Monday 11th March 2002 |
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Monday 11 March
Cavalier Corporation Ex Div 11.50cps
Colonial First State Property Trust Ex Div 2.20cpu
EBOS Group Ex Div 6.50cps
Property For Industry Ex Div 1.624024cps
Ports Of Auckland (NS) Ex Div 12.50cps
Port Of Tauranga (NS) Ex Div 11.00cps
Telecom Corporation Of New Zealand (NS) Ex Div 5.00cps
NZSE10 Index Fund (NS) Ex Div 0.339777cpu (TEL)
Taylors Group Ex Div 4.00cps
The NZ Mid Cap Index Fund (NS) Ex Divs 0.04385cpu (CPT), 0.12588cpu (POT), 0.28324cpu (POA), 0.04809cpu (PFI), 0.06193cpu (CAV).
Tuesday 12 March
Wednesday 13 March
Australian Foundation Investment Company Convertible Notes Record Date Final Dividend
Computershare Record Date Interim Dividend
Thursday 14 March
Australian Foundation Investment Company Convertible Notes Ex Div A10.125cps
Computershare Ex Div A0.50cps
Australian Foundation Investment Company Conertible Notes Cease Quotation at Close of Business
Friday 15 March
AXA Asia Pacific Holdings Record Date Final Dividend
Henderson TR Pacific Investments Trust PLC Record Date Final Dividend
Foreign & Colonial Investment Trust PLC Record Date Final Dividend
Baycorp Advantage Record Date Interim Dividend
Lyttelton Port Company Record Date Interim Dividend
The NZ Mid Cap Index Fund Record Date Interim Divs (WAM, WRI, LPC)
Michael Hill International Record Date Interim Dividend
Natural Gas Corporation Holdings Record Date Interim Dividend
Australian 20 Leaders Index Fund (NS) Record Date Interim
Dividend (BIL)
Sky City Record Date Interim Dividend
NZSE10 Index Fund (NS) Record Date Interim Dividend (INL, NCH, SKC)
Waste Management NZ Record Date Final Dividend
Wrightson Record Date Interim Dividend
Westfield Trust Quotation of New Ordinary Units (Code: WFTNI)
Independent Newspapers Record Date Interim Dividend
Capital Properties NZ Quotation of Capital Notes (Codes: CNZ020, CNZ030)
Monday 18 March
AXA Asia Pacific Holdings Ex Div A7.50cps
Henderson TR Pacific Investments Trust Plc Ex Div 0.25pps
Foreign & Colonial Investment Trust Plc Ex Div 2.30pps
Baycorp Advantage Ex Div A3.00cps
Lyttelton Port Company Ex Div 3.75cps
The NZ Mid Cap Index Fund Ex Div 0.0819cpu (WAM), 0.07852cpu (WRI), 0.0638cpu (LPC)
Michael Hill International Ex Div 7.00cps
Natural Gas Corporation Holdings Ex Div 3.00cps
Australian 20 Leaders Index Fund (NS) Ex Div 0.0387cpu (BIL)
Sky City Ex Div 15.50cps
NZSE10 Index Fund (NS) Ex Div 0.061462cpu (INL), 0.05674cpu (NCH), 0.116111cpu (SKC)
Waste Management NZ Ex Div 5.00cps
Wrightson Ex Div 3.50cps
Independent Newspapers Ex Div 4.00cps
ISSUER NAME | TYPE OF MEETING | DATE | |
Contact Energy Limited | AGM | 11/03 | |
Cadmus Technology Limited | EGM | 11/03 | |
Tower Limited | AGM | 19/03 | |
Seafresh New Zealand Limited | AGM | 26/03 | |
Genesis Research & Development Corporation Limited | AGM | 27/03 | |
Waste Management NZ Limited | AGM | 11/04 | |
Property For Industry Limited | AGM | 19/04 | |
United Networks Limited | AGM | 23/04 | |
Carter Holt Harvey Limited | AGM | 24/04 | |
Renaissance Limited | AGM | 26/04 | |
Apple Fields Limited | AGM | TBA | |
Trans Tasman Properties Limited | AGM | TBA | |
GDC Communications Limited | AGM | TBA | |
Cube Capital Limited | AGM | TBA |
ISSUER | CODE | RATIO | EX DATE | RECORD DATE 5PM | TRADING COMM | TRADING STOP 5PM | APPLN MONEY$ | APPLN DATE | RENUN DATE | FINAL DELIVERY DATE | ||
1. | KIRKCALDIE & STAINS LIMITED | KRKRA | 1:2 | 11/02 | 08/02 | 11/02 | 06/03 | 3.50 | 08/03 | 08/03 | 07/03 | |
RENOUNCEABLE RIGHTS ISSUE OF ONE ORDINARY SHARE FOR EVERY TWO EXISTING ORDINARY SHARES HELD ON THE RECORD DATE OF 08/02. ISSUE PRICE: $3.50 PAYABLE IN FULL ON APPLICATION. TRADEABLE RIGHTS CODE: KRKRA. ISIN: NZKRKE0003S3. NEW SHARES WILL RANK PARI PASSU WITH EXISTING SHARES. FRACTIONAL ENTITLEMENTS WILL BE DISREGARDED. NO MINIMUM ENTITLEMENTS. ALLOTMENT DATE: 11/03/2002. | ||||||||||||
2. | MR CHIPS HOLDINGS LIMITED | MCHRA | 3:10 | TBA | TBA | TBA | TBA | 1.00 | TBA | TBA | TBA | |
MR CHIPS HOLDINGS ANNOUNCED THAT IT INTENDS TO HAVE A RENOUNCEABLE RIGHTS ISSUE OF THREE NEW ORDINARY SHARES FOR EVERY TEN EXISTNG ORDINARY SHARES AT AN ISSUE PRICE OF $1.00 PER SHARE. THE ISSUE HAS BEEN FULLY UNDERWRITTEN. THIS WILL ENABLE THE COMPANY TO COMPLETE AN EXPANSION OF PROCESSSING FACILITIES AT THE EAST TAMAKI SITE IN AUCKLAND. |
COMPANY | OLD CODE | NEW NAME | NEW CODE | EFFECTIVE DATE | |
PACIFIC DUNLOP LIMITED | PDP | TBA | TBA | TBA |
ISSUER | SECURITY | SECURITY CODE | PUBLIC OFFER CLOSES | EXPECTED LISTING DATE | |
WESTFIELD TRUST | NEW ORD UNITS | WFTNI | N/A | 11/03/2002 | |
CAPITAL PROPERTIES NEW ZEALAND LIMITED | CAPITAL NOTES | CNZ020 | 01/03/2002 | 15/03/2002 | |
CAPITAL PROPERTIES NEW ZEALAND LIMITED | CAPITAL NOTES | CNZ030 | 01/03/2002 | 15/03/2002 |
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