information. Pinewood Shepperton (Ord Gbp0.10) Sedol: B00KLG2 Name Change CORPORATE ACTION REFERENCE: 201500271 Effective Date: 23 February 2015 The company has announced that all securities under Pinewood Shepperton Plc have changed issuer name to Pinewood Group plc with effect from 23 February 2015. We will update you upon receipt of further information. Ge Capital Uk Funding (5.125% Gtd Emtn 03/03/15 Gbp1000) Sedol: B06BW77 Final Maturity CORPORATE ACTION REFERENCE: 201500273 Key Dates: Pay Date: 3 March 2015 Shareholders will receive a maturity payment of GBP 1 per share held. We will update you upon receipt of further information.

Bateman Litwin N.V. (Ord Eur0.10) Sedol: B126BG5 Dissolved CORPORATE ACTION REFERENCE: 201500276 Company has dissolved, as the shares are now valueless we have removed your holding from our records. We will keep paper records that we have relating to this liquidation for six years; after which we will only retain electronic records. Therefore, please ensure you keep a copy of all correspondence in relation to this subject in a safe place. We are not able to transfer the holding to you but, if in the unlikely event that a future payment is received, we will pass it on to you, provided we know your current address. As any payment may be some time in the future it is important that you notify us of any subsequent change of address. Nb Distressed Debt Inv Fd Ltd(Ext Shs Npv) Sedol: BPT2C94 Mandatory Exchange CORPORATE ACTION REFERENCE: 201500269 Key Dates: Ex Date: 5 March 2015 Pay Date: 18 March 2015 The company has announced a mandatory exchange via a compulsory partial redemption where 2.29 shares per 100 shares held would be redeemed. Shareholders will receive approximately USD 0.02701 for every share held and 97.71 new shares for every 100 shares held. Please note that the amount you receive will be in the sterling equivalent using the applicable exchange rate at the time We will update you of any further information that we receive.

Nb Distressed Debt Inv Fd Ltd(Ord Npv(Part Redemption) New) Sedol: BSNLHB5 Mandatory Exchange CORPORATE ACTION REFERENCE: 201500270 Key Dates: Ex Date: 5 March 2015 Pay Date: 18 March 2015 The company has announced a mandatory exchange via a compulsory partial redemption where 5.37 shares per 100 shares held would be redeemed. Shareholders will receive approximately USD 0.0666 for every share held and 94.63 new shares for every 100 shares held. Please note that the amount you receive will be in the sterling equivalent using the applicable exchange rate at the time We will update you of any further information that we receive.

Company Updates Mecom Group (ORD GBP0.6085888) Stock Event Type Event Details Merger UPDATE TO CORPORATE ACTION REFERENCE: 201500104 Sedol: B3P9187 Effective Date: 16 February 2015 Pay date: 02 March 2015 Eros International(Com Gbp0.30) Sedol: B86NL05 Melrose Industries Plc (Ord Gbp0.0011818181) Sedol: BHY3ZD1 Foreign Delisting Consolidation Shareholders are expected to receive GBP 1.55 in cash for each ordinary share held in Mecom Group. We will update you of any further information that we receive. UPDATE TO CORPORATE ACTION REFERENCE: 201500017 Shareholders who elected to sell their shares have received GBP 12.43082377 per share held. UPDATE TO CORPORATE ACTION REFERENCE: 201500190 Shareholders have received 13 new shares for every 14 shares held.