Securities (Disclosure of Interests) Daily Summaries

 

 
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 04/06/02  PAGE:   1
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
                                                            (GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)

 STOCK NAME : Asia Aluminum                  (00930)

       Director/Chief Executive        G/E     Class                 Company Name                 Quantity       Exercise Period   Ex. Price  Consideration       Note
 ------------------------------------  --- ---------------  -------------------------------  ------------------  ---------------  ---------- ---------------  -----------
 KWONG WUI CHUN                         G  ORD              ASIA ALUMINUM HOLDINGS LIMITED          8,900,000    250102-240105        0.560                1             

 STOCK NAME : Asia Logistics                 (00862)

       Director/Chief Executive        G/E     Class                 Company Name                 Quantity       Exercise Period   Ex. Price  Consideration       Note
 ------------------------------------  --- ---------------  -------------------------------  ------------------  ---------------  ---------- ---------------  -----------
 CHAN KI                                G  OPT              ASIA LOGISTICS TECHNOLOGIES LI-        57,000,000    150800-140803        0.284                1             
                                                            MITED                         

 STOCK NAME : CITIC Pacific                  (00267)

       Director/Chief Executive        G/E     Class                 Company Name                 Quantity       Exercise Period   Ex. Price  Consideration       Note
 ------------------------------------  --- ---------------  -------------------------------  ------------------  ---------------  ---------- ---------------  -----------
 YUNG CHI KIN LARRY                     G  ORD              CITIC PACIFIC LTD.                      2,000,000    280502-270507       18.200                1             

 FAN HUNG LING HENRY                    G  ORD              CITIC PACIFIC LTD.                      1,600,000    280502-270507       18.200                1             

 MOORE VERNON FRANCIS                   G  ORD              CITIC PACIFIC LTD.                      1,000,000    280502-270507       18.200                1             

 YUEN KEE TONG NORMAN                   G  ORD              CITIC PACIFIC LTD.                        500,000    280502-270507       18.200                1             

 LIU JIFU                               G  ORD              CITIC PACIFIC LTD.                        300,000    280502-270507       18.200                1             

 CHANG ZHENMING                         G  ORD              CITIC PACIFIC LTD.                        500,000    280502-270507       18.200                1             

 LEE CHUNG HING PETER                   G  ORD              CITIC PACIFIC LTD.                      1,000,000    280502-270507       18.200                1             

 STOCK NAME : Climax Int'l                   (00439)

       Director/Chief Executive        G/E     Class                 Company Name                 Quantity       Exercise Period   Ex. Price  Consideration       Note
 ------------------------------------  --- ---------------  -------------------------------  ------------------  ---------------  ---------- ---------------  -----------
 KAN SHIU CHEONG FREDERICK              G  ORD              CLIMAX INTERNATIONAL CO. LTD.          60,458,000    310801-300804        0.013                1             
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 04/06/02  PAGE:   2
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
                                                            (GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)

 STOCK NAME : Climax Int'l                   (00439)

       Director/Chief Executive        G/E     Class                 Company Name                 Quantity       Exercise Period   Ex. Price  Consideration       Note
 ------------------------------------  --- ---------------  -------------------------------  ------------------  ---------------  ---------- ---------------  -----------
 CHU HUNG LIN VICTOR                    G  ORD              CLIMAX INTERNATIONAL CO. LTD.          26,182,000    310801-300804        0.013                1             

                                        E  ORD              CLIMAX INTERNATIONAL CO. LTD.          10,000,000           -              -                   0             

 CHAN HOI LAM                           G  ORD              CLIMAX INTERNATIONAL CO. LTD.          29,182,000    310801-300804        0.013                1             

 CHAN HOI LAM                           G  ORD              CLIMAX INTERNATIONAL CO. LTD.          26,182,000    310801-300804        0.013                1             

                                        E  ORD              CLIMAX INTERNATIONAL CO. LTD.           3,000,000           -              -                   0             

 KAN SHIU CHEONG FREDERICK              G  ORD              CLIMAX INTERNATIONAL CO. LTD.          40,458,000    310801-300804        0.013                1             

                                        E  ORD              CLIMAX INTERNATIONAL CO. LTD.          20,000,000           -              -                   0             

 CHU HUNG LIN VICTOR                    G  ORD              CLIMAX INTERNATIONAL CO. LTD.          26,182,000    310801-300804        0.013                1             

