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Monday 17th June 2002

Monday 17th June 2002

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Diary Dates

Monday 17 June to Monday 24 June 2002

Monday 17 June
Colonial First State Property Trust Ex Div 2.21cps
Fisher & Paykel Healthcare Corporation Limited Ex Div 25cps
Horizon Energy Distribution Limited Ex Div 75cps Final Div
Henderson Far East Income Trust plc Ex Div 2pps
The NZ Mid-Cap Index Fund (NS) Ex Div .04254cps (CPT)
The NZ Mid-Cap Index Fund (NS) Ex Div .30706cps (WPT)
Powerco Limited Ex Div 7.2cps
Richmond Limited Ex Div 5cps
WestpacTrust Investments Limited Ex Div 34cps
TeNZ - NZSE 10 Index Fund (NS) Ex Div 0.093071cpu (FPH)
Guinness Peat Group Plc Convertible Notes Ex Interest 1.60pps
Rocom Wireless Limited (NM) Ex 5:14 Renounceable Rights Issue

Tuesday 18 June

Wednesday 19 June
Skellmax Industries Limited Listing & Quotation of Ordinary Shares (Code: SKX)

Thursday 20 June
Nuplex Industries Limited Quotation of Capital Notes (Code: NPX010)
Heritage Gold NZ Limited Quotation of Warrants (Code: HGDCA)

Friday 21 June
AMP NZ Office Trust Convertible Notes Record Date Interest Payment
Dorchester Pacific Limited Record Date Final Div
Fisher & Paykel Appliances Holdings Limited Record Date Final Div
Infratil Limited Record Date Final Dividend
The NZ Mid-Cap Index Fund (NS) Record Date Interim Div (FPA)
The NZ Mid-Cap Index Fund (NS) Record Date Interim Div (IFT)
The Special Utilities Investment Trust Plc Record Date Interim Div
Kiwi Income Property Trust 1:6 Renounceable Rights Issue Record Date
Horizon Energy Distribution Limited Record Date 5:1 Share Split

Monday 24 June
Amp NZ Office Trust Convertible Notes Ex Interest 3.7191781
Dorchester Pacific Limited Ex Div 3.6cps
Fisher & Paykel Appliances Holdings Limited Ex Div 32.5cps
Infratil Limited Ex Div 3cps
The NZ Mid-Cap Index Fund (NS) Ex Div .34972cps (FPA)
The NZ Mid-Cap Index Fund (NS) Ex Div .09257cps (IFT)
The Special Utilities Investment Trust Plc Ex Div 1.3pps
Kiwi Income Property Trust Ex 1:6 Renounceable Rights Issue
Horizon Energy Distribution Limited Ex 5:1 Share Split


New Zealand Companies - Meeting Dates

Monday 17 June to Friday, 27 September 2002

ISSUER NAME  TYPE OF MEETING  DATE  

Richina Pacific LimitedAGM19/06
Advantage Group LimitedSGM20/06
Independent News & Media NZ LimitedAGM21/06
Rocom Wireless Limited (NM)AGM26/06
Savoy Equities LimitedAGM 28/06
Newcall Group LimitedAGM28/06
Northland Port Corporation (NZ) Limited (NS)AGM28/06
Cube Capital LimitedAGM28/06
eVentures New Zealand LimitedAGM28/06
Straightedge Limited (NC)SGM28/06
IT Capital LimitedAGM16/07
Software of Excellence International LimitedAGM17/07
Capital Properties New Zealand LimitedAGM19/07
Finzsoft Solutions Limited (NM)AGM24/07
Bliss Technologies LimitedAGM29/07
Mooring Systems LimitedAGM29/07
Owens Group LimitedAGM29/07
NZIJ.co.nz Limited (NM)AGM31/07
Mainfrieght LimitedAGM31/07
Infratil LimitedAGM05/08
Fisher & Paykel Healthcare Corporation LimitedAGM09/08
Fisher & Paykel Appliances LimitedAGM12/08
Ryman Healthcare LimitedAGM13/08
Pacific Retail Group LimitedAGM14/08
Dorchester Pacific LimitedAGM21/08
Horizon Energy Distribution LimitedAGM29/08
TrustPower LimitedAGM29/08
Beauty Direct and Online LimitedAGM18/09
Powerco LimitedAGMTBA
Rubicon LimitedAGMTBA
Kiwi Income Property TrustAGMTBA
Compass Communication Group Limited (NC)AGMTBA


Rights Issues Pending

ISSUER   CODE  RATIO  EX DATE  RECORD DATE 5PM  TRADING COMM  TRADING STOP 5PM  APPLN MONEY$  APPLN DATE  RENUN DATE  FINAL DELIVERY DATE  

