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THR Thor Energy Plc

1.20
0.00 (0.00%)
26 Apr 2024 - Closed
Delayed by 15 minutes
Share Name Share Symbol Market Type Share ISIN Share Description
Thor Energy Plc LSE:THR London Ordinary Share GB00BRJ52319 ORD GBP0.001
  Price Change % Change Share Price Bid Price Offer Price High Price Low Price Open Price Shares Traded Last Trade
  0.00 0.00% 1.20 1.10 1.30 1.20 1.20 1.20 64,216 08:00:00
Industry Sector Turnover Profit EPS - Basic PE Ratio Market Cap
Misc Nonmtl Minrls, Ex Fuels 0 -520k -0.0019 -6.32 3.34M

Thor Mining PLC Appendix 3Y (1921R)

07/12/2016 9:03am

UK Regulatory


Thor Energy (LSE:THR)
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From Apr 2019 to Apr 2024

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TIDMTHR

RNS Number : 1921R

Thor Mining PLC

07 December 2016

Wednesday, 7 December 2016

THOR MINING PLC

Thor Mining PLC ("Thor" or the "Company")

The Directors of Thor Mining PLC (AIM, ASX: THR) today released the following announcement on the Australian Securities Exchange ("ASX") as required under the listing rules of the ASX.

Rule 3.19A.2

Appendix 3Y

Change of Director's Interest Notice

Information or documents not available now must be given to ASX as soon as available. Information and documents given to ASX become ASX's property and may be made public.

Introduced 30/9/2001.

 
Name of entity: Thor Mining PLC 
------------------------------- 
ARBN: 121 117 673 
------------------------------- 
 

We (the entity) give ASX the following information under listing rule 3.19A.2 and as agent for the director for the purposes of section 205G of the Corporations Act.

 
 Name of Director      Michael Robert Billing 
--------------------  ----------------------- 
 Date of last notice   28 November 2016 
--------------------  ----------------------- 
 

Part 1 - Change of director's relevant interests in securities

In the case of a trust, this includes interests in the trust made available by the responsible entity of the trust

 
 Direct or indirect            Direct & Indirect 
  interest 
----------------------------  ------------------------------------------------------------ 
 Nature of indirect            Michael Billing is: 
  interest                       *    a trustee and beneficiary of the Lapun Kamap Super 
  (including registered               Fund and 
  holder) 
  Note: Provide details 
  of the circumstances           *    a director and shareholder of MBB Trading Pty Ltd. 
  giving rise to the 
  relevant interest. 
----------------------------  ------------------------------------------------------------ 
 Date of change                1 December 2016 
----------------------------  ------------------------------------------------------------ 
 No. of securities 
  held before change             *    154,333,542 CDIs 
  - Direct 
 
                                 *    2,500,000 AIM listed Shares 
----------------------------  ------------------------------------------------------------ 
 No. of securities              Held by Mr M Billing and 
  held before change             Mrs B Billing as trustees 
  - Indirect                     and beneficiaries of the 
                                 Lapun Kamap Super Fund. 
                                  *    259,342,268 CDIs 
 
 
                                  *    139,126,000 Unlisted Options (expiry 11 April 2019, 
                                       exercise price GBP0.0005) 
 
 
                                  *    100,000,000 Unlisted Options (expiry 26 July 2019, 
                                       exercise price GBP0.0005) 
 
 
 
                                 Held by MBB Trading Pty Ltd 
                                  *    202,955,348 CDI 
 
 
                                  *    80,000,000 Unlisted Options (expiry 11 April 2019, 
                                       exercise price GBP0.0005) 
----------------------------  ------------------------------------------------------------ 
 Class                         CDIs 
                                AIM listed shares 
                                Unlisted options 
----------------------------  ------------------------------------------------------------ 
 Number acquired -             N/A 
  Direct 
----------------------------  ------------------------------------------------------------ 
 Number acquired -             N/A 
  Indirect 
----------------------------  ------------------------------------------------------------ 
 Number disposed                     N/A 
----------------------------  ------------------------------------------------------------ 
 Value/Consideration           N/A 
  (a) Note: If consideration 
  is non-cash, provide 
  details and estimated 
  valuation 
----------------------------  ------------------------------------------------------------ 
 No. of securities 
  held after change              *    6,173,340 CDIs 
  - Direct 
 