 STOCK NAME : Global Green                   (00274)

       Director/Chief Executive        G/E     Class                 Company Name                 Quantity       Exercise Period   Ex. Price  Consideration       Note
 ------------------------------------  --- ---------------  -------------------------------  ------------------  ---------------  ---------- ---------------  -----------
 LI KWONG MO PETER                      G  OPT              GLOBAL GREEN TECH GROUP LIMITE-         4,000,000    040101-030104        0.800                1             
                                                            D                             

 WONG WAI KWAN CONNIE                   G  OPT              GLOBAL GREEN TECH GROUP LIMITE-           415,375    040101-030104        0.800                1             
                                                            D                             

 STOCK NAME : HSBC Holdings                  (00005)

       Director/Chief Executive        G/E     Class                 Company Name                 Quantity       Exercise Period   Ex. Price  Consideration       Note
 ------------------------------------  --- ---------------  -------------------------------  ------------------  ---------------  ---------- ---------------  -----------
 DE CROISSET CHARLES PRANCIS WIENER     G  ORD EURO5(EURO)  CREDIT COMMERCIAL DE FRANCE                10,000    230694-230604       32.780                0  N16        

                                        G  ORD EURO5(EURO)  CREDIT COMMERCIAL DE FRANCE                30,000    220695-220605       34.000                0  N16        
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 04/06/02  PAGE:   3
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
                                                            (GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)

 STOCK NAME : HSBC Holdings                  (00005)

       Director/Chief Executive        G/E     Class                 Company Name                 Quantity       Exercise Period   Ex. Price  Consideration       Note
 ------------------------------------  --- ---------------  -------------------------------  ------------------  ---------------  ---------- ---------------  -----------
 DE CROISSET CHARLES PRANCIS WIENER     G  ORD EURO5(EURO)  CREDIT COMMERCIAL DE FRANCE                30,000    090596-090506       35.520                0  N16        

                                        G  ORD EURO5(EURO)  CREDIT COMMERCIAL DE FRANCE                30,000    070597-070507       37.050                0  N16        

                                        G  ORD EURO5(EURO)  CREDIT COMMERCIAL DE FRANCE                30,000    290498-290408       73.500                0  N16        

                                        G  ORD EURO5(EURO)  CREDIT COMMERCIAL DE FRANCE                28,000    070499-070409       81.710                0  N16        

                                        G  ORD EURO5(EURO)  CREDIT COMMERCIAL DE FRANCE                28,000    120400-120410      142.500                0  N16        

                                        G  ORD US$0.5(GBP)  HSBC HOLDINGS PLC                         206,000    230404-230411        8.712                0             

                                        G  ORD US$0.5(GBP)  HSBC HOLDINGS PLC                         206,000    070505-070512        8.405                0             

 STOCK NAME : Hikari Tsushin                 (00603)

       Director/Chief Executive        G/E     Class                 Company Name                 Quantity       Exercise Period   Ex. Price  Consideration       Note
 ------------------------------------  --- ---------------  -------------------------------  ------------------  ---------------  ---------- ---------------  -----------
 SUZUKI MASANORI                        G  OPT              HIKARI TSUSHIN INTERNATIONAL L-        40,000,000    201000-190403        0.739                1             
                                                            IMITED                        

                                        G  OPT              HIKARI TSUSHIN INTERNATIONAL L-         9,000,000    120601-110503        0.210                1             
                                                            IMITED                        

 STOCK NAME : Kerry Ppt                      (00683)

       Director/Chief Executive        G/E     Class                 Company Name                 Quantity       Exercise Period   Ex. Price  Consideration       Note
 ------------------------------------  --- ---------------  -------------------------------  ------------------  ---------------  ---------- ---------------  -----------
 ANG KENG LAM                           G  ORD              KERRY PROPERTIES LTD                    1,693,547    110499-260307       15.500                1             

                                        G  ORD              KERRY PROPERTIES LTD                      412,787    270500-260307       10.010                1             

                                        G  ORD              KERRY PROPERTIES LTD                      412,787    270501-260307       10.010                1             
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 04/06/02  PAGE:   4
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
                                                            (GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)

