For the month ended (dd/mm/yyyy) : | 31/10/2015 |
To : Hong Kong Exchanges and Clearing Limited
Name of Scheme | Link Real Estate Investment Trust |
Date Submitted | 3 November 2015 |
Stock Code | 823 |
Movements in Interests
Balance at close of preceding month
No. of units
(1)
(2)
2,252,468,136
N/A
Increase / (decrease) during the month
Nil
N/A
AGM approval date
N/A
N/A
Balance at close of the month
2,252,468,136
N/A
Details of Movements in Units
Unit Options (under Unit Option Schemes of the Scheme)
Particulars of unit option scheme including EGM approval date (dd/mm/yyyy) | Movement during the month | No. of new units in Scheme issued during the month pursuant thereto | No. of new units in Scheme which may be issued pursuant thereto as at close of the month | ||||
Granted | Exercised | Cancelled | Lapsed | ||||
1. Long-term | NIL | ||||||
incentive plan | |||||||
(23/07/2007) | |||||||
(see remark) | NIL | NIL | NIL | NIL | NIL | ||
2. | |||||||
( / / ) | |||||||
3. | |||||||
( / / ) | |||||||
Total | A. NIL | ||||||
Total funds raised during the month from exercise of options (State currency) | NIL |
Warrants to Issue Units in the Scheme which are to be Listed
Description of warrants (Date of expiry - dd/mm/yyyy) | Currency of nominal value | Nominal value at close of preceding month | Exercised during the month | Nominal value at close of the month | No. of new units in Scheme issued during the month pursuant thereto | No. of new units in Scheme which may be issued pursuant thereto as at close of the month | |
1. N/A | N/A | ||||||
N/A | N/A | N/A | N/A | N/A | |||
( / / ) | |||||||
Stock code (if listed) | |||||||
Subscription price | |||||||
EGM approval date (if applicable) (dd/mm/yyyy) | ( / / ) | ||||||
2. | |||||||
( / / ) | |||||||
Stock code (if listed) | |||||||
Subscription price | |||||||
EGM approval date (if applicable) (dd/mm/yyyy) | ( / / ) | ||||||
3. | |||||||
( / / ) | |||||||
Stock code (if listed) | |||||||
Subscription price | |||||||
EGM approval date (if applicable) (dd/mm/yyyy) | ( / / ) | ||||||
4. | |||||||
( / / ) | |||||||
Stock code (if listed) | |||||||
Subscription price | |||||||
EGM approval date (if applicable) (dd/mm/yyyy) | ( / / ) | ||||||
Total B. | N/A |
Convertibles (i.e. Convertible into Units in the Scheme which are to be Listed)
Class and description | Currency of Am amount outstanding | ount at close of preceding month | Converted during the month | Amount at close of the month | No. of new units in Scheme issued during the month pursuant thereto | No. of new units in Scheme which may be issued pursuant thereto as at close of the month | |
1. N/A | N/A | ||||||
N/A | N/A | N/A | N/A | N/A | |||
Stock code (if listed) | |||||||
Subscription price | |||||||
EGM approval date (if applicable) (dd/mm/yyyy) | ( / / ) | ||||||
2. | |||||||
Stock code (if listed) | |||||||
Subscription price | |||||||
EGM approval date (if applicable) (dd/mm/yyyy) | ( / / ) | ||||||
3. | |||||||
Stock code (if listed) | |||||||
Subscription price | |||||||
EGM approval date (if applicable) (dd/mm/yyyy) | ( / / ) | ||||||
4. | |||||||
Stock code (if listed) | |||||||
Subscription price | |||||||
EGM approval date (if applicable) (dd/mm/yyyy) | ( / / ) | ||||||
Total C. | N/A |
distributed by |