                                 *    100,000 AIM listed Shares 
----------------------------  ------------------------------------------------------------ 
 No. of securities              Held by Mr M Billing and 
  held after change              Mrs B Billing as trustees 
  - Indirect                     and beneficiaries of the 
                                 Lapun Kamap Super Fund. 
                                  *    10,373,689 CDIs 
 
 
                                  *    5,565,040 Unlisted Options (expiry 11 April 2019, 
                                       exercise price GBP0.0125) 
 
 
                                  *    4,000,000 Unlisted Options (expiry 26 July 2019, 
                                       exercise price GBP0.0125) 
 
 
 
                                 Held by MBB Trading Pty Ltd 
                                  *    8,118,213 CDIs 
 
 
                                  *    3,200,000 Unlisted Options (expiry 11 April 2019, 
                                       exercise price GBP0.0125) 
----------------------------  ------------------------------------------------------------ 
 Nature of change              A share consolidation of 
  (b) Example: on-market        25 fully paid ordinary shares 
  trade, off-market             or CDIs into one fully paid 
  trade, exercise of            share or CDI, as approved 
  options, issue of             by shareholders on 24 November 
  securities under dividend     2016. 
  reinvestment plan, 
  participation in buy-back 
----------------------------  ------------------------------------------------------------ 
 

Part 2 - Change of director's interests in contracts

 
 Detail of contract 
-------------------------- 
 Nature of interest 
-------------------------- 
 Name of registered 
  holder 
  (if issued securities) 
-------------------------- 
 Date of change 
-------------------------- 
 No. and class of 
  securities to which 
  interest related 
  prior to change 
  Note: Details are 
  only required for 
  a contract in relation 
  to which the interest 
  has changed 
-------------------------- 
 Interest acquired 
-------------------------- 
 Interest disposed 
-------------------------- 
 Value/Consideration 
  Note: If consideration 
  is non-cash, provide 
  details and an estimated 
  valuation 
-------------------------- 
 Interest after change 
-------------------------- 
 

Part 3 - +Closed period

 
 Were the interests         No. 
  in the securities 
  or contracts detailed 
  above traded during 
  a +closed period 
  where prior written 
  clearance was required? 
-------------------------  ---- 
 If so, was prior           N/A 
  written clearance 
  provided to allow 
  the trade to proceed 
  during this period? 
-------------------------  ---- 
 If prior written           N/A 
  clearance was provided, 
  on what date was 
  this provided? 
-------------------------  ---- 
 

Rule 3.19A.2

Appendix 3Y

Change of Director's Interest Notice

Information or documents not available now must be given to ASX as soon as available. Information and documents given to ASX become ASX's property and may be made public.

Introduced 30/9/2001.

 
Name of entity: Thor Mining PLC 
------------------------------- 
ARBN: 121 117 673 
------------------------------- 
 

We (the entity) give ASX the following information under listing rule 3.19A.2 and as agent for the director for the purposes of section 205G of the Corporations Act.

 
 Name of Director      Gervaise Heddle 
--------------------  ----------------- 
 Date of last notice   28 November 2016 
--------------------  ----------------- 
 

Part 1 - Change of director's relevant interests in securities

In the case of a trust, this includes interests in the trust made available by the responsible entity of the trust

 
 Direct or indirect           Direct 
  interest 
---------------------------  ------------------------------------------------------------- 
 Nature of indirect                        N/A 
  interest 
  (including registered 
  holder) 
  Note: Provide details 
  of the circumstances 
  giving rise to the 
  relevant interest. 
---------------------------  ------------------------------------------------------------- 
 Date of change               1 December 2016 
---------------------------  ------------------------------------------------------------- 
 No. of securities 
  held prior to change           *    115,948,963 Ordinary Shares 
  -Direct 
 
                                 *    100,000,000 Unlisted Options (expiry 7 April 2019, 
                                      exercise price GBP0.0005) 
 