 STOCK NAME : Kerry Ppt                      (00683)

       Director/Chief Executive        G/E     Class                 Company Name                 Quantity       Exercise Period   Ex. Price  Consideration       Note
 ------------------------------------  --- ---------------  -------------------------------  ------------------  ---------------  ---------- ---------------  -----------
 ANG KENG LAM                           G  ORD              KERRY PROPERTIES LTD                      337,000    010601-310510        6.960                1             

                                        G  ORD              KERRY PROPERTIES LTD                      337,000    010602-310510        6.960                1             

                                        G  ORD              KERRY PROPERTIES LTD                      335,568    010603-310510        6.960                1             

                                        G  ORD              KERRY PROPERTIES LTD                      500,000    160403-150412        7.100                1             

                                        G  ORD              KERRY PROPERTIES LTD                      500,000    160404-150412        7.100                1             

                                        G  ORD              KERRY GROUP LTD                         6,000,000    041100-030507        4.200                0             

 BECZAK THADDEUS THOMAS                 G  ORD              KERRY PROPERTIES LTD                      103,196    270500-260307       10.010                1             

                                        G  ORD              KERRY PROPERTIES LTD                      103,196    270501-260307       10.010                1             

                                        G  ORD              KERRY PROPERTIES LTD                       69,000    010601-310510        6.960                1             

                                        G  ORD              KERRY PROPERTIES LTD                       69,000    010602-310510        6.960                1             

                                        G  ORD              KERRY PROPERTIES LTD                       68,034    010603-310510        6.960                1             

                                        G  ORD              KERRY GROUP LTD                         5,000,000    041100-030507        4.200                0             

 STOCK NAME : Kong Sun Hold                  (00295)

       Director/Chief Executive        G/E     Class                 Company Name                 Quantity       Exercise Period   Ex. Price  Consideration       Note
 ------------------------------------  --- ---------------  -------------------------------  ------------------  ---------------  ---------- ---------------  -----------
 KONG LI JER                            G  OPT              KONG SUN HOLDINGS LTD                  22,760,695    090102-310506        0.180                1             

 KONG LOOK SEN                          G  OPT              KONG SUN HOLDINGS LTD                  22,760,695    090102-310506        0.180                1             

 KONG LI SZU                            G  OPT              KONG SUN HOLDINGS LTD                  22,760,695    090102-310506        0.180                1             
                                                       SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES -                            PRINTED: 04/06/02  PAGE:   5
                                                        DIRECTORS'/CHIEF EXECUTIVES' NOTIFICATIONS REPORT - B
                                                            (GRANTS, ASSIGNMENTS AND EXERCISES OF RIGHTS)

 STOCK NAME : NewOcean Energy                (00342)

       Director/Chief Executive        G/E     Class                 Company Name                 Quantity       Exercise Period   Ex. Price  Consideration       Note
 ------------------------------------  --- ---------------  -------------------------------  ------------------  ---------------  ---------- ---------------  -----------
 CHENG WAI LEUNG                        G  ORD              NEWOCEAN GREEN ENERGY HOLDINGS-        40,000,000    211201-201206        0.100                1             
                                                             LIMITED                      

                                        E                                                                   0           -              -                   0             

 STOCK NAME : PCCW                           (00008)

       Director/Chief Executive        G/E     Class                 Company Name                 Quantity       Exercise Period   Ex. Price  Consideration       Note
 ------------------------------------  --- ---------------  -------------------------------  ------------------  ---------------  ---------- ---------------  -----------
 BUTCHER MICHAEL JOHN                   G  ORD              PACIFIC CENTURY CYBERWORKS LIM-        28,000,000    290403-290412        1.990                1             
                                                            ITED                          

                                                                     *****  END OF REPORT  *****


NOTES:

N1     Scrip dividend

N2     Please refer to the Company's circular of 29 May 2002.

N3     Please refer to the Company's circular of 24 May 2002.

N4     Please refer to the Company's announcement of 6 February 2002 and
       circular of 27 February 2002.

N5     Exercise of share option

N6     Acquisitions were made from 29/05/02 to 31/05/02 at prices ranging
       from $3.90 to $3.95 per share.

N7     Disposal by the Trustee of HSBC Holdings General Employee Benefit
       Trust.

