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Bursa Announcements

  
Date Company Title
02 Dec 2005 AXREIT AXIS REAL ESTATE INVESTMENT TRUST (“AXIS” OR THE “FUND”) PROPOSED ACQUISITION BY AXIS OF A PROPERTY KNOWN AS KOMPLEKS KEMAJUAN HELD UNDER PN 3940, LOT 24, TOWN OF PETALING JAYA, DISTRICT OF PETALING, SELANGOR (“KOMPLEKS KEMAJUAN”) FROM AUSTRAL AMAL PROPERTIES SDN BHD (“AUSTRAL AMAL”), FOR A CASH CONSIDERATION OF RM29.0 MILLION (“PROPOSED ACQUISITION OF KOMPLEKS KEMAJUAN”); AND PROPOSED ACQUISITION BY AXIS OF A PROPERTY KNOWN AS KEYANGAN DEPOT HELD UNDER H.S.(D) 22390 FOR P.T. 61, SECTION 15, TOWN OF SHAH ALAM, DISTRICT OF PETALING, SELANGOR (“KEYANGAN DEPOT”) FROM JUTA BINA SDN BHD (“JUTA BINA”) FOR A CASH CONSIDERATION OF RM16.1 MILLION (“PROPOSED ACQUISITION OF KEYANGAN DEPOT”) (COLLECTIVELY REFERRED TO AS “PROPOSED ACQUISITIONS”)
02 Dec 2005 AXREIT NET ASSET VALUE ("NAV")
25 Nov 2005 AXREIT Quarterly rpt on consolidated results for the financial period ended 30/9/2005 (Amended Announcement)
25 Nov 2005 AXREIT NET ASSET VALUE ("NAV")
24 Nov 2005 AXREIT Quarterly rpt on consolidated results for the financial period ended 30/9/2005
18 Nov 2005 AXREIT NET ASSET VALUE ("NAV")
11 Nov 2005 AXREIT NET ASSET VALUE ("NAV")
02 Nov 2005 AXREIT NET ASSET VALUE ("NAV")
28 Oct 2005 AXREIT NET ASSET VALUE ("NAV")
21 Oct 2005 AXREIT NET ASSET VALUE ("NAV")
14 Oct 2005 AXREIT NET ASSET VALUE ("NAV")
07 Oct 2005 AXREIT NET ASSET VALUE ("NAV")
30 Sep 2005 AXREIT NET ASSET VALUE ("NAV")
23 Sep 2005 AXREIT Condition imposed by the Board of Valuers, Appraisers & Estate Agents (the "Board of VAEA") on the shareholding structure of Axis Management Sdn Bhd ("Axis Management"), being the property management company of Axis Real Estate Investment Trust ("Axis-REIT")
23 Sep 2005 AXREIT NET ASSET VALUE ("NAV")
16 Sep 2005 AXREIT NET ASSET VALUE ("NAV")
09 Sep 2005 AXREIT NET ASSET VALUE ("NAV")
02 Sep 2005 AXREIT NET ASSET VALUE ("NAV")
26 Aug 2005 AXREIT NET ASSET VALUE ("NAV")
19 Aug 2005 AXREIT NET ASSET VALUE ("NAV")
12 Aug 2005 AXREIT NET ASSET VALUE ("NAV")
05 Aug 2005 AXREIT NET ASSET VALUE ("NAV")
01 Aug 2005 AXREIT AXREIT-ADMISSION TO THE MAIN BOARD OF BURSA MALAYSIA SECURITIES BERHAD ("BURSA SECURITIES")
30 Jun 2005 AXREIT PUBLIC OFFERING BY AXIS REIT MANAGERS BERHAD AS MANAGER OF AXIS REAL ESTATE INVESTMENT TRUST ("AXIS-REIT"), WHICH IS MAKING AN OFFERING OF 98,400,400 NEW UNITS REPRESENTING UNDIVIDED INTEREST IN AXIS-REIT ("ISSUE UNITS") COMPRISING: (I) 15,000,000 ISSUE UNITS MADE AVAILABLE FOR APPLICATION BY THE MALAYSIAN PUBLIC AT THE RETAIL PRICE OF RM1.25* PER ISSUE UNIT PAYABLE IN FULL UPON APPLICATION; (II) 2,000,000 ISSUE UNITS TO ELIGIBLE DIRECTORS AND EMPLOYEES OF AXIS REIT MANAGERS BERHAD AND AXIS DEVELOPMENT SDN BHD AT THE RETAIL PRICE OF RM1.25* PER ISSUE UNIT PAYABLE IN FULL UPON APPLICATION; AND (III) 81,400,000 ISSUE UNITS MADE AVAILABLE FOR APPLICATION BY INSTITUTIONAL AND SELECTED INVESTORS AT THE INSTITUTIONAL PRICE TO BE DETERMINED BY WAY OF BOOKBUILDING IN CONJUNCTION WITH THE LISTING OF AXIS-REIT ON THE MAIN BOARD OF BURSA MALAYSIA SECURITIES BERHAD * THE RETAIL PRICE WILL BE SUBJECT TO A REFUND IN THE EVENT THAT THE FINAL RETAIL PRICE IS LESS THAN RM1.25 PER ISSUE UNIT. THE FINAL RETAIL PRICE WILL EQUAL THE LOWER OF: (I) THE RETAIL PRICE OF RM1.25 PER ISSUE UNIT; OR (II) 95% OF THE INSTITUTIONAL PRICE, TO BE DETERMINED BY WAY OF BOOKBUILDING
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