 
                                 *    100,000,000 Unlisted Options (expiry 26 July 2019, 
                                      exercise price GBP0.0005) 
---------------------------  ------------------------------------------------------------- 
 No. of securities            Nil 
  held prior to change- 
  Indirect 
---------------------------  ------------------------------------------------------------- 
 Class                        Ordinary Shares (AIM listed) 
                               Unlisted options 
---------------------------  ------------------------------------------------------------- 
 Number acquired -            N/A 
  Direct 
---------------------------  ------------------------------------------------------------- 
 Number acquired -            N/A 
  Indirect 
---------------------------  ------------------------------------------------------------- 
 Number disposed              N/A 
---------------------------  ------------------------------------------------------------- 
 Value/Consideration          N/A 
  -- Note: If consideration 
  is non-cash, provide 
  details and estimated 
  valuation 
---------------------------  ------------------------------------------------------------- 
 No. of securities 
  held after change                  *    4,637,958 Ordinary Shares 
  - Direct 
 
                                     *    4,000,000 Unlisted Options (expiry 7 April 2019, 
                                          exercise price GBP0.0125) 
 
 
                                     *    4,000,000 Unlisted Options (expiry 26 July 2019, 
                                          exercise price GBP0.0125) 
---------------------------  ------------------------------------------------------------- 
 No. of securities            Nil 
  held after change 
  - Indirect 
---------------------------  ------------------------------------------------------------- 
 Nature of change             A share consolidation of 
  -- Example: on-market        25 fully paid ordinary shares 
  trade, off-market            or CDIs into one fully paid 
  trade, exercise of           share or CDI, as approved 
  options, issue of            by shareholders on 24 November 
  securities under             2016. 
  dividend reinvestment 
  plan, participation 
  in buy-back 
---------------------------  ------------------------------------------------------------- 
 

Part 2 - Change of director's interests in contracts

 
 Detail of contract 
---------------------------- 
 Nature of interest 
---------------------------- 
 Name of registered 
  holder 
  (if issued securities) 
---------------------------- 
 Date of change 
---------------------------- 
 No. and class of securities 
  to which interest 
  related prior to change 
  -- Note: Details are 
  only required for 
  a contract in relation 
  to which the interest 
  has changed 
---------------------------- 
 Interest acquired 
---------------------------- 
 Interest disposed 
---------------------------- 
 Value/Consideration 
  -- Note: If consideration 
  is non-cash, provide 
  details and an estimated 
  valuation 
---------------------------- 
 Interest after change 
---------------------------- 
 

Part 3 - +Closed period

 
 Were the interests           No 
  in the securities 
  or contracts detailed 
  above traded during 
  a +closed period where 
  prior written clearance 
  was required? 
---------------------------  ---- 
 If so, was prior written     N/A 
  clearance provided 
  to allow the trade 
  to proceed during 
  this period? 
---------------------------  ---- 
 If prior written clearance   N/A 
  was provided, on what 
  date was this provided? 
---------------------------  ---- 
 

Rule 3.19A.2

Appendix 3Y

Change of Director's Interest Notice

Information or documents not available now must be given to ASX as soon as available. Information and documents given to ASX become ASX's property and may be made public.

Introduced 30/09/01 Amended 01/01/11

 
Name of entity Thor Mining PLC 
------------------------------ 
ABN 121 117 673 
------------------------------ 
 

We (the entity) give ASX the following information under listing rule 3.19A.2 and as agent for the director for the purposes of section 205G of the Corporations Act.

 
 Name of Director      Paul Johnson 
--------------------  ----------------- 
 Date of last notice   15 November 2016 
--------------------  ----------------- 
 

Part 1 - Change of director's relevant interests in securities

In the case of a trust, this includes interests in the trust made available by the responsible entity of the trust

Note: In the case of a company, interests which come within paragraph (i) of the definition of "notifiable interest of a director" should be disclosed in this part.

 
 Direct or indirect interest    Direct and Indirect 
-----------------------------  ------------------------------------------------------------- 
 Nature of indirect interest    Spouse (Mrs M. Johnson) 
  (including registered 
  holder) 
  Note: Provide details 
  of the circumstances 
  giving rise to the relevant 
  interest. 
-----------------------------  ------------------------------------------------------------- 
 Date of change                 1 December 2016 
-----------------------------  ------------------------------------------------------------- 
 No. of securities held 
  prior to change - Direct        *    47,566,237 Ordinary Shares (AIM listed) 
 
 
                                  *    80,000,000 Unlisted Options (expiry 1 December 2018, 
                                       exercise price GBP0.0005) 
 