N8     Consideration per share:  13 HSBC Ordinary Shares of US$0.50 each
                                 for each Credit Commercial de France share
                                 of Euro 5 each.

N9     Based on information provided by Husky Energy Inc. ("Husky"), L.F.
       Investments (Barbados) Ltd ("LFI") exercised its rights to subscribe
       for and purchase 273,836 common shares of Husky which was reported by
       Mr. Li Tzar Kuoi, Victor on 26th February, 2002.  Husky has recently
       advised LFI that the number of commoon shares that LFI was able to
       subscribe for and purchase should have been 123,179 common shares.
       Accordingly, the balance of common shares reported on 26th February,
       2002 should be reduced by 150,657 common shares to 137,419,318.
       Correspondingly, the balance of transferable warrants should be
       increased by 81,129 transferable warrants to 236,794.

       On 28th May, 2002, LFI exercised its right to subscribe for and
       purchase 37,756 common shares in Husky in accordance with and subject
       to the provisions of the transferable warrants.  Upon exercise of its
       right to acquire 37,756 common shares, the number of transferable
       warrants held by LFI was reduced by 20,332 transferable warrants.

N10    The total number of shares deemed to be held by Mr. Li Ka-shing
       include 2,130,202,773 Hutchison Whampoa Limited ("HWL") shares
       (representing 49.97% as of 3rd June, 2002) held by Cheung Kong
       (Holdings) Limited and 10,470,000 HWL shares held by his family trust
       structure.

N11    Based on information provided by Husky Energy Inc. ("Husky"),
       L.F. Investments (Barbados) Ltd. ("LFI") and H.F. Investments
       (Barbados) Ltd. ("HFI") exercised their rights to subscribe for and
       purchase 273,836 and 29,764 common shares, respectively, of Husky
       which was reported by Mr. Li Ka-shing on 26th February, 2002. Husky
       has recently advised LFI and HFI that the number of common shares
       that LFI and HFI were able to subscribe for and purchase should have
       been 123,179 and 13,389 common shares, respectively.  Accordingly,
       the balances of common shares reported on 26th February, 2002 should
       be reduced by 150,657 and 16,375 common shares to 137,419,318 and
       14,936,883, respectively.  Correspondingly, the balance of transferable
       warrants should be increased by 81,129 and 8,819 transferable warrants
       to 236,794 and 25,739, respectively.

       On 28th May, 2002, LFI exercised its right to subscribe for and
       purchase 37,756 common shares in Husky in accordance with and subject
       to the provisions of the transferable warrants.  Upon exercise of its
       right to acquire 37,756 common shares, the number of transferable
       warrants held by LFI was reduced by 20,332 transferable warrants.

       On 28th May, 2002, HFI exercised its right to subscribe for and
       purchase 4,104 common shares in Husky in accordance with and subject
       to the provisions of the transferable warrants.  Upon exercise of its
       right to acquire 4,104 common shares, the number of transferable
       warrants held by HFI was reduced by 2,210 transferable warrants.

N12    Acquisitions were made from 27/05/02 to 29/05/02 at prices ranging
       from $0.183 to $0.185 per share.

N13    Please refer to the Company's announcement of 31 May 2002.

N14    Consideration per unit : $0.105 - $0.115

N15    Consideration per unit : $1.80 - $1.85

N16    Options granted by Credit Commercial de France ("CCFj") which,
       following the success of the offer for CCF, have vested.  When these
       options are exercised the CCF shares issued will exchangeable in the
       same ratio as for the acquisition of CCF - 13 HSBC Holdings plc
       Ordinary Shares of US$0.50 each for 1 CCF share.

N17    Consideration per unit : $0.120 - $0.123

N18    On 22 May 2002, Mr. Butcher Michael John entered into an agreement
       pursuant to which, subject to further terms and conditions, Michael
       John Butcher will acquire legal and beneficial ownership of an
       aggregate of 5,814,000 existing shares in Pacific Century CyberWorks
       Limited in three equal annual installments on 3 April 2003, 3 April
       2004 and 3 April 2005.

