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Statement of Shareholdings

Statement of Shareholdings (As at 15 Match 2018)

Class of Shares : Ordinary Shares
Voting Rights : One vote per Ordinary Share

DISTRIBUTION OF SHAREHOLDINGS

Size of Holdings No. of Holders  % of Holders % No.of Issued Shares % of Issued Shares %
Less than 100 1,038 11.28 20,773 0.00
100 - 1,000 2,317 26.38 1,430,254 0.12
1,001 - 10,000 3,698 42.09 15,082,080 1.27
10,001 - 100,000 1,382 15.73 43,642,493 3.68
100,001 to less than 5% of issued shares 347 3.95 443,435,399 37.41
5% and above of issued shares 3 0.03 681,888,883 57.52
Total 8,785 100.00 1,185,499,882 100.00

DIRECTORS' INTERESTS IN SHARES

  Direct Interest Deemed Interest
  No. of Issued Shares % of Issued Shares % No. of Issued Shares % of Issued Shares %
IN THE COMPANY        
Tan Sri Datuk Oh Siew Nam 120,666 0.001   0.10
Tam Chiew Lin 6,000 0.00 10,000 0.00
IN RELATED CORPORATIONS        
Tego Sdn Bhd - Subsidiary
Tan Sri Datuk Oh Siew Nam - - 18,000 0.10
Kuok Brothers Sdn Berhad - Holding company        
Tan Sri Datuk Oh Siew Nam - - 4,966,667 0.99
Lim Soon Huat 200,000 0.04 - -
Datuk Ong Hung Hock 290,000 0.06 - -
Coralbid (M) Sdn Bhd - Subsidiary of holding company        
Tan Sri Datuk Oh Siew Nam - - 100,000 0.27

Save as disclosed above, none of the other Directors had any direct nor deemed interest in shares of the Company or its related corporations.

SUBSTANTIAL SHAREHOLDERS

  Direct Interest Deemed Interest Total
Name of Substantial Shareholders
 
No. of Issued Shares % of Issued Shares % No. of Issued Shares % of Issued Shares % No. of Issued Shares % of Issued Shares %
Kuok Brothers Sdn Berhad 594,889,624 50.18 7,420,504 0.63 602,310,128 50.81
Employees Provident Fund Board 133,684,979 11.28 - - 133,684,979 11.28

THIRTY LARGEST SHAREHOLDERS (as per Record of Depositors)

Name of Shareholders No. of Issued Shares % of Issued Shares %
Kuok Brothers Sdn Berhad 472,711,372 39.87
Citigroup Nominees (Tempatan) Sdn Bhd
For Employees Provident Fund Board
136,294,579 11.50
Kuok Brothers Sdn Berhad 72,882,932 6.15
Kuok Brothers Sdn Berhad 49,296,514 4.16
Nai Seng Sdn Berhad 40,826,500 3.44
HSBC Nominees (Asing) Sdn Bhd
Exempt AN
For Credit Suisse (SG BR-TST-Asing)
23,693,828 2.00
Kuok Foundation Berhad 17,119,720 1.44
HSBC Nominees (Asing) Sdn Bhd
Exempt AN
For Morgan Stanley & Co. International PLC (Client)
16,333,802 1.38
Cartaban Nominees (Asing) Sdn Bhd
Exempt AN
For State Street Bank & Trust Company (West CLTOD67)
15,426,010 1.30
Kumpulan Wang Persaraan (Diperbadankan) 13,409,40 1.13
HSBC Nominees (Asing) Sdn Bhd
BBH and Co Boston
For Vanguard Emerging Markets Stock Index Fund
10,242,942 0.86
Chinchoo Investment Sdn Berhad 10,184,100 0.86
UOBM Nominees (Asing) Sdn Bhd
United Overseas Bank Nominees (Pte) Ltd
For Sin Heng Chan (1960) Pte Ltd
10,100,000 0.85
UOB Kay Hian Nominees (Asing) Sdn Bhd
Exempt AN
For UOB Kay Hian (Hong Kong) Limited (a/c Clients)
8,208,546 0.69
Ophir Holdings Berhad 8,158,420 0.69
Amanahraya Trustees Berhad
For Amanah Saham Malaysia
8,083,600 0.68
HSBC Nominees (Asing) Sdn Bhd
JPMCB NA
For Vanguard Total International Stock Index Fund
7,739,800 0.65
Cartaban Nominees (Asing) Sdn Bhd
GIC Private Limited
For Government of Singapore (C)
7,118,300 0.60
Maybank Nominees (Tempatan) Sdn Bhd
Maybank Trustees Berhad
For Public Ittikal Fund (N14011970240)
6,500,000 0.55
Gaintique Sdn Bhd 5,933,300 0.50
Citigroup Nominees (Asing) Sdn Bhd
CBNY
For Dimensional Emerging Markets Value Fund
5,641,966 0.48
Amanahraya Trustees Berhad
For Amanah Saham Wawasan 2020
5,000,000 0.42
Key Development Sdn Berhad 5,000,000 0.42
Cartaban Nominees (Tempatan) Sdn Bhd
PAMB
For Prulink Equity Fund
4,370,600 0.37
Amanahraya Trustees Berhad
For As 1Malaysia
3,864,700 0.33
UOB Kay Hian Nominees (Asing) Sdn Bhd
Exempt AN
For UOB Kay Hian Pte Ltd (a/c Clients)
3,655,158 0.31
Amanahraya Trustees Berhad
For Public Islamic Select Enterprises Fund
3,637,500 0.31
Ang Poon Tiak 3,565,000 0.30
Universiti Kebangsaan Malaysia 3,323,608 0.28
HSBC Nominees (Asing) Sdn Bhd
JPMCB NA
For Flexshares Morningstar Global Upstream Natural Resources
Index Fund
2,941,200 0.25
  981,263,397  82.77

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