 
                                  *    250,000,000 Unlisted Options (expiry 2 September 
                                       2019, exercise price GBP0.0005) 
-----------------------------  ------------------------------------------------------------- 
 No. of securities held 
  prior to change - Indirect      *    102,500,000 Ordinary Shares (AIM listed) 
-----------------------------  ------------------------------------------------------------- 
 Class                          Ordinary Fully Paid 
                                 Shares 
                                 Unlisted options 
-----------------------------  ------------------------------------------------------------- 
 Number acquired - Direct       N/A 
-----------------------------  ------------------------------------------------------------- 
 Number acquired - Indirect     N/A 
-----------------------------  ------------------------------------------------------------- 
 Number disposed                N/A 
-----------------------------  ------------------------------------------------------------- 
 Value/Consideration            N/A 
  -- Note: If consideration 
  is non-cash, provide 
  details and estimated 
  valuation 
  -- 
-----------------------------  ------------------------------------------------------------- 
 No. of securities held 
  after change - Direct           *    1,902,649 Ordinary Shares (AIM listed) 
 
 
                                  *    3,200,000 Unlisted Options (expiry 1 December 2018, 
                                       exercise price GBP0.0125) 
 
 
                                  *    10,000,000 Unlisted Options (expiry 2 September 2019, 
                                       exercise price GBP0.0125) 
-----------------------------  ------------------------------------------------------------- 
 No. of securities held 
  after change - Indirect         *    4,100,000 Ordinary Shares (AIM listed) 
-----------------------------  ------------------------------------------------------------- 
 Nature of change               A share consolidation 
  -- Example: on-market          of 25 fully paid ordinary 
  trade, off-market trade,       shares or CDIs into 
  exercise of options,           one fully paid share 
  issue of securities            or CDI, as approved 
  under dividend reinvestment    by shareholders on 24 
  plan, participation            November 2016. 
  in buy-back 
-----------------------------  ------------------------------------------------------------- 
 

Part 2 - Change of director's interests in contracts

Note: In the case of a company, interests which come within paragraph (ii) of the definition of "notifiable interest of a director" should be disclosed in this part.

 
 Detail of contract 
---------------------------- 
 Nature of interest 
---------------------------- 
 Name of registered 
  holder 
  (if issued securities) 
---------------------------- 
 Date of change 
---------------------------- 
 No. and class of securities 
  to which interest 
  related prior to change 
  -- Note: Details are 
  only required for 
  a contract in relation 
  to which the interest 
  has changed 
---------------------------- 
 Interest acquired 
---------------------------- 
 Interest disposed 
---------------------------- 
 Value/Consideration 
  -- Note: If consideration 
  is non-cash, provide 
  details and an estimated 
  valuation 
---------------------------- 
 Interest after change 
---------------------------- 
 

Part 3 - +Closed period

 
 Were the interests           No. 
  in the securities 
  or contracts detailed 
  above traded during 
  a +closed period where 
  prior written clearance 
  was required? 
---------------------------  ---- 
 If so, was prior written     No. 
  clearance provided 
  to allow the trade 
  to proceed during 
  this period? 
---------------------------  ---- 
 If prior written clearance   N/A 
  was provided, on what 
  date was this provided? 
---------------------------  ---- 
 

Rule 3.19A.2

Appendix 3Y

Change of Director's Interest Notice

Information or documents not available now must be given to ASX as soon as available. Information and documents given to ASX become ASX's property and may be made public.

Introduced 30/9/2001.

 
Name of entity: Thor Mining PLC 
------------------------------- 
ARBN: 121 117 673 
------------------------------- 
 

We (the entity) give ASX the following information under listing rule 3.19A.2 and as agent for the director for the purposes of section 205G of the Corporations Act.

 
 -- Name of Director   David Edward Thomas 
--------------------  -------------------- 
 Date of last notice   28 November 2016 
--------------------  -------------------- 
 

Part 1 - Change of director's relevant interests in securities

In the case of a trust, this includes interests in the trust made available by the responsible entity of the trust

 
 Direct or indirect            Direct 
  interest 
----------------------------  ---------------------------------------------------------- 
 Nature of indirect            N/A 
  interest 
  (including registered 
  holder) 
  Note: Provide details 
  of the circumstances 
  giving rise to the 
  relevant interest. 
----------------------------  ---------------------------------------------------------- 
 Date of change                1 December 2016 
----------------------------  ---------------------------------------------------------- 
 No. of securities 
  held prior to change:          *    229,024,250 CDIs 
  Direct. 
 
