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Monday 18th March 2002

Monday 18th March 2002

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Diary Dates

Monday 18 March to Monday 25 March 2002

Monday 18 March
AXA Asia Pacific Holdings Ex Div A7.5cps
Baycorp Advantage Ex Div A3cps
Foreign & Colonial Investment Trust Plc Ex Div 2.3pps
Henderson TR Pacific Investment Trust Plc Ex Div 0.25pps
Henderson TR Pacific Investment Trust Plc Ex Div 0.25pps
Independent Newspapers Ex Div 4cps
Lyttelton Port Company (NS) Ex Div 3.75cps
The NZ Mid-Cap Index Fund (NS) Ex Div 0.0638cps LPC, 0.04493cps MHI, 0.0819cps WAM, 0.07852cps WRI
Michael Hill International Ex Div 7cps
Natural Gas Corporation Holdings Ex Div 3cps
Australian 20 Leaders Index Fund (NS) Ex Div .0387cps BIL,
0.2826cps TLS
Sky City Entertainment Group (NS) Ex Div 15.5cps
TeNZ - NZSE 10 Index Fund (NS) Ex Div 0.061462cps INL,
0.05674cps NCH, 0.116111cps SKC
Waste Management NZ Ex Div 5cps
Wrightson Ex Div 3.5cps

Tuesday 19 March

Wednesday 20 March

Thursday 21 March
Australian 20 Leaders Index Fund (NS) Record Date AMP,NCP, NCPVA

Friday 22 March
Australian 20 Leaders Index Fund (NS) Ex Div 0.1169cps AMP, 0.0126cps NCP, 0.0341cps NCPVA
Auckland International Airport Record Date
Capital Properties New Zealand Record Date
Fletcher Building Record Date
Goodman Fielder Record Date
GRD NL Record Date
Kiwi Income Property Trust Record Date Convertible Notes Interest
Mr Chips Holdings Record Date Renounceable Rights Issue 3:10
The NZ Mid-Cap Index Fund (NS) Record Date CNZ, FBU,
NPX, NZR
Newmarket Property Trust Record Date
Nuplex Industries Record Date
The News Corporation Ex Div Ordinary A.5cps
The News Corporation Ex Div Preference A.75cps
The New Zealand Refining Company Record Date
Telstra Corporation Record Date
TeNZ - NZSE 10 Index Fund (NS) Record Date AIA

Monday 25 March
Auckland International Airport Ex Div 6cps
Capital Properties New Zealand Ex Div 2.175cps
Fletcher Building Ex Div 6cps
Goodman Fielder Ex Div A3.5cps
GRD NL Ex Div A2cps
Kiwi Income Property Trust Convertible Notes Ex Interest 4.95cpu
The NZ Mid-Cap Index Fund (NS) Ex Div 0.03699cps CNZ, 0.23224cps FBU, 0.0783cps NPX, 0.5014cps NZR
Mr Chips Holdings Ex Renounceable Rights Issue 3:10
Newmarket Property Trust Ex Div 2.824751cps
Nuplex Industries Ex Div 8cps
The New Zealand Refining Company Ex Div 125cps
Telstra Corporation Ex Div A11cps
TeNZ - NZSE 10 Index Fund (NS) Ex Div 0.091976cps AIA


Notices of Meeting

Monday, 18 March to Friday, 28 June 2002

ISSUER NAME  TYPE OF MEETING  DATE  

Tower LimitedAGM19/03
Seafresh New Zealand LimitedAGM26/03
Genesis Research & Development Corporation LimitedAGM27/03
Waste Management NZ LimitedAGM11/04
Property For Industry LimitedAGM19/04
Independent Newspapers LimitedAGM21/06
United Networks LimitedAGM23/04
Carter Holt Harvey LimitedAGM24/04
Renaissance Limited AGM26/04
Richina Pacific LimitedAGM19/06
Newcall Group LimitedAGM28/06
Apple Fields LimitedAGMTBA
Trans Tasman Properties LimitedAGMTBA
GDC Communications LimitedAGMTBA
Cube Capital LimitedAGMTBA
CDL Hotels New Zealand LimitedAGMTBA
Kingsgate International Corporation LimitedAGMTBA
CDLInvestments LimitedAGMTBA
Metlifecare Group LimitedAGM TBA


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  

1.MR CHIPS HOLDINGS LIMITEDMCHRA3:1025/0322/0325/0323/041.0026/0426/0424/04
MR CHIPS HOLDINGS ANNOUNCED A RENOUNCEABLE RIGHTS ISSUE OF THREE NEW ORDINARY SHARES FOR EVERY TEN EXISTNG ORDINARY SHARES HELD ON THE RECORD DATE OF 22/03. ISSUE PRICE: $1.00 PAYABLE IN FULL ON APPLICATION. THE ISSUE HAS BEEN FULLY UNDERWRITTEN. THE ISSUE WILL ENABLE THE COMPANY TO COMPLETE AN EXPANSION OF PROCESSSING FACILITIES AT THE EAST TAMAKI SITE IN AUCKLAND. TRADEABLE RIGHTS CODE: MCHRA. ISIN: NZMCHE0002S9. FRACTIONAL ENTITLEMENTS WILL BE ROUNDED UP. NEW SHARES WILL NOT BE ENTITLED TO RECEIVE ANY DIVIDEND PAYABLE IN RESPECT OF THE 2002 FINANCIAL YEAR, BUT WILL RANK EQUALLY IN ALL OTHER RESPECTS WITH THE EXISITING ORDINARY SHARES. ALLOTMENT DATE: 29/04/2002.


Name Changes Pending

COMPANY  OLD CODE  NEW NAME  NEW CODE  EFFECTIVE DATE  

PACIFIC DUNLOP LIMITEDPDPTBATBATBA


New Listings and Quotations Pending

ISSUER  SECURITY   SECURITY CODE  PUBLIC OFFER CLOSES  EXPECTED LISTING DATE  

Tower Finance LimitedBONDSTBA19/04/200229/04/2002


Securities to be Removed

ISSUER  KEY  CONVERSION DETAILS  SECURITIES REMOVED  CEASE QUOTATION 5PM  EXPIRY DATE  EXERCISE PRICE  

UBS WARBURG INVESTMENTS LIMITED2:1TELSDTBA28/03/20022.625


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