N19    Consideration per unit : $0.76 - $0.77

N20    SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES
       SUBSTANTIAL SHAREHOLDERS' NOTIFICATIONS REPORT

       Stock Name: Manulife Financial Corporation (stock code: 945)
       *ISC as at 27/05/02 : 482,595,628

       The Securities and Futures Commission has granted Manulife Financial
       Corporation ("MFC") a partial exemption from compliance with the
       Securities (Disclosure of Interests) Ordinance pursuant to guidelines
       published under section 2A of the Ordinance.  Under the partial
       exemption, MFC is not required to prepare registers, maintain records
       or file, and MFC's corporate insiders are not required to file, with
       Hong Kong regulatory authorities disclosure of interest reports
       pursuant to the Ordinance on the condition that MFC will file with
       the SEHK disclosures of interests made in Canada and the U.S. where
       it maintains primary listings.

       1.  Under Canadian law, 10% shareholders of MFC have to file reports
           to the Ontario Securities Commission ("OSC").  Reports made by 10%
           shareholders, if any, can be found in OSC website www.sedar.com.
           MFC has agreed to monitor the OSC Weekly Bulletin and Insider
           Early Warning Report Press Releases every two weeks and if any
           reports by or concerning 10% shareholders and filed, MFC will
           provide a hard copy to the SEHK for inspection by the Hong Kong
           public.  So far, the SEHK has not received any such reports from
           MFC.
    
       2.  Under U.S. law, 5% shareholders of MFC have to file reports to
           the U.S. Securities and Exchange Commission ("SEC") pursuant to
           Schedule 13G/13D of the Securities and Exchange Act 1934 of the
           United States.  Up-to-date reports made by 5% shareholders, if
           any, can be found in SEC website at www.sec.gov.  MFC has agreed
           to monitor the SEC website every two weeks and if any reports on
           5% shareholders are filed, MFC will provide a hard copy to the
           SEHK for inspection by the Hong Kong public.  So far, the SEHK
           has not received any such reports from MFC.

       3.  Hard copies of filings or reports provided by MFC under paragraphs
           1 and 2 above (if any) are available for inspection at the SEHK's
           office at 11/F., One International Finance Centre, 1 Harbour View
           Street, Central, Hong Kong, and upon request in writing to MFC at
           MFC's office at Manulife Plaza, The Lee Gardens, 48th Floor, 33
           Hysan Avenue, Causeway Bay, Hong Kong.  For enquiries or arrange-
           ments regarding inspection at the SEHK please contact the SEHK
           SDI Unit (Mr. Chan (2840-3707) or Miss Tsui (2840-3769)).
  
       * ISC refers to the latest Issued Share Capital of the listed company
         recorded by the Exchange as at the date of this summaries.  It might
         not promptly reflect changes caused by share placements, rights
         issue, bonus issue, etc.  Readers should exercise caution when using
         these figures.

N21    SECURITIES (DISCLOSURE OF INTERESTS) DAILY SUMMARIES
       DIRECTORS' AND CHIEF EXECUTIVES' NOTIFICATIONS REPORT
  
       Stock Name: Manulife Financial Corporation (stock code: 945)
       *ISC as at 27/05/02 : 482,595,628

       The Securities and Futures Commission has granted Manulife Financial
       Corporation ("MFC") a partial exemption from compliance with the
       Securities (Disclosure of Interests) Ordinance pursuant to guidelines
       published under section 2A of the Ordinance.  Under the partial
       exemption, MFC is not required to prepare registers, maintain records
       or file, and MFC's corporate insiders are not required to file, with
       Hong Kong regulatory authorities disclosure of interest reports
       pursuant to the Ordinance on the condition that MFC will file with
       the SEHK disclosures of interests made in Canada and the U.S. where
       it maintains primary listings.

       1.  Under Canadian law, "insiders" including directors of MFC have
           to file reports to the Ontario Securities Commission ("OSC")
           in Form 55 pursuant to the Ontario Securities Act.  No Form 55
           filings have been made by MFC today.
    
       2.  MFC is presently a "foreign private issuer" under U.S. law.  As
           such, no directors of MFC are required to make any disclosure of
           interests filings under the Securities Exchange Act 1934 of the
           United States.  
    
       *  ISC refers to the latest Issued Share Capital of the listed company
          recorded by the Exchange as at the date of this summaries.  It
          might not promptly reflect changes caused by share placements,
          rights issue, bonus issue, etc.  Readers should exercise caution
          when using these figures.