                                 *    57,670,000 Unlisted Options (expiry 11 April 2019, 
                                      exercise price GBP0.0005) 
 
 
                                 *    100,000,000 Unlisted Options (expiry 26 July 2019, 
                                      exercise price GBP0.0005) 
----------------------------  ---------------------------------------------------------- 
 No. of securities             Nil 
  held prior to change: 
  Indirect. 
----------------------------  ---------------------------------------------------------- 
 Class                         CDIs (ASX listed) 
                                Unlisted options 
----------------------------  ---------------------------------------------------------- 
 Number acquired -             N/A 
  Direct 
----------------------------  ---------------------------------------------------------- 
 Number acquired -             N/A 
  Indirect 
----------------------------  ---------------------------------------------------------- 
 Number disposed               N/A 
----------------------------  ---------------------------------------------------------- 
 Value/Consideration           N/A 
  (a) Note: If consideration 
  is non-cash, provide 
  details and estimated 
  valuation 
----------------------------  ---------------------------------------------------------- 
 No. of securities 
  held after change:             *    9,160,970 CDIs 
  Direct 
 
                                 *    2,306,800 Unlisted Options (expiry 11 April 2019, 
                                      exercise price GBP0.0125) 
 
 
                                 *    4,000,000 Unlisted Options (expiry 26 July 2019, 
                                      exercise price GBP0.0125) 
----------------------------  ---------------------------------------------------------- 
 No. of securities             Nil 
  held after change: 
  Indirect 
----------------------------  ---------------------------------------------------------- 
 Nature of change              A share consolidation of 
  (b) Example: on-market        25 fully paid ordinary shares 
  trade, off-market             or CDIs into one fully paid 
  trade, exercise of            share or CDI, as approved 
  options, issue of             by shareholders on 24 November 
  securities under              2016. 
  dividend reinvestment 
  plan, participation 
  in buy-back 
----------------------------  ---------------------------------------------------------- 
 

Part 2 - Change of director's interests in contracts

 
 Detail of contract 
---------------------------- 
 Nature of interest 
---------------------------- 
 Name of registered 
  holder 
  (if issued securities) 
---------------------------- 
 Date of change 
---------------------------- 
 No. and class of 
  securities to which 
  interest related 
  prior to change 
  (c) Note: Details 
  are only required 
  for a contract in 
  relation to which 
  the interest has 
  changed 
---------------------------- 
 Interest acquired 
---------------------------- 
 Interest disposed 
---------------------------- 
 Value/Consideration 
  (d) Note: If consideration 
  is non-cash, provide 
  details and an estimated 
  valuation 
---------------------------- 
 Interest after change 
---------------------------- 
 

Part 3 - +Closed period

 
 Were the interests         No 
  in the securities 
  or contracts detailed 
  above traded during 
  a +closed period 
  where prior written 
  clearance was required? 
-------------------------  ---- 
 If so, was prior           N/A 
  written clearance 
  provided to allow 
  the trade to proceed 
  during this period? 
-------------------------  ---- 
 If prior written           N/A 
  clearance was provided, 
  on what date was 
  this provided? 
-------------------------  ---- 
 

Enquiries:

 
Mick Billing       +61 (8) 7324  Thor Mining PLC    Executive 
                       1935                          Chairman 
Ray Ridge          +61 (8) 7324  Thor Mining PLC    CFO/Company 
                       1935                          Secretary 
Colin Aaronson/    +44 (0) 207   Grant Thornton UK  Nominated 
 Daniel Bush/        383 5100     LLP                Adviser 
 Richard Tonthat 
Gerry Beaney/       +44 (0) 20   Northland Capital  Joint Broker 
 David Hignell       3861 6625    Partners Limited 
 John Howes 
Nick Emerson       +44 (0) 1483  SI Capital         Joint Broker 
 /                    413 500 
 Andy Thacker 
Tim Blythe/        +44 (0) 207   Blytheweigh        Financial 
 Camilla Horsfall    138 3222                        PR 
 

Updates on the Company's activities are regularly posted on Thor's website www.thormining.com, which includes a facility to register to receive these updates by email. Email: admin@thormining.com

This information is provided by RNS

The company news service from the London Stock Exchange

END

MSCGCBDDDGGBGLR

(END) Dow Jones Newswires

December 07, 2016 04:03 ET (09:03 GMT)

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