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MPC Container Ships ASA — Major Shareholding Notification 2017
Jun 12, 2017
3666_mrq_2017-06-12_b337ea12-6abb-4430-b297-7d91a64547cc.html
Major Shareholding Notification
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Disclosure of large shareholdings
Disclosure of large shareholdings
Concorde Asset Manager as Investment manager of AIF funds
has crossed the reportable threshold of 5% of the share
capital in MPC Container Ships AS (NO0010791353)
Name of investment manager,acting behalf of the funds:
Concorde Asset Management Hungary
Registered office:
H-1123 Budapest, Alkotás u. 50 Hungary
Record date: 08.06.2017
Event triggering the notification: Acquisition of shares
Total Acquired shares:
Name of the Fund Shs
(CAY) CONCORDE COLUMBUS GLOBAL MASTER FUND 17,670
(CAY) CONCORDE PI ALTERNATIVE MASTER FUND 58,000
(MALTA) CONCORDE CEE CONVERGENCE FUND 9,000
(MALTA) CONCORDE COLUMBUS FUND 11,670
(MALTA) CONCORDE PI FUND 32,400
CONCORDE 2000 NYÍLTVÉGU BEF. ALAP 90,000
CONCORDE 3000 NYÍLTVÉGU BEFEKTETÉSI ALAP 6,400
CONCORDE COLUMBUS SZÁRM. BEF. ALAP 408,097
CONCORDE HOZAMKERESO SZÁRM.BEF.ALAP 10,800
CONCORDE NEMZETKÖZI RÉSZVÉNY ALAPOK ALAPJA 21,100
CONCORDE RÉSZVÉNY BEFEKTETÉSI ALAP 138,400
CONCORDE RUBICON SZÁRMAZTATOTT BEF ALAP 77,700
PLATINA PÍ SZÁRMAZTATOTT BEF. ALAP 180,000
Total: 1,061,237
Ownership after acquisition:
1.061.237 shares representing 5,31% of the 20.003.000 voting
rights and of the share capital