AI Terminal

MODULE: AI_ANALYST
Interactive Q&A, Risk Assessment, Summarization
MODULE: DATA_EXTRACT
Excel Export, XBRL Parsing, Table Digitization
MODULE: PEER_COMP
Sector Benchmarking, Sentiment Analysis
SYSTEM ACCESS LOCKED
Authenticate / Register Log In

MPC Container Ships ASA

Major Shareholding Notification Mar 24, 2021

3666_mrq_2021-03-24_a5a12ba6-c194-4b36-a8f7-9ca1eec3ac79.pdf

Major Shareholding Notification

Open in Viewer

Opens in native device viewer

Oslo Bors

0105 Oslo Boksz 460 Sentrum Norway

MPC Container Ship AS – Change of significant shareholdings under the Norwegian Securities Trading Act, section 4.

Dear Sir or Madam,

We would like to inform you that HOLD Asset Management Ltd. as investment manager of the investment funds detailed below decreased ownership in MPC Container Ships AS (NO0010791353) below 5%.

  1. Name of person subject to the notification requirement: HOLD Asset Management Ltd. (acting in the name and on behalf of the managed investment funds)

  2. Background for the notification: Crossing the 5% shareholding threshold

    1. Name of the issuer: MPC Container Ships AS.
    1. Description of the financial instrument: Shares (NO0010791353)
    1. Type of transaction: Sale of the shares of the Issuer
    1. Timing of and market for the transaction: March 22, 2021, Oslo Bors (XOSL)
    1. Volume of the transaction: 2,017,112
  3. Holding after the transaction: 17,699,646 shares, representing 4.49% of the of the 394,256,127 voting rights and of the share capital.

Name of investment manager acting in the name and on behalf of the funds: HOLD Asset Management Ltd. Registered office: H-1123 Budapest, Alkotás u. 50., Hungary Trade date of Sale: March 22, 2021 Settlement date of Sale: March 24, 2021 Event triggering the notification: decrease of voting rights

NAME OF INVESTMENT FUND NUMBER OF
SHARES
HOLD KÖZÉP-EURÓPAI RÉSZVÉNY BEFEKTETÉSI ALAP 406,812
CITADELLA SZÁRMAZTATOTT BEFEKTETÉSI ALAP 1,860,000
HOLD RÉSZVÉNY BEFEKTETÉSI ALAP 2,907,557
HOLD NEMZETKÖZI RÉSZVÉNY ALAPOK ALAPJA 157,270
(MALTA) HOLD DEEP TURTLE FUND 1,775,000
(MALTA) CONCORDE COLUMBUS OPPORTUNITIES 456,602
HOLD 2024 DEEP VALUE NYÍLTVÉGŰ BEFEKTETÉSI ALAP 652,442
HOLD ORION SZÁRMAZTATOTT BEFEKTETÉSI ALAP 341,220
HOLD 2000 NYÍLTVÉGU BEFEKTETÉSI ALAP 1,387,190
SUPERPOSITION SZÁRMAZTATOTT BEFEKTETÉSI ALAP 208,038
HOLD KONVERGENCIA RÉSZVÉNY BEFEKTETÉSI ALAP 149,198
ADÜTON SZÁRMAZTATOTT BEFEKTETÉSI ALAP 939,317
HOLD EXPEDÍCIÓ SZÁRMAZTATOTT BEFEKTETÉSI ALAP 432,018
(MALTA) HOLD CEE CONVERGENCE FUND 145,957
HOLD 3000 NYÍLTVÉGU BEFEKTETÉSI ALAP 103,486
HOLD RUBICON SZÁRMAZTATOTT BEFEKTETÉSI ALAP 2,113,502
HOLD COLUMBUS GLOBÁLIS ÉRTÉKALAPÚ SZÁRMAZTATOTT
BEFEKTETÉSI ALAP
3,664,037
TOTAL 17,699,646

This notification has also been forwarded to the issuer.

Should you have any further questions in the above matter, please do not hesitate to contact Mr. Bertalan Rák.

Contact details: [email protected]

Budapest, March 23, 2021

Best Regards,

HOLD Asset Management

Móricz Dániel CIO

Talk to a Data Expert

Have a question? We'll get back to you promptly.