INDOFOOD AGRI RESOURCES LTD
ANNUAL REPORT 2015
152.
S
T
A
T
I
S
T
I
C
S
O
F
S
H
A
R
E
H
O
L
D
I
N
G
S
As at 15 March 2016
Number of Issued Shares
:
1,447,782,830
Number of Issued Shares (excluding Treasury Shares)
:
1,395,904,530 ordinary shares
Number/Percentage of Treasury Shares
:
51,878,300 (3.58%)
Class of Shares
:
Ordinary Shares
Voting Rights (excluding Treasury Shares)
:
1 vote per share
DISTRIBUTION OF SHAREHOLDINGS
Size of Shareholdings
Number of Shareholders
% Number of Shares *
%
1 – 999
17
0.21
319
0.00
100 – 1,000
725
8.94
485,422
0.03
1,000 – 10,000
4,643
57.26
27,443,125
1.97
10,001 – 1,000,000
2,698
33.28
120,903,554
8.66
1,000,001 and above
25
0.31
1,247,072,110
89.34
TOTAL
8,108
100.00
1,395,904,530
100.00
*
Based on total number of issued shares, excluding 51,878,300 shares held in treasury.
TWENTY LARGEST SHAREHOLDERS
No.
Name
Number of shares
% **
1
UOB KAY HIAN PRIVATE LIMITED
1,025,486,330
73.46
2
CITIBANK NOMINEES SINGAPORE PTE LTD
39,227,712
2.81
3
HSBC (SINGAPORE) NOMINEES PTE LTD
35,466,893
2.54
4
DBS NOMINEES (PRIVATE) LIMITED
29,046,215
2.08
5
UNITED OVERSEAS BANK NOMINEES (PRIVATE) LIMITED
22,002,400
1.58
6
RAFFLES NOMINEES (PTE) LIMITED
18,788,606
1.35
7
BANK OF SINGAPORE NOMINEES PTE. LTD.
13,778,900
0.99
8
MAYBANK KIM ENG SECURITIES PTE. LTD.
7,778,588
0.56
9
DBS VICKERS SECURITIES (SINGAPORE) PTE LTD
6,529,000
0.47
10 DBSN SERVICES PTE. LTD.
5,667,864
0.41
11 OCBC SECURITIES PRIVATE LIMITED
5,647,315
0.40
12 CIMB SECURITIES (SINGAPORE) PTE. LTD.
4,489,131
0.32
13 NOMURA SINGAPORE LIMITED
4,305,000
0.31
14 DB NOMINEES (SINGAPORE) PTE LTD
4,131,824
0.30
15 CILIANDRA FANGIONO OR FANG ZHIXIANG
3,848,000
0.28
16 PHILLIP SECURITIES PTE LTD
3,159,891
0.23
17 SCS TRUST PTE LTD
3,000,000
0.21
18 MORGAN STANLEY ASIA (SINGAPORE) SECURITIES PTE LTD
2,824,100
0.20
19 CITIBANK CONSUMER NOMINEES PTE LTD
2,697,000
0.19
20 BNP PARIBAS SECURITIES SERVICES SINGAPORE BRANCH
2,048,441
0.15
TOTAL
1,239,923,210
88.84
** Percentage is calculated based on total number of issued shares, excluding 51,878,300 shares held in treasury of the Company.