1PACIFIC RETAIL GROUP LIMITED TBATBATBATBATBATBATBATBATBATBA
PACIFIC RETAIL GROUP ANNOUNCED ITS INTENTION TO UNDERTAKE A RIGHTS ISSUE TO RAISE UP TO $20M TO FUND ITS GROWTH AND ACQUISITION STRATEGY.
2HERITAGE GOLD NZ LIMITEDHGDRA2:327/0524/0527/0519/060.0121/0621/0620/06
HERITAGE GOLD NZ ANNOUNCED A RENOUNCEABLE RIGHTS ISSUE OF TWO WARRANTS FOR EVERY THREE ORDINARY SHARES HELD ON THE RECORD DATE OF 24/05/2002. ISSUE PRICE: $0.01 PAYABLE ON APPLICATION. MINIMUM ENTITLEMENT: SHAREHOLDERS HOLDING LESS THAN 3,000 EXISTING SHARES WILL BE ENTITLED TO APPLY FOR A MINIMUM HOLDING OF 2,000 WARRANTS. THE ISSUE WILL ENABLE THE COMPANY TO RAISE FUNDS FOR WORKING CAPITAL AND TO FOCUS ON ADVANCING ITS 3 KEY PROJECTS IN THE WAIHI GOLD DISTRICT IN NEW ZEALAND AND THE THACKARINGA COBALT PROJECT NEAR BROKEN HILL, AUSTRALIA. FRACTIONAL ENTITLEMENTS WILL BE DISREGARDED. EACH RIGHT CONFERS AN ENTITLEMENT TO SUBSCRIBE FOR ONE WARRANT WHICH IN TURN WILL BE CONVERTED INTO A FULLY PAID ORDINARY SHARE UPON PAYMENT IN FULL OF THE PRICE OF $0.09. TRADEABLE RIGHTS CODE: HGDRA ISIN FOR RIGHTS: NZHGDE0001S1. CODE FOR THE WARRANTS: HGDCA ISIN FOR WARRANTS: NZHGDW0001S3. DELAYED DELIVERY TAG LIFTED ON ALLOTMENT DATE (27/06/2002). SHARES ALLOTTED UPON CONVERSION OF THE WARRANTS WILL RANK FROM THE DATE OF THEIR ISSUE PARI PASSU IN ALL RESPECTS WITH EXISTING ORDINARY SHARES.
3SUMMIT RESOURCES LIMITEDN/AN/A20/0517/05N/AN/A0.1221/06N/A28/06
NON-RENOUNCEABLE AND NON-PRO RATA BASIS ON A RIGHTS ISSUE OF UP TO APPROXIMATELY 51,000,000 ORDINARY SHARES. UNDER THE TERMS OF THE OFFER EACH SHAREHOLDER WILL BE ABLE TO APPLY FOR A MINIMUM ENTITLEMENT OF 10,000 SHARES AND A MAXIMUM ENTITLEMENT OF 30,000 SHARES. SHAREHOLDERS WILL HAVE THE OPPORTUNITY TO APPLY FOR ADDITIONAL SHARES OVER AND ABOVE THEIR MAXIMUM ENTITLEMENT OF 30,000 SHARES BY APPLYING FOR ANY SHORTFALL IN MAXIMUM ENTITLEMENTS NOT TAKEN UP BY SHAREHOLDERS ACCEPTANCES. FRACTIONS WILL BE ROUNDED UP TO THE NEXT WHOLE NUMBER OF OPTIONS. THE OFFER IS SUBJECT TO APPROVAL BY SHAREHOLDERS AT A SPECIAL MEETING TO BE HELD ON 06/06/2002.
+4NEW ZEALAND OIL & GAS LIMITEDNOGRA1:210/0607/0610/0603/070.0205/0705/0704/07
RIGHTS FOR A NEW ISSUE OF OPTIONS, PRO RATA TO SHAREHOLDERS AND OPTION HOLDERS. TRADEABLE RIGHTS CODE: NOGRA. ISIN: NZNOGE0004S0. LETTERS OF ENTITLEMENT SENT: 11/06. ALLOTMENT DATE: 12/07. FRACTIONS ROUNDED DOWN. CODE FOR NEW OPTIONS: NOGOC. ISIN FOR OPTIONS: NZNOGE0005S7
5ROCOM WIRELESS LIMITEDROCRA5:1417/0614/0617/0610/070.18512/0712/0711/07
RENOUNCEABLE RIGHTS ISSUE TO EXISTING SHAREHOLDERS ENTITLING THEM TO 5 NEW SHARES FOR EVERY 14 SHARES HELD AT A PRICE OF 18.5 CENTS PER SHARE. TRADEABLE RIGHTS CODE: ROCRA. ISIN FOR RIGHTS: NZROCE0002S4. LETTERS OF ENTITLEMENT SENT: 11/06. ALLOTMENT DATE: 16/07. FRACTIONS ROUNDED DOWN.
6KIWI INCOME PROPERTY TRUSTKIPRD1:624/0621/0624/0617/070.8219/0719/0718/07
RENOUNCEABLE RIGHTS ISSUE TO EXISTING UNIT HOLDERS AND CONVERTIBLE NOTE HOLDERS ENTITLING THEM TO 1 NEW UNIT FOR EVERY 6 UNITS/CONVERTIBLE NOTES HELD AT A PRICE OF $0.82 PER UNIT. TRADEABLE RIGHTS CODE: KIPRD. ISIN FOR RIGHTS: NZKIPE000S72. LETTERS OF ENTITLEMENT SENT: 25/06. ALLOTMENT DATEl 26/07. FRACTIONS ROUNDED DOWN.
Overseas
1SUN RESOURCES NO LIABILITYSUR1:1027/0524/05N/AN/A0.0121/06N/AN/A
PRO RATA NON RENOUNCEABLE RIGHTS ISSUE OF ONE OPTION FOR EVERY TEN SHARES HELD, AND ONE OPTION FOR EVERY TEN OPTIONS HELD, FOR THE ISSUE OF UP TO 11,618,810 OPTIONS. THE OPTIONS WILL BE EXERCISABLE UNTIL 30/06/2005 AT A PRICE OF 15 CENTS PER OPTION. THERE IS NO MINIMUM SUBSCRIPTION. THE OFFER IS FULLY UNDERWRITTEN.


