2 June 2009 Last day of “cum-rights” trading for the Rights Issue
3 June 2009 First day of “ex-rights” trading for the Rights Issue
5 June 2009 Rights Issue Books Closure Date
10 June 2009 Despatch of the Offer Information Statement to Eligible Unitholders
10 June 2009 Commencement of “nil-paid” rights trading
18 June 2009 (5 pm) Last date and time for “nil-paid” rights trading
18 June 2009 (5 pm) Last date and time for splitting “nil-paid” rights
24 June 2009 (5.00 pm, 9.30 pm for electronic Shares applications) Last date and time for acceptance of and payment for Rights Units
24 June 2009 (5.00 pm, 9.30 pm for electronic Shares applications) Last date and time for application of and payment for Excess Rights Units
24 June 2009 Last date and time for acceptance of and payment by the renouncee
2 July 2009 Expected date for issue of Rights Units
3 July 2009 Expected date for commencement of trading of Rights Units
Sunday, May 24, 2009
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