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Dec 20, 2011
Completion Of Loan Refinancing
Dec 01, 2011
FSL Trust Secures US$479.6 Million 6-Year Amortising Term Loan Facility
Nov 21, 2011
Notice To Unitholders On Forex Rate
Nov 09, 2011
Settlement For Daxin Proceedings
Oct 20, 2011
Notice Of Book Closure Date For Distribution
Oct 20, 2011
Auditors' Comments On Accounts
Oct 20, 2011
Notice Of Books Closure & Distribution Payment Date
Oct 20, 2011
FSL Trust Holds 3QFY11 Distribution Steady At US0.95¢ Per Unit
Oct 20, 2011
Third Quarter Results Financial Statement And Related Announcement
Oct 11, 2011
Timetable For Release Of Financial Results And Distributions
Aug 19, 2011
Notice Of Cessation Of Substantial Shareholding
Aug 19, 2011
Notice Of Cessation Of Substantial Shareholding
Aug 19, 2011
Notice To Unitholders On Forex Rate
Aug 16, 2011
Notice Of A Change In The Percentage Level Of A Substantial Shareholder's Interest
Aug 16, 2011
Notice Of A Change In The Percentage Level Of A Substantial Shareholder's Interest
Aug 12, 2011
Appeals In Proceedings In Japan And PRC
Jul 20, 2011
Notice Of Book Closure Date For Distribution
Jul 20, 2011
Auditors' Comments On Accounts
Jul 20, 2011
Notice Of Books Closure & Distribution Payment Date
Jul 20, 2011
FSL Trust Generates Healthy Cash Flow, Maintains Distribution At US0.95¢ Per Unit In 2QFY11
Jul 20, 2011
Second Quarter Results Financial Statement And Related Announcement
Jul 18, 2011
Update On Daxin Proceedings In Japan And PRC
Jul 14, 2011
Notice To Unitholders On Forex Rate
Jul 11, 2011
Timetable For Release Of Financial Results And Distribution
Jun 24, 2011
Utilisation Of Proceeds From Placement Of Up To 57,000,000 New Units In First Ship Lease Trust ("2011 Placement")
Jun 24, 2011
Utilisation Of Proceeds From Placement Of Up To 100,000,000 New Units In First Ship Lease Trust ("2009 Placement")
Jun 24, 2011
FSL Trust Completes Acquisition Of MT TORM Marie
Jun 24, 2011
Notice Of A Change In The Percentage Level Of A Substantial Shareholder's Interest
Jun 23, 2011
Notice Of A Change In The Percentage Level Of A Substantial Shareholder's Interest
Jun 23, 2011
Notice Of A Change In The Percentage Level Of A Substantial Shareholder's Interest
Jun 23, 2011
Placement Of Up To 57,000,000 New Units In FSL Trust - Allotment And Issue Of 56,000,000 New Units
Jun 16, 2011
Placement Of Up To 57,000,000 New Units In First Ship Lease Trust - Receipt Of In-Principle Approval And Confirmation Of Stub Distribution And Payment Date
Jun 16, 2011
Utilisation Of Proceeds From Placement Of Up To 100,000,000 New Units In First Ship Lease Trust ("2009 Placement")
Jun 16, 2011
FSL Trust Completes Acquisition Of MT TORM Margrethe
Jun 09, 2011
Request For Lifting Of Trading Halt
Jun 09, 2011
Placement Of Up To 57,000,000 New Units In First Ship Lease Trust - Final Determination Of Number And Issue Price Of New Units
Jun 09, 2011
Notice Of Book Closure Date For Distribution
Jun 09, 2011
Placement Of Up To 57,000,000 New Units In First Ship Lease Trust And Announcement Of Books Closure And Stub Distribution Payment Dates
Jun 09, 2011
FSL Trust To Acquire Second Long Range II Product Tanker
Jun 09, 2011
Request For Trading Halt
Jun 01, 2011
First Ship Lease Trust To Acquire Its First Long Range II Product Tanker For US$46 Million
May 20, 2011
Notice To Unitholders On Forex Rate
Apr 20, 2011
Notice Of Book Closure Date For Distribution
Apr 20, 2011
First Ship Lease Trust Maintains Distribution At US0.95¢ Per Unit For 1Q FY11
Apr 20, 2011
Notice Of Books Closure & Distribution Payment Date
Apr 20, 2011
First Quarter Results Financial Statement And Related Announcement
Apr 11, 2011
Notice Of Cessation Of Substantial Shareholding
Apr 11, 2011
Notice Of Cessation Of Substantial Shareholding
Apr 08, 2011
Timetable For Release Of Financial Results And Distributions
Apr 06, 2011
Results Of The Fourth Annual General Meeting And Extraordinary General Meeting
Mar 31, 2011
Notice Of A Change In The Percentage Level Of A Substantial Shareholder's Interest
Mar 15, 2011
Notice Of Extraordinary General Meeting
Mar 15, 2011
Meeting Schedule For AGM
Mar 11, 2011
PFIC Annual Information Statement
Mar 01, 2011
Audited Financial Statements For Year Ended 31 Dec 2010
Feb 18, 2011
Notice To Unitholders On Forex Rate
Jan 31, 2011
Report Of Persons Occupying Managerial Positions Who Are Related To A Director; CEO Or Substantial Shareholder
Jan 20, 2011
Notice Of Book Closure Date For Distribution
Jan 19, 2011
Notice Of Books Closure & Distribution Payment Date
Jan 19, 2011
First Ship Lease Trust Maintains Distribution At US0.95¢ Per Unit For 4QFY10
Jan 19, 2011
Full Year Results Financial Statement And Related Announcement
Jan 07, 2011
Timetable For Release Of Financial Results And Distributions