New Listings and Quotations Pending

ISSUER  SECURITY   SECURITY CODE  PUBLIC OFFER CLOSES  EXPECTED LISTING DATE  

NUPLEX INDUSTRIES LIMITEDCAP NOTESNPX01014/06/200220/06/2002
HERITAGE GOLD NZ LIMITEDWARRANTSHGDCAN/A20/06/2002
GUINNESS PEAT GROUP PLCNEW ORDGPGNBN/A02/07/2002
NEW ZEALAND OIL & GAS LIMITEDOPTIONSNOGOCN/A04/07/2002
SKELLMAX INDUSTRIES LIMITEDORDINARYSKX14/06/200219/06/2002
VERTEX GROUP HOLDINGS LIMITEDORDINARYVTX28/06/200204/07/2002
ADVANTAGE GROUP LIMITEDCAP NOTESADV01028/06/200202/07/2002


Securities to be Converted

ISSUER NAME  SECURITY TO BECONVERTED  CONVERSION DETAILS  CEASE QUOTATIONS COB  CONVERSION DATE  CONVERSION PRICE  RECORD DATE  

GUINNESS PEAT GROUP PLC GPGGAREFER NOTEN/A01/07/200210PPS23/05
NOTE:
TWO ADDITIONAL TRADING CODES ARE AVAILABLE FOR GPG CONVERTIBLE NOTES:
  • GPGGD WILL REPRESENT THE NOTES WHICH WILL BE REDEEMED.
  • GPGGE WILL REPRESENT THE NOTES FOR WHICH HOLDERS HAVE ELECTED CONVERSION TO ORDINARY SHARES FOLLOWING THE CONVERSION DATE.
UNSETTLED TRADES IN GPGGA AND GPGGD ON THE EVENING OF 28 JUNE WILL BE ADJUSTED TO REFLECT THE REDEMPTION OF 10 PENCE PER SHARE.
GPGGE WILL BE ADJUSTED TO REFLECT THE CONVERSION OF 100/455 TO GPGNB AND THE SHARES WILL CHANGE INTO GPGs FOLLOWING THE RECORD DATE FOR ANY DIVIDENDS OR OTHER DISTRIBUTIONS DECLARED OR PAID IN RESPECT OF THE FINANCIAL PERIOD OR PART PERIOD ENDED ON OR PRIOR TO 1 JULY 2002.
ON 01/07/2002 THE CONVERTIBLE NOTES WILL EITHER CONVERT INTO ORDINARY SHARES OR BE REDEEMED AT THE OPTION OF THE NOTEHOLDER. THE ELECTION AMOUNT IS 10P PER NOTE. THE RECORD DATE TO DETERMINE ISSUE OF ELECTION NOTICES WAS 23/05/2002. ELECTION NOTICES MUST BE RECEIVED BY CLOSE OF BUSINESS 01/07/2002. TRADING IN SHARES ARISING FROM THE CONVERSION WILL BE AVAILABLE FROM 02/07/2002 TO 05/07/2002 ON A DELAYED DELIVERY BASIS UNDER THE CODE: GPGNB
IF MEMBER FIRMS ARE ON-SELLING WHERE AN ELECTION HAS BEEN MADE THEN SETTLEMENT DEPARTMENTS WILL NEED TO CONTACT COMPUTERSHARE REGISTRY SERVICES LIMITED TO MAKE THE STOCK AVAILABLE IN THE ELECTION